Declaration of Voting Results & Voting Rights Announcements • Jun 6, 2023
Declaration of Voting Results & Voting Rights Announcements
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10 maggio 2023 16.27.23
ﺳﺴﺴﺴ
100 . Necc, 35427
Oggetto : Determinazione del compenso dei componenti il Consiglio di Amministrazione
-nº 3.532 azionisti,
ENEL S.p.A.
portatori di nº 6.579.365.516 azioni ordinarie, tutte ammesse al voto, pari al 64,714986% del capitale sociale.
| % su Azioni Ordinarie | ||
|---|---|---|
| Ammesse al voto | ||
| Favorevoli | 6.522.300.807 | 99,132672 |
| Contrari | 55.019.865 | 0,836249 |
| SubTotale | 6.577.320.672 | 99,968920 |
| Astenuti | 2.044.844 | 0.031080 |
| Totale | 6.579.365.516 | 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 6.000 azioni.
Pagina. 1
Assemblea Ordinaria del 10 maggio 2023
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| Badge | Ragione Sociale | Proprio 1.250 |
Delega 0 |
Totale 1.250 |
|||
|---|---|---|---|---|---|---|---|
| COBO RA |
DI PAOLO LUIGI | COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO | 0 | 0 | |||
| D** | ETTORE CAMOZZI |
0 | 1.000 | 1.000 | |||
| D** | CASSA NAZIONALE DI PREVIDENZA ÈD ASSISTENZA FORENSE | 0 | 52.417.000 | .000 52.417 |
|||
| D** | COLACCHIA ELISABETTA | 0 | . 700 10 |
0.700 ไ |
|||
| D** | l ESPERO FONDO SCUOLA |
CRESCITA AZIONARIO | 6-838 โ |
6.038 โ |
|||
| D** | MAJNO LORENZO MARCELLO DEL |
રેપ | 50 | ||||
| D** | PASQUALUCCI GIOVANNI MARIA | 0 | 00 0 ન્ન |
.000 T |
|||
| D** | GIACONO PELLEGRINO |
0 | 1.743 | 1.743 | |||
| D** | RAIOLA EMANUELE | C 0 |
-300 L |
. 600 1.300 t |
|||
| D** | SORBONE ALESSANDRO | . 600 T |
|||||
| 6210 | CATONI GIANCARLO | 00 ব |
0 0 |
200 400 |
|||
| 6282 | MAURO STEFANO | 200 | C | ||||
| 6290 | BELLAROTO FRANCESCO PAOLO | 9.430 | 0 | 9.430 0 |
|||
| 6293 | VALENTINA BONFITTO |
80 ਾ |
0 | ਪ ਉ | |||
| 6351 | GENTILUCCI LIVIO | 0 0 |
2.461 | 2.461 | |||
| DE* | AKTIV MIX ERTRAG GENERALI |
0 | 76.802 | 76.802 | |||
| DE* | INVESTMENTS LUXEMBOURG SA GENERALI |
0 | 645.054 | 645.054 | |||
| DE* | SICAV INVESTMENTS GENERALI |
0 | 30.000 | 30.000 | |||
| DE* | INSURANCE ASSET SMART FUNDS GENERALI |
MANAGEMENT | 0 | 210.994 | 210-994 | ||
| DE DE |
ALLEANZA OBBLIGAZIONARIO GIAM GENERALI GIE |
0 | 551.860 | 551-860 | |||
| DE* | FONDO ALTO AMÉRICA AZIONARIO GIE |
0 | 438.402 | 438.402 | |||
| DE* | INVESTMENTS PARTNERS GENERALI GIP |
0 | 143.628 | 143-628 | |||
| 6421 | TREVISAN DARIO | 0 | |||||
| **D | GLOBAL UI MORGEN AKTIEN |
0 | 20.000 | 20.000 | |||
| **D | HANNOVERSCHEMAXINVEST | 0 | 80.030 | 0.030 8 |
|||
| **D | UNIVERSAL IMW | 0 | 51-072 | 51.072 | |||
| * * D | RETURN OFFENSIV SENTIX TOTAL |
0 | 000788 | 000-000 | |||
| **D | FLEXCONCEPT-EUROGROWTH MEAG |
0 | 14.547 | 547 14. |
|||
| **D | MASTERINVEST KAPITALANLAGE GMBH | 0 | 138.299 | 138-299 | |||
| **D | RISK RETURN -A- SENTIX |
0 | 10.400 | 10-400 | |||
| **D | SEASONAL LONGSHORT EURO HMT |
0 | 44.712 | 44.712 | |||
| **D | NOWI VERMOEGEN | 0 | 10.000 | 10.000 | |||
| **D | INVEST EUROPA PLUS TIM |
0 | 8.571 | 8.571 | |||
| **D | VCH-UNIVERSAL-FONDS I | 0 | 000 20. |
20.000 | |||
| **D | HMT GLOBAL OPTIMAL DYNAMICS | 0 | 080 27. |
27.880 | |||
| **D | PLUS RENDITE SELECTION |
0 | 70.000 | 70-000 | |||
| **D | FONDS KMSF UNIVERSAL |
0 | 20-000 | 20.000 | |||
| **D | BUSINESS EQUITIES SA CANDRIAM |
0 | 051.005 | 851.005 | |||
| **D | FUND PENSION BELFIUS |
HIGH EQUITIES | 0 | 2.682.798 | 310-743 2.682.798 |
||
| **D | FUND PENSION BELFIUS |
LOW EQUITIES | g | 310-743 | |||
| **D | BALANCED FUND PENSION BELFIUS |
STUS | 0 0 |
. 008 . 160 959.290 t |
.008.160 062 - 656 ไ |
||
| **D | SUSTAINABLE PLACE BELFIUS |
150.000 | |||||
| **D | INVESTMENT GESELLSCHAFT MBH ON UNIVERSAL |
0 0 |
150-000 130.000 |
130.000 | |||
| **D | FONDS GLOBAL OSTALB AG |
C | 0 24.00 |
24.000 | |||
| **D | JRS-INTERNATIONAL-UNIVERSAL-FONDS | E88.08 | 883 80. |
||||
| **D | WAVE TOTAL RETURN FONDS | 837 83. ব |
|||||
| **D | UNIVERSAL INVESTMENT GMBH | 0 | 483.837 62.334 |
62-334 | |||
| **D | HANNOVERSCHEMEDIUMINVEST | ||||||
| Pagina 1 | |||||||
| Azionisti: | ਤੇ 439 | Teste: | 19 | ||||
| Azionisti in proprio: | ਉ | Azionisti in delega: | 3.430 |


Juo Diciel
Assemblea Ordinaria del 10 maggio 2023
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESITO DELLE VOTAZIONE
| FAVOREVOLI | |||||||
|---|---|---|---|---|---|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale | |||
| **D | UNION INVESTMENT PRIVATFONDS GMBH | 119.484 | 119.484 | ||||
| **D | UNION INVESTMENT INSTITUTIONAL GMBH | 511.920 | 511.920 | ||||
| **D | DEKA INVESTMENT GMBH GLOBALE AKTIEN | O | 24.047 E |
324.047 | |||
| **D | HELABA INV KAPITALANI GES MBH HI KAPPA I | 0 | 205.600 | 205.600 | |||
| **D | DEKA GMBH INVESTMENT DEKA |
SE VALUE EXTRA |
0 | 55.072 ਟ |
255.072 | ||
| **D | INVESTMENT GMBH A FU DEKA |
1 FONDS AKTIEN | 0 | 000.000 | 80.000 | ||
| **D | GMBH DEAWM FONDS DWS INVESTMENT |
0 | 46.000 | 46.000 | |||
| **D | DEKA INVESTMENT GMBH RE NECKAR-FUNDMASTE | 0 | 712.059 | 712.059 | |||
| **D | DEKA INVESTMENT GMBH KVR FONDS AKTIEN | E | O | 13.202 T |
202 113. |
||
| **D | HELABA INV KAPITALANL GES MBH HI SZVA 23 | O | 223.815 | 223.815 | |||
| **D | H H STIFTUNGSFONDS | 0 | 20.000 | 20.000 | |||
| **D | FU 2 A GMBH INVESTMENT DEKA |
FONDS | 0 | ਣ 4 ਰ 31. T |
131-549 | ||
| **D | A СМВН INVESTMENT DEKA |
SFUE AKT DIVIDEND | 00 | 03.800 L |
800 103. |
||
| **D | GMBH INVESTMENT DEKA |
KHN AKTIEN EX EMER | 40.170 | 40.170 | |||
| **D | BVP FONDS GMBH DEKA INVESTMENT |
0 | 23.000 | 23.000 | |||
| **D | HELABA INV KAPITALANL GES MBH HI KAP | 0 | 12.387 | 12.387 | |||
| **D | GMBH RE KSKBB-FUNDMASTER DEKA INVESTMENT |
0 0 |
70-000 | 70.000 | |||
| **D | SHC AKTIEN GMBH INVESTMENT DEKA |
0 | 16.000 | 16.000 | |||
| **D | GMBH RE A-SM2-FONDS DEKA INVESTMENT |
54.200 61.879 |
61.879 54 - 200 |
||||
| **D | BAYERNINVEST EURO-AKTIEN DIVIDENDEN NON- | .694.702 b |
4.694.702 | ||||
| **D | BAYERNINVEST KVG MBH DELEN PRIVATE BANK |
000 | 580 | ||||
| **D | 0 | ਤੇ ਰੇਰੇ 2 - 935 - 5 - 579 - |
2 . 935 . 580 5 . 579 . 399 | ||||
| D D |
UNIVERSAL INVEST SICAV | 0 | 27.500 | 27.500 | |||
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH C+F GLOBAL LINE |
0 | .268.081 ไ |
1.268.081 | |||
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT | 0 | 110.000 | 110.000 | |||
| **D | DEKA INVESTMENT GMBH BV PAR FONDS | 0 | 0.870 E |
38.870 | |||
| **D | HELABA INV KAPITALANL GES MBH HI SZVA 17 | 0 | 152.800 | 152-800 | |||
| **D | GES MBH HELABA INV KAPITALANL |
HI KAPPA 2 | 0 | 116.500 | |||
| **D | DEKA INVESTMENT GMBH KSKBB FM 1 U03 | 116.500 | 167.000 | ||||
| **D | SICAV INTERNATIONAL KAIROS |
- ITALIA | 925.000 T |
925.000 1. |
|||
| **D | । SICAV KAIROS INTERNATIONAL |
MADE IN ITALY | 0000 | 00 401.0 |
401.000 | ||
| **D | AXA PREVINDAI BIL |
302.303 | 302-383 | ||||
| **D | SVI AXA PREVINDAI |
0 | 333.967 | 333.967 | |||
| **D | BIL EURIZON PREVINDAI |
0 | 34.376 | 34.376 | |||
| *** | ARGIMON VITAS | o o | 75 | 0 75 |
|||
| ★★★ | NIEVERGELT PETER RUDOLF | 7.560 | 7.560 | ||||
| ★★★ | STOLL DANIEL | 0 | 6.001 | 0 6.00 |
|||
| **D | PREVINDAI SVI EURIZON | o o o | 45.130 | 138 45 - |
|||
| *** | KIMURA YO | 3.000 | 3.000 | ||||
| **D | KAIROS INTERNATIONAL SICAV - KEY | 0 | 472.000 | 000 472.000 |
|||
| *** | CHEKALIN YURY | 0 | 4.000 5.400 |
400 4 . 5. |
|||
| * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * |
SZINNA GABOR | 0 | 23.200 | 200 23. |
|||
| **D | AOR LUX FUNDS- AOR DIVERSIFIED-RISK PREMIA FUND/INTL MAXIMCHUK ALEXEY |
TRADING | 0 | 240.772 | 240.772 | ||
| **D | DEKA INTERNATIONAL | CF (A) S.A. W/DEKA-NACHHALTIGKEIT AKTIEN |
600.000 | 600-000 | |||
| **D | 5A CIE PICTÉT AND BANQUE |
50.572 | 50-572 | ||||
| **D | l CH INSTITUTIONAL PICTET |
EX SWISS EQUITIES TRACKER EX SL EUROPEAN |
256.512 | 256.512 | |||
| **D | l INSTITUTIONAL CH PICTET |
TRACKER SWISS EQUITIES WORLD EX |
201.264 | 264 201. |
|||
| **D | FLEX 2 DZPB II - |
3.275.050 | 3.275.050 | ||||
| Pagina 2 | |||||||
| Azionisti: | 3,439 | Teste: | 19 | ||||
| Azionisti in proprio: | ਹੈ | Azionisti in delega: | 3.430 | ||||
| ์ | |||||||

10 maggio 2023 16.27.23

EMARKET
SDIR
GRTIFFE
f
fu
10 maggio 2023 16.27.23
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL | 86.164 | 86.164 | |
| **D | GMBH W/A-HECKER-FONDS I DEKA INVESTMENT |
215.000 | 215.000 | |
| D D |
IMB KAPITALANLAGEGESELLSCHAFT MBH W/INKA INDEX EUROPE PICTET - |
O | 812.110 74.000 |
74.000 812.110 |
| **D | GLOBAL AKTIEN INTERNATIONALE l FONDS PKG |
381.378 | 381.378 | |
| **D | ໄ FLEX l II D2PB |
0 | 212.190 | 212.190 |
| **D | ਤੇ FLEX - II DZPB |
0 | 88.015 б |
988.015 |
| **D | SELECTION FUND - GLOBAL HIGH YIELD UTILITIES EQUITY FUND GLOBAL PICTET |
76.949 319.344 |
76.949 319.344 |
|
| **D | U01 AKTIEN GMBH W/DONAU-MULTI-ASSET-FUNDMASTER INDEX DEKA INVESTMENT |
60.294 ব |
60.294 ರ್ |
|
| D D |
CHANCE l SICAV PORTFOLIO PICTET=EUROLAND EXKLUSIV |
73.750 | 73.750 | |
| **D | TRACKER SMISS EQUITIES EX EUROPEAN l INSTITUTIONAL CH PICTET |
216.342 | 216.342 | |
| **D | PORTFOLIO SICAV-AKTIEN EXKLUSIV |
0 | 130.245 | 130.245 |
| **D | TY CURRENCY HEDGED FUND FUND - GLOBAL UTILITIES EQUI SELECTION GLOBAL PICTET |
0 | 601.897 | 601.897 |
| **D | SICAV-ERTRAG PORTFOLIO EXKLUSIV |
0 | 71.40 | 71.400 937.089 |
| **D | CLEAN ENERGY TRANSITION l PICTET |
0 | 089 .311.159 .937. € L L |
ਹ ਦੇ ਕੇ 311. 1. 3. L |
| D D |
SICAV-WACHSTUM ENERGY RENEWABLE PORTFOLIO t EXKLUSIV FUND DNB |
D | 137.400 | 137.400 |
| **D | FUND - GLOBAL INCOME STOCK FUND SELECTION GLOBAL PICTET |
0 | 347 09. ﺎ |
109.347 |
| **D | UTILITIES EQUITY FUND - GLOBAL FUND SELECTION GLOBAL PICTET |
572.013 27. |
013 27.572. |
|
| **D | W/DEKA-PRIVATVORSORGE AS GMBH INVESTMENT DEKA |
236.000 | 236.000 | |
| **D | COBA M/CUYO GMBH INVESTMENT DEKA |
14.218 | 218 14. |
|
| **D | INDEX - GLOBE IST IF |
264.749 | 264.749 | |
| **D | W/NEO-FONDS AKTIEN GMBH INVESTMENT DEKA |
0 | 207.622 | 207.622 90.500 |
| **D | W/A-ALPSPITZ 2-FONDS GMBH INVESTMENT DEKA |
2.537.931 500 ਰ 90 - |
2.537.931 | |
| **D | SELECTION MEGATREND - GLOBAL PICTET |
11.740 | 11.740 | |
| D D |
W/KEPPLER-GLOBAL VALUE-INVEST GMBH W/DEKA-SO1-FONDS W/SO1-BANTLEON-LCR באתר VERMOEGENSMANAGEMENT INVESTMENT DEKA DEKA |
50.350 | .350 ടവ |
|
| W/A-FELD-AKTIEN-FONDS GMBH INVESTMENT |
68.050 | 0.050 9 |
||
| D D |
W/DEKA-EUROPA AKTIEN STRATEGIE GMBH INVESTMENT DEKA DEKA |
0 | 130.000 | 130.000 |
| **D | AKTIEN EUROPA W/DEKA-NACHHALTIGKEIT S.A. INTERNATIONAL DEKA |
2.256.400 | 2.256.400 | |
| **D | LUXEMBURG W/IFM-INVEST AKTIEN EUROPA NIEDERLASSUNG GMBH, VERMOEGENSMANAGEMENT DEKA |
310.000 | 310.000 | |
| **D | LUXEMBURG W/KSK IVV CHANCE NIEDERLASSUNG GMBH. VERMOEGENSMANAGEMENT DEKA |
0 | 253.600 | 253.600 |
| **D | LUXEMBURG W/SPK MUENSTERLAND OST AKLIEN PLUS NIEDERLASSÜNG GMBH, VERMOEGENSMANAGEMENT DEKA |
0 | 794.500 | 794.500 |
| **D | EQUITIES GLOBAL l CH PICTET |
78.561 77 . |
.391 78-561 77 |
|
| D D |
GMBH W/ES-DIVIDENDENSTRATEGIE ORGANIZATION PENSION PLAN TRADE WORLD |
0 | 375.689 391 |
375.689 |
| **D | GMBH, NIEDERLASSUNG LUXEMBURG W/INVEST EVOLUTION VERMOEGENSMANAGEMENT VERMOEGENSMANAGEMENT DEKA DEKA |
48.000 | 48.000 | |
| **D | POOL EQUITY POOL-GLOBAL SPARINVEST |
67.161 | 67.161 | |
| **D | II-FONDS N / SVN GMBH INVESTMENT DEKA |
10.874 | 10.874 | |
| **D | S.A. W/DEKA-EUROPAVALUE INTERNATIONAL DEKA |
28.000 | 28.000 | |
| **D | W/DEKA-NACHHALTIGKÉIT KOMMUNAL GMBH INVESTMENT DEKA |
G | 168.714 | 168.714 |
| **D | CLEAN ENERGY ACCESSIBLE l (LUX) FUNDS CAPITAL quaero |
6 539.047 92.54 |
539.047 92.549 |
|
| **D | FIN DI . +UC . ETF OPPORTUNITIES EX W/DEKA-EURO-IST. GLOBAL GABH ASSET INVESTMENT MULTI t PICTET DEKA |
745 417 - T |
1 417.745 | |
| D D |
SUSTAINABLE EQUITIES TRACKER SWISS EX - WORLD INSTITUTIONAL CH PICTET |
130.727 | 130.727 | |
| **D | GMBH W/DEKA-NACHHALTIGKEIT DIVIDENDENSTRATEGIE INVESTIFICATI DEKA |
500.00 T |
500.000 T |
|
| **D | ਮੇ BBR 1 DWS INVESTMENT GMBH W/DEAM-FONDS |
50.400 I |
400 50. ﺎ |
|
| **D | 50 STOXX RAIFFEISEN INDEX FONDS -EURO |
ર વે 8 151. |
151-648 | |
| **D | F100 W/S200 INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH W/INKA |
120.000 | 000 120. |
|
| Pagina 3 | ||||
| Azionisti: | 19 Teste: 3 439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
|||
| ( |

Jus Needer Natiff
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Uggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESTTO DELLE VOTAZIONE |
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | GMBH W/FULDA-FONDS DEKA INVESTMENT |
0 | 0 6.90 |
6.900 | |
| **D | GMBH W/DEKA STOXX EUROPE 50 UCITS ETF DEKA INVESTMENT |
O | 86.370 | 86-370 | |
| **D | VERMOEGENSMANAGEMENT GMBH, NIEDERLASSUNG LUXEMBURG WERMOEGENSMANAG. AKTIEN DEKA |
O 0 |
00.000 0 T |
1.000-000 | |
| **D | SE XUE FUND | 0 | 50.000 రా |
50-000 € |
|
| **D | TRACKER US RENT DEKA W/U2 DEKA INVESTMENT GMBH W/BEROLINA |
TE | 0 | ട 68 4.120 |
120 ടല്ലേ 4. 39 |
| D D |
EX SWISS EQUITIES ਤੇ ਵ - WORLD W/DEKA-BR CH INSTITUTIONAL GMBH PICTET DEKA |
0 | 537 ਤੇ ਕੇ 25 ા |
537 25. ﺎ |
|
| INVESTMENT | 0 | ||||
| **D | N / DEKA-BAV-FONDS GMBH INVESTMENT DEKA |
932 71. L |
932 171. |
||
| **D | W/DEKA-MEGATRENDS GMBH INVESTMENT DEKA |
000 20 б |
000 920 - |
||
| **D | W/BF MASTERFONDS 03 GMBH INVESTMENT DEKA |
110.000 | 110-000 | ||
| **D | DEKA AKTIEN W/PALATIA FONDS W/U3 смвн INVESTMENT DEKA |
300 157 . |
300 157. |
||
| **D | W/ARGO NAVIS U2 GMBH INVESTMENT DEKA |
. 000 18 |
000 യ I |
||
| **D | NACHHALTIGKEIT GLOBALE AKTIEN OFFENSIV M/HEIDELBERG GMBH INVESTMENT DEKA |
9.453 | 9.453 | ||
| **D | W/A-AMISIA-FONDS GMBH INVESTMENT DEKA |
6.000 ﺎ |
00 0 76. |
||
| **D | A / CAMPUS BREMEN 1 l M / DEKA GMBH INVESTMENT DEKA |
3 4 B 9 て |
3 48 26. |
||
| **D | M/MAGUST-FONDS GMBH INVESTMENT DEKA |
500 30. |
500 30. |
||
| **D | W/ARIDEKA GMBH INVESTMENT DEKA |
500.000 P |
4.500.000 | ||
| **D | WORLD UCITS ETF W/DEKA MSCI GMBH INVESTMENT DEKA |
. 408 257 |
257.400 | ||
| **D | A / DEKA-DIVIDENDENSTRATEGIE-EUROPA CMBH INVESTMENT DEKA |
640.000 | 640.000 | ||
| **D | W/MASTER 172 W/AKTIEN CMBH INVESTMENT DEKA |
263.000 | 263.000 | ||
| **D | 5 W/BIA-STRATEGIEFONDS NR. GMBH INVESTMENT DEKA |
રે રેણ - 131 |
રે ર 10 131. |
||
| **D | W/NUILL-FONDS W/U01 AKTIEN GMBH INVESTMENT DEKA |
500 49. |
49.500 | ||
| **D | FONDS W/S BROKER 1 GMBH INVESTMENT DE KA |
0 | 10-000 | 0.000 ไ |
|
| **D | M / HD-PHILOSOPHENNEG GMBH INVESTMENT DEKA |
0 | .032 ಳಿ ಕಿ |
032 48. |
|
| **D | W/A-DOR-FONDS W/U23 GMBH INVESTMENT DEKA |
0 | 170.850 | 50 170.8 |
|
| **D | FLEXIBEL W/DEKA-BASISSTRATEGIE હબલેન INVESTMENT DEKA |
0 | 000 50. |
0.000 S |
|
| **D | DYNAMISCH Chigh INVESTMENT |
0 | 270.000 | 000 270. |
|
| **D | W/DEKA-NACHHALTIGKEIT GMBH DEKA |
0 | 41.218 T |
141.218 | |
| W/DEKA STARKENBURG U04 AKTIEN BANTLEON INVESTMENT DEKA |
0 | 00 | |||
| **D | W/KAL-FONDS GMBH INVESTMENT DEKA |
4.0 | 4.000 | ||
| **D | W/A-WOLFACH-FONDS GMBH INVESTMENT DEKA |
0 | . 000 9 |
6.000 | |
| **D | W/A-KSK FULDA-FONDS GMBH INVESTMENT DEKA |
0 0 |
46.000 | 46.000 | |
| **D | W/EKO-FONDS GMBH INVESTMENT DEKA |
0 | 20.000 | 13.370 20.000 |
|
| **D | W/MULDENTAL-FONDS લ્હેન્ડના INVESTMENT DEKA |
13.370 | |||
| **D | W/OBERES-SCHLOSS-U2 GMBH INVESTMENT DEKA |
0 | 92.000 | 92.000 | |
| **D | 2 W/INTER-ESSEN-FONDS W/SEGMENT GMBH INVESTMENT DEKA |
42.867 | 42.867 | ||
| **D | பு 7 W/DEKA-BR GMBH INVESTMENT DEKA |
000 | .171 51 |
51.171 | |
| **D | W/A-DIM-WETZLAR-BALANCED-FONDS GMBH INVESTMENT DEKA |
25.200 | 25.200 | ||
| * * D | W/A-NORDHAUSEN 2-FONDS W/U05 GMBH INVESTMENT DEKA |
0 | 12.698 | 12.698 | |
| **D | CTC F EUROPE UCITS MSCI W/DEKA GMBH INVESTMENT DEKA |
1 | 0 | B 256.84 |
56.848 ਟ |
| **D | W/U02 BANTLEON W/DFM ALPHA GMBH INVESTMENT DEKA |
0 0 |
0 43.673 |
43.673 24.050 |
|
| **D | W/KOMMUNAL-TUT-BALANCED-FONDS GMBH INVESTMENT DEKA |
. 05 24 |
|||
| **D | ರ AST RELT FUND-AKTIEN AVADIS |
0 | .693 154 |
54.693 L |
|
| **D | 20 W/DEKA-BR GMBH INVESTMENT DEKA |
0 | S .72 L |
1.725 | |
| **D | W/MV-FONDS GMBH INVESTMENT DEKA |
0 | 0 00.68 |
89.000 | |
| **D | 85 W/DEKA-BR GMBH INVESTMENT DEKA |
O | 65.978 2 |
8 97 ୧ ର ਟ |
|
| **D | W/DEKA-DIVIDENDENSTRATEGIE GMBH INVESTMENT DEKA |
0 | 0 500.00 8 L |
500.000 8 L |
|
| **D | 100 W/DEKA-BR GMBH INVESTMENT DEKA |
0 040.50 ﺎ |
.040.50 ไ |
||
| **D | રે રે N/DEKA-BR GMBH INVESTMENT DE KA |
20.16 | 20.169 | ||
| **D | ETF W/DEKA EURO STOXX 50 UCITS GMBH INVESTMENT DEKA |
ਤੇ . 054 . 53 ਟ |
539 . 054 . 2 |
||
| **D | W/A-BAD HERSFELD-FONDS W/U01 GMBH INVESTMENT DEKA |
39.050 | 39.050 | ||
| Pagina 4 | |||||
| Azionisti: | Teste: 3 439 |
19 | |||
| Azionisti in proprio: | Azionisti in delega: 6 |
3.430 | |||
EMARKET
SDIR
CRIFFE
224
usification
7
Assemblea Ordinaria del 10 maggio 2023
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| FAVOREVOLI | |
|---|---|
| 26.096 36.605 ర్ 44 - 650 04.582 000.000 69.400 0 Totale 31.000 00-00 16-85 S g. |
. 525 .740 57 71.813 35.485 92 б 886 223 258 17.165 0.000 . 889. 795 747.826 481.041 77.987 87.539 33-397 93.456 802.788 126.295 32.760 . 404 . 080 511 341 177.908 349.191 393.425 28.530 200.375 3.273 4.159.177 388.606 6-509-258 .676.780 18.000 11.349 .541.449 662-223 64.094 900 - 264 0 ਟ 326.8 193.8 192. 469. 1.031. 448. 761 C .318 I 8 б ਸ 5 10 ( 1. 18 E ไ 2 ਟ |
|---|---|
| 16.859 9.000.000 Delega 69.400 36.605 50.000 31.000 26.096 44.650 84.582 |
.889.795 57 761.292 326.809 32.760 826 223 258 17.165 40.000 .318.525 18.740 8 469.886 . 404.080 71.813 35-485 81.041 .511 5 4.159.177 87.539 177.908 33.397 93.456 349-191 509.258 200.375 .676.780 77.987 388.606 103.273 1.031-341 18.000 393.425 11.349 541.449 662.223 28.538 64.094 900.264 1.802.78 126.29 193.8 747 - 1 59. 192. ਥੋ ਉੱਤੇ P 18 E T റ ਟ ਟ |
| Proprio 0 0 0 0 0 0 0 0 |
O 0 0 0 0 O 0 0 0 0 0 0 0 0 0 0 0 0 |
| Pagina 5 N - A |
|
| JP MORGAN CHASE BANK, WERTPAPIERE 3.430 19 AKTIER KL UK FUND FUND FUND FUND |
|
| GMBH W/PRIVATE BANKING STRUKTUR ETF AKTIEN GMBH W/DEKA MSCI EUROPE IC UCITS GMBH W/MAULBRONN-STROMBERG-FONDS W/DEKAFONDS-RA-HH W/DWS W/A-VSA-FONDS W/BALANCE W/A-DIM-WETZLAR-FONDS M / DEKA-UMMELTINVEST W/A-ASD-FONDS 2 |
GLOBAL ENHANCED INCOME FUND NORDER INVESTMENT FUNDS S.A / NORDEA ASSET ALLOCATION EXCIUSIONS INDEX INVESTMENT GMBH W/A-LANDGRAE PHILIPP FONDS W/U01 JPMORGAN GLOBAL RESEARCH ENHANCED INDEX EQUITY TRUST OF EX - BAEREDYGTIGE FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX - EQ/AB DYNAMIC GROWTH PORTFOLIO FUNDS - FIDELITY INDEX EUROBE PENSION TRUST FUND (EAFE EQUITY INDEX) PRICE INTERNATIONAL EQUITY INDEX TRUST FUNDS ~ LABOR RETIREMENT FUND Azionisti in delega: FUND TELEPHONE COMPANY MASTER TRUST FUNDS-LABOR INSURANCE FUND INC. FR ABSOLUTE RETURN FUND FOND HUISARTSEN ALLOCATION FUND, DATED 1/3/1975 F/B/O SELECT EQUITY FUNDS-FIDELITY Teste: FUNDS |
| AVADIS FUND-AKTIEN WELT ESG AST GMBH GMBH GMBH GMBH CMBH INVESTMENT INVESTMENT INVESTMENT DEKA INVESTMENT INVESTMENT INVESTMENT INVESTMENT Ragione Sociale |
SUSTAINABLE SELECTION GROWTH FUND BUREAU OF LABOR FUNDS-LABOR PENSION FUND SUSTAINABLE SELECTION BALANCED NEW YORK STATE COMMON RETIREMENT FUND PENSION INVESTMENT COMMISSION NORDEA GLOBAL EQUITY ALLOCATION FUND INVESTERINGSFORENINGEN NORDEA INVEST SUPERANNUATION SCHEME INVESTERINGSFORENINGEN PFA INVEST EDUCATION PENSION TRUST PENSION INSURANCE FUND SHARES SAMPENSION LIVSFORSIKRING A/S PENSIOENFONDS VOOR HALLSAR ENERGI GLOBAL EUROPE FONDS б 3.439 UNIVERSAL STANLEY INVESTMENT VERMOEGEN SMANAGEMENT MAIN VI-UNIVERSAL-FONDS INTERNATIONAL l PRICE GLOBAL EX DISCRETIONARY INVESTMENT DIVERSIFIED FIDELITY INVESTMENT - UNIVERSAL WORLD TRUST PA1 TFL PENSION FUND KIRBY TRUST PENSION LABOR LABOR SICAV HANDELSBANKEN VGV POOLEONDS UNIVERSITIES EQUITY OF OF |
| DEKA DEKA DEKA DEKA DEKA DEKA Badge D D D D D D D D |
PUERTO RICO EQ ADVISORS JEFFREY LIC COMMINGLED SANTANDER STICHTING NATIONAL FOVERUKA VANGUARD MISSOURI LIDELITY SPA INKA ROWE T. ROWE VERMONT FULCRUM NORDEA NORDEA NORDEA BUREAU MAIN I BUREAU MORGAN Azionisti in proprio: LVUI DEKA F.M. DEKA 1. 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 **D |
628

and capit will
Assemblea Ordinaria del 10 maggio 2023
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| FAVOREVOLI | |
|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale | |||
|---|---|---|---|---|---|---|---|
| **D | INVESTERINGSFORENINGEN NORDEA INVEST GLOBAL ENHANCED | KL | 0 0 |
906 451. |
451.906 | ||
| D D |
C MOORE CHARITABLE LEAD ANNUIT GENERATIONSFOND 90-TAL KATHERINE NORDEA |
ਦੇ ਤੇ ਰੋ રે ર 8 ਕ ਤੋ ไ |
ક રે રે રે ਦ ਤੇ ਰੋ 3 - 1 ট |
||||
| **D | INVESTMENT FUNDS JPMORGAN |
2.165.457 | 57 2.165.4 |
||||
| **D | DIVERSIFIED CORE ABSOLUTE RETURN FULCRUM TM |
FUND | 25.550 | 50 5 - 5 ಷ |
|||
| **D | EQUINOR AKSJER EUROPA VERDIPAPIRFONDET |
204.000 | 284.000 | ||||
| **D | PENSION UNIVERSAL FORD |
246 20 |
246 29 |
||||
| **D | prus VALUE DEKA |
2.157.824 35.477 |
35.477 157.824 2 |
||||
| D D |
DIVERSIFIED ABSOLUTE RETURN FUND MASTER COLLECTIVE VANTAGETRUST III IN FULCRUM |
TRUST INVESTMENT FUNDS |
б . 50 481 |
6 -50 481 |
|||
| **D | SELECT GLOBAL ESG STOXX FLEXSHARES |
FUND INDEX |
క 20.12 |
20-125 | |||
| **D | PRICE FUNDS SICAV T. ROWE |
0 | б - 18 364 |
364.189 | |||
| **D | SICAV NORDEA 2 |
б . 01 144 ਟ |
б 144.81 2 |
||||
| **D | INSTITUTIONAL AM UTILITIES FIDELITY VE MAINSTAY |
PORTFOLIO | 0 | 403.200 | 03.200 P |
||
| **D | THE MASTER | TRUST BANK OF JAPAN, ITD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE MUTUAL AID | S 56.64 ಗ |
56.645 E |
|||
| **D | SICAV ד NORDEA |
. 064 ન ട ഒ 14 62 ১ T N |
581 62.064 114. ਟ ਟ |
||||
| D D |
LANDWIRTSCHAFTLICHER VERSICHERUNGSVEREIN MUENSTER A.G. UNION MUTUAL FARMERS NATIONAL THE LVM |
SOCIETY INSURANCE |
FINITED-DMIL FINKED PENSION | 53-846 ไ |
9 53.84 L |
||
| **D | MUTUAL UNION FARMERS NATIONAL THE |
rip SOCIETY INSURANCE |
P 18 09. प |
409-184 | |||
| **D | ETF INFRASTRUCTURE AGFIQ GLOBAL |
4.230 | 4-230 | ||||
| **D | FOND MINE SUPERANNUATION |
347 443 | 47,443 € |
||||
| **D | CAMBRIDGE COLLEGE TRINITY |
168.067 | 067 ୧୫. L |
||||
| **D | DEVELOPED MARKETS EQUITIES (HEDGED) TCORPIM |
FOND | 319.926 | 9 ਰ 2 319 |
|||
| **D | SUPERANNUATION LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN OANTAS |
826 946 03. ไ C 9 |
ਰੇ ਕੇ ୧ 826 .303. L 9 |
||||
| **D | FONDS GROWTH CAPITAL ROBECO |
5.031 | 031 ഹ |
||||
| **D | INTERNATIONAL EQUITY ACTIVEBUILDERS JPMORGAN |
ETF | 577 29 - |
577 б ਟ |
|||
| **D | CALIFORNIA SAVINGS PLUS STATE OF |
PROGRAM MASTER TRUST | 37.110 6 |
937.110 | |||
| **D | CRITERIA HANDELSBANKEN GLOBAL INDEX |
000 270 |
000 270. |
||||
| D D |
LVUI EQUITY EUROPE | 616.611 | .611 ୧୮୧ |
||||
| * * D | SUEBIA-FONDS HD STRA |
ਰ 1 0 248. |
918 ന് 24 |
||||
| * * D | WMC INTERNATIONAL RESEARCH EQUITY FUND MAINSTAY |
522 72 |
522 72 |
||||
| **D | FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL VANGUARD |
INTERNATIONAL STOCK MARKET INDEX TRUST II | 158 50. 46.8 |
6.850.158 p |
|||
| **D | GLOBAL DIVERSIFIED INCOME FUND SCHRODER |
୧୫ ବ 14 - |
8 ਤੋ 14.6. |
||||
| **D | UCITS SICAV FULCRUM |
રે ર 8 5. б |
56 8 S ర |
||||
| **D | MARKETS DEVELOPED TCORPIN |
EQUITIES (SOVEREIGN INVESTOR | - HEDGED) FUND | .128.250 L |
.128.250 ﺎ |
||
| **D | EQUITY HEDGED INTERNATIONAL JPMORGAN |
FUND | 66.772 | .772 ર ર |
|||
| **D | INFRASTRUCTURE CBRE GLOBAL MAINSTAY |
FUND | . 739 572 0 |
.739 ક સ 225 572 B |
|||
| **D | COMPANY INVESTMENT SECOND THE SAUDI |
85 300 225.5 |
00 క . 5 ਦ ਕੇ |
||||
| D D |
TRANSPORTATION RETIREMENT PLAN TRUST BOMBARDIER |
ETT EQUITY |
.684.334 રતે ર |
. 334 દર્ભ વ ો |
|||
| **D | INTERNATIONAL EPP EÜROPE BETABUILDERS BETABUILDERS JPMORGAN JPMORGAN |
478 927. 9 |
.478 927 9 |
||||
| **D | FORSTA AP - FONDEN | .341.639 N |
. 639 . 341 ਟ |
||||
| **D | FUND JNL INTERNATIONAL INDEX |
.065.234 1 |
.065.234 L |
||||
| **D | INKA VALENCIA |
191.529 | б . 52 191 |
||||
| **D | SBB PENSIONSKASSE |
425.164 | 425.164 | ||||
| **D | GLOBAL LISTED INFRASTRUCTURE (HEDGED) MORNINGSTAR |
EUND | 106.511 | 106.511 | |||
| **D | GLOBAL ACTIVE ALLOCATION FUND SCHRODER |
21.344 | . 344 21 |
||||
| **D | VOLTAIRE HOLDINGS LLC | S 123.04 |
S 123.04 |
||||
| **D | RETIREMENT SYSTEM OF THE CITY OF NEW YORK TEACHERS . |
б 93 - 86 6 |
б 93-86 б |
||||
| Pagına 6 | |||||||
| Azionisti: | Teste: 439 చ |
19 | |||||
| Azionisti in proprio: | 6 | Azionisti in delega: | 430 చ |
ర్ కాం

છે/ ໄ
Just 2017
S
Assemblea Ordinaria del 10 maggio 2023
| Oggetto: Determinazione del combenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| I ISTA ESITO DELLE VOTAZIONE |
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | KT INVESTERINGSFORENINGEN NORDEA INVEST AKTIER |
0 | 25.477 | 25.477 |
| **D | 552 | 146.518 | 146.518 | |
| **D | SHEIT FENSIONS INNITED AS TRUSTEE OF SHETT CONTAIROLOGY PENSION FOM | 133-350 | 133.350 | |
| **D | AUSTRALIANSUPER | 256.664 | 256.664 | |
| **D | DELTA MASTER TRUST | 47.382 | 382 47 - |
|
| **D | PRICE CONCENTRATED GLOBAL EQUITY FUND T. ROWE |
0 | 6.903 | 6.903 |
| **D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 0 | 3.180.074 | 3.180.074 |
| **D | PTV2 | 0 | 464 - 493 | 464.493 |
| **D | PT-VISION | 0 | p 914.94 |
914 - 944 |
| **D | JPMCBNA | C | б ರ 6.2 |
6 6.29 |
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | C | 91 .279.8 б |
9-279.891 |
| **D | F. M. KIRBY FOUNDATION INC | 0 | u 9 . 5 37 |
5 37.59 |
| **D | FIDELITY EUROPEAN FUND l FUNDS INVESTMENT FIDELITY |
0 | ర్ .126.12 ਰੇ ไ |
ర .126.12 б T |
| * * D | TF-EQUITY | 0 | 9 .481.35 T |
9 401.35 1. |
| **D | EQUITY DT |
0 | 009.024 T |
009.024 I |
| **D | FIDELITY EUROPEAN TRUST PLC | 0 | 333-236 1 |
33.236 € 1 |
| **D | FUND EQUITY PRICE FUNDS OEIC - GLOBAL SELECT ROWE T. |
0 | 851 7 |
റ്റ് ട 7. F |
| **D | FUND INTERNATIONAL EQUITIES MACQUARIE |
0 | 9 99 169 |
9 69.98 T |
| **D | RETURN FÜND SUSTAINABLE SELECTION NORDEA |
0 | 8 . 24 ಗ |
8 4.24 |
| **D | PASSIVE FUND EUROPEAN NORDEA |
0 | 117.352 133.792 |
117.352 133.79 |
| **D | FINND MULTI-FACTOR MACQUARIE |
0 0 |
6.916 | |
| **D | STRATEGA 90 FUND NORDEA |
0 | ਰੇ ਹੋ ਦ 953 6. 98. |
953 8 - ਰੇ |
| **D | SYDINVEST INVESTERINGSFORENINGEN |
0 | 047 | 119.047 |
| **D | STRATEGIC INTERNATIONAL EQUITY FUND | ਰੇ ਪੇ ( 19. ไ |
ਰੇ ਪੈ (ਮ 126 |
|
| **D | INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 0 0 |
7 8 ਰੇ 126. 11. |
11.789 |
| **D | ICVC-JPM DIVERSIFIED GROWIH FUND III FUND JPMORGAN |
0 | 60.305 | 60.305 |
| **D | EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 0 | 213 21. |
21.213 |
| **D | ઉં 5 SUEWAG |
1.743.520 | ||
| **D | FORSIKRINGSAKTIESELSKAB PFA PENSION |
.743.520 167.252 L |
167.252 | |
| **D | VERDIPAPIRFONDET NORDEA GLOBAL | 249 32. |
2 4 9 32. |
|
| **D | ਵਿੱਚ ਦ LEW |
.529.416 ī |
1.529.416 | |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER KYBURG INSTITUTIONAL FUND - AKTIEN WELT |
290.758 | 290.758 | |
| D D |
PENSJON EQUINOR |
00 0 0 30 |
300.000 | |
| EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS | 142.241 | 142.241 | ||
| D D |
INVESTERINGSFORENINGEN NORDER INVEST GLOBALE UDBYTTEAKTIER KL STICHTING JURIDISCH |
165 269. |
269.185 | |
| **D | ENERGY-INFRASTRUCTURE-RENEWABLES FUND SP FULCRUM l SPC FUNDS FULCRUM |
9-248 | 9-248 | |
| **D | CRITERIA INDEX EUROPA HANDELSBANKEN |
0 | 27 .862.0 t |
1.862.027 |
| **D | LIMITED RETIREMENT BENEFITS SCHEME INSURANCE SOCIETY UNION MUTUAL FARMERS NATIONAL |
9.094 ਟ |
29.094 | |
| **D | INDEX FUND EQUITY INTERNATIONAL PRICE T. ROWE |
O | 423.540 | 0 423.54 |
| **D | INTERNATIONAL CORE EQUITIES WHOLESALE SRI |
0.126 | 0.126 | |
| **D | FUND INCOME ICAC - JPM MULTI-PSSEI FUND JPMORGAN |
31.567 | 31-567 | |
| **D | NORDEA GENERATIONSFOND SENIOR | б 2 ea . I e 33.80 |
69.169 33.807 |
|
| **D | 178 ENVIA |
O | ||
| **D | GLOBAL INFRASTRUCTURE MEGATRENDS FUND CBRE MAINSTAY |
ರ್ಥ 84.00 8 12. |
084 989.031 12.884. |
|
| **D | FOND BUILDER INCOME JPMORGAN |
89.031 ਦ ਰੇ 636. ರ |
636.695 | |
| **D | 50-TAL GENERATIONSFOND NORDEA |
49.113 | 49-113 | |
| **D | I BUMA-UNIVERSAL-FONDS |
16.744 | 6.744 ન |
|
| D D |
VERDIPAPIRFONDET NORDER FLAN VEKSTORIENTERI NORDER GENERATIONSFOND 80-TAL |
20.531 C |
531 320. |
|
| Pagina 7 | ||||
| AZIONSE | 19 Teste: 3 439 |
|||
| Azionisti in proprio | 3.430 Azionisti in delega: 6 |

Just (carrier
Azionisti in proprio: 5
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
FAVOREVOLI
| UI-FONDS BAV RBI AKTIEN | 0 Propri |
Delega 066.061 |
Totale 190.998 |
|---|---|---|---|
| TILT INDEX FUND DEASHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR |
0 | 125 1 ਦੇ ਰੋ |
9.125 16 |
| VERDIPAPIRFONDET NORDEA PLAN BALANSERT RAGS~FUNDMASTER |
70.365 827 S 2 |
70.365 827 25. |
|
| STOCK INDEX FUND VANGUARD TOTAL INTERNATIONAL |
88 વ 833 102 |
8 ব B .833. 02 |
|
| FUND NORDEA GLOBAL PASSIVE |
0 | 847 294. |
294.847 |
| INDEKS KL GLOBALE AKTIER INVEST INVESTERINGSFORENINGEN NORDEA |
0 0 |
330 843 7 4 17 |
330 17.843 74 . |
| INVEST AKTIER II KL VERDIPAPIRFONDET NORDEA PLAN KONSERVATIV NO INVEST PRONOSE FORENINGEN NORDEA |
0 | .502 8 |
8-502 |
| II) OF JPMORGAN CHASE BANK, N.A ENHANCED EQUITY RESEARCH COMMINGLED PENSION TRUST FUND (INTERNATIONAL |
0 | 726.986 | 8 ୧ 726.9 |
| ESS | 0 | 115.437 | 115.437 |
| EMBO-FONDS | 0 | 9.028 20 |
ന 209.02 |
| NORDEA WORLD FUND | 0 | . 676 . 273 I |
273.676 1. |
| NORDEA GLOBAL DIVIDEND FUND | 0 | 254 . 902 . గా |
902.254 3. |
| DIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 0 0 |
. 994 907 . 233 52 |
907.233 52.994 |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND VERDIPAPIRFONDET NORDEA PLAN OFFENSIV |
0 | 53.259 | 53.259 |
| UI-E | 0 | 60.726 | 60.726 |
| PENSIOENFONDS SHELL STICHTING |
0 | .377 401 |
401.377 |
| INDEX FUND FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE |
0 | 26.205 | 26-205 |
| NORDEA AKTIEALLOKERING | 0 | 3 302-50 |
302.503 |
| VELLIV, PENSION & LIVEFORSIKRING A/S | 0 | 17.120 | 17.120 |
| NORDEA GENERATIONSFOND 60-TAL | 00 | 1 .524.424 189-59 1 |
524 - 424 189-597 L |
| DAIDO LIFE FOREIGN EQUITY MOTHER FUND EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
O | క . 10 P |
4-103 |
| EUND GLOBAL ASSET ALLOCATIONTV4 MOTHER |
0 | C . 20 E |
3.289 |
| VAERDIPAPIRFONDEN NORDEA INVEST PORTEFOLJE AKTIER | 0 | . 841 877 |
77.841 8 |
| VERDIPAPIRFONDET NORDEA AKSJER VERDEN | 0 | 8 22-80 |
22.000 |
| JPMORGAN FUNDS | 0 0 |
138.387 0 |
138.387 |
| FUND DAIWA PAN EUROPEAN HIGH DIVIDEND YIELD STOCK MOTHER GENERATIONSFOND 70-TAL |
0 | 97.933 19.99 5 |
ਰੇ ਰੋਪ 97.933 19. S |
| OF MYONING NORDER STATE |
9 94.85 ਾ |
94.856 V |
|
| GLOBALT AKTIEINDEKS KAPITALFORENINGEN SAMPENSION INVEST, |
00 | 0 ਦੇ ਭੇ 815. |
590 815. |
| COUNCIL MEXICO STATE INVESTMENT STATE OF NEW |
0 | 895 422. |
422 - 895 |
| FÜND PLUS MOTHER ASSET MULTI GLOBAL |
0 | 618 1. |
1.618 |
| ACTIVE VALUE FUND GLOBAL SCHRODER QEP |
0 | 532 29. |
532 29 |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO | 0 | 206.446 | 206.446 |
| DL INTERNATIONAL RESEARCH OPEN MOTHER FUND | 0 0 |
8 00 વે ર 482. ﺎ |
ਰ 58 7 98 82. 1. 0 |
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND FUND ALLOCATION JPMORGAN GLOBAL |
0 | 52-568 79 |
52.568 |
| INDEX FUND INTERNATIONAL NATIONWIDE |
0 | ਰੇ 21 ടലാ |
a e i દવ. S |
| NEW YORK LIFE INSURANCE & FANNUITY CORDORATION | 0 | ર્સ 7 22 |
567 22 |
| GERANA SICAV-SIF, S.A. | 0 | 137.209 | 137.209 |
| TRUST DATED 1/3/75 FBO JEFFFERS F M KIRBY |
0 | 833 11. |
11.033 |
| BOARD PUBLIC SERVICE PENSION FUND MANAGEMENT |
0 | 17.082 | 17.082 |
| FUND INCOME TM FULCRUM |
803 6 - |
6.803 | |
| PENSION SYSTEM FIRE DALLAS POLICE AND |
670 9 ్ T |
136.670 | |
| PORTFOLIO EO ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH |
0 | 9.009 ਧਾ |
49.009 |
| NATIONWIDE BATLARD INTERNATIONAL EQUITIES FUND ROWE PRICE INTEGRATED GLOBAL EQUITY FUND e |
0 | 00 00 ਟ 0 3 0 L 20 |
13-200 200.000 |
| Pagina 8 19 Teste: 3 439 |
|||
| 3.430 Azionisti in delega: 6 Azionisti in proprio. |
632

Aceland ا صدر ا
್ನಾಟ್ಟಿ
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESTTO DELLE VOTAZIONE | Uggeno: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLT |
|---|---|---|
| Badge | Ragione Sociale | Delega | Totale | |
|---|---|---|---|---|
| * * D | D KIRBY TRUST DATED 1/3/75 F/B/O S. E-M- |
29.179 | 29 - 179 | |
| **D | CHINA LIFE INSURANCE COMPANY LIMITED | 160.900 | 160.900 | |
| **D | BBP INKA | 8 54.41 |
54.418 | |
| **D | - CONTINENTAL EUROPEAN EQUITY FUND OEIC T. ROWE PRICE FUNDS |
0 | 14.484 | 14.484 |
| **D | NORDEA LIV NORGE AS LIVSFORSIKRINGSSELSKAPET |
0 | 16.315 | 16.315 |
| **D | UI-PAVO-100 | 0 0 |
.800 362 |
0 362.80 |
| **D | FUND SUSTAINABLE SELECTION MODERATE NORDEA |
17.361 | 17.361 | |
| **D | FIS SICAV- INSTITUTIONAL INVESTMENT FUND, NORDEA |
0 0 |
84-387 | 84.387 |
| **D | FUND GLOBAL ENHANCED NORDEA |
91.725 6 |
ப 72 a J . 6 |
|
| **D | KL NORDEA INVEST EUROPE ENHANCED INVESTERINGSFORENINGEN |
0 C |
139.799 22.600 |
б 8 139.79 ୧୦ |
| D D |
EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND REAL ASSETS LIMITED JEM l GLOBAL CORE FUND ICVC JPMORGAN JPMORGAN |
0 | ર 3 ક - 60 |
535 22. 88. |
| **D | - EO/MELLINGLON ENERGY BORIEOLIO TRUST EQ ADVISORS |
0 | 8 02.49 I |
8 102.49 |
| **D | FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD |
0 | .277.123 9 |
.277.123 9 |
| * * D | INFRASTRUCTURE PORTFOLIO CBRE GLOBAL VP MAINSTAY |
126.001 | 001 126. |
|
| **D | PGIM STRATEGIC INVESTMENTS, INC. | 0 | 521 б |
521 ഗ |
| **D | POOLED FUND TRUSTEE CORPORATION SAS |
792 16. 8 |
.792 । ਦ B |
|
| **D | DIVERSIFIED LIQUID ALTERNATIVES FUND FULCRUM IM |
ਦ 02 1~ |
502 7 . |
|
| **D | EUROPEAN SHARE FUND BT |
ਟ 0 4 б б T |
. 042 б б T |
|
| **D | GLOBAL FUND NORDER SUSTAINABLE EQUITIES |
701 345. |
.701 345 |
|
| **D | FUND EQUITY RESEARCH ENHANCÉD INTERNATIONAL JPMORGAN |
153 . 620 . ਟ |
153 .620. ਟ |
|
| **D | SUSTAINABLE INFRASTRUCTURE FUND JPMORGAN |
ਰ 9 3 JB |
ਰੇ ਤੋ б ರ್ಯ ไ |
|
| **D | ROBIN 1-FONDS | 581 ୧୧ - ਟ |
81 S ୧୧ 2 |
|
| * * D | INTERNATIONAL SELECTION FUND SCHRODER |
ર ર ર ર 8. 8 . 2 T |
ર્દ . ୧ ന്ന 8 .2 T |
|
| **D | FUND (UNHEDGED) SECURITIES MACQUARIE INTERNATIONAL INFRASTRUCTURE |
108 726. |
86 B 0 I 26 |
|
| **D | TRPH CORPORATION | 598 4. |
ഗ レ |
|
| **D | INLERNALIONAL DEFENSIVE SLAPE FUND AQR l AOR FUNDS |
046 7.491 0. ల |
0 4 6 7.491 0 3 |
|
| D D |
FUND LLC COUNTRY ENHANCED INDEX ETF JPMORGAN SUSTAINABLE INFRASTRUCTURE INTECH GLOBAL ALL |
୧୫ I 28 - |
28.681 | |
| **D | ER 3 PSI 3 GLOBALE AKTI INVEST, БЕЛЕНИ KAPITALFORÉNINGÉN |
୧18 461. |
61.610 ਸਾ |
|
| **D | ENHANCED INDEX EQUITY FUND RESEARCH GLOBAL JPM l ICVC FUND JPMORGAN |
ਦ ਰੇ 9 115. |
115.669 | |
| **D | T. ROWE PRICE AUSTRALIA LIMITED | 073 । ਰੇ |
19.073 | |
| **D | F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC | e I B 8. L |
18.618 | |
| **D | FUND PRICE INTERNATIONAL VALUÉ EQUITY T. ROWE |
30 દ્વા .278 8 I |
. 130 8.278 ไ |
|
| **D | 15 NORDEA STRATEGA |
42 б ್ S |
ਰੇ ਪੇਂ 2 € S |
|
| **D | STRATEGA 70 NORDEA |
743 6. 33 |
336.743 | |
| **D | INTERNATIONAL RESPONSIBLE INDEX ETF CALVERT |
દ ર b 8 T |
. 4 65 8 ไ |
|
| **D | 2 OB |
879 0 ટ ટ |
79 - 8 50 2 |
|
| **D | NORDEA STRATEGA 50 | ರಿ 2 ದ 242. |
242.392 | |
| r + D | OVERSEAS CONTRIBUTORY PENSION FUND LTD AS TRUSTEE OF THE SHELL (BERMUDA) TRUST SHELL |
62 48.0 |
8.062 p |
|
| **D | FAMILY INVESTMENTS LLC HOBART |
172 ર ર |
.172 62 |
|
| **D | EUROPEAN STOCK FUND PRICE ROWE |
0 | રે રે રે 748 ਟ |
2.740.563 |
| D D |
INDEX FUND NVIT INTERNATIONAL NORDEA STRATEGA 30 |
0 0 |
30 744.440 . 1 8 30 |
. 440 30 . 1 7 4 4 300 |
| 0 | 6 4 | .164 ડ 4 ﺎ |
||
| D D |
TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE TRUSTEE FOR MIZUHO దిక OF JAPAN, LTD. NORDEA WORLD PASSIVE FUND CUSTODY BANK |
154 - 1 | 105.481 1. |
|
| 1.105.481 | ||||
| **D | KT 2 INVESTERINGSFORENINGEN NORDEA INVEST BASIS |
0 | 32.250 | .250 32 |
| D D |
PORTFOLIO INDEX EQUITY ROWE PRICE RETIREMENT HYBRID TRUST - EQ/INTERNATIONAL TRUST ADVISORS EQ T. |
00 | .437.192 .445.200 T ﺎ |
1-445.200 1.437.192 |
| Azionisți: | Pagina 9 19 Teste: 3.439 |
|||
| Azionisti in propio. | 430 ತ Azionisti in delega: б |
|||
| 0 | S ದ್ದಾ 0 |
ਹੈ) |

Justicefi
Assemblea Ordinaria del 10 maggio 2023
| LISTA ESTTO DELLE VOTAZIONE | Oggetto: Determinazione del compenso dei componenti il Consiglio di Ammi |
|---|---|
| FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione |
||||
|---|---|---|---|---|
| Badge * D *D |
3 KL BASIS INVESTERINGSFORENINGEN NORDER INVEST VERDIPAPIRFONDET NORDEA PLAN MODERAT Ragione Sociale |
Proprio 0 |
Delega M 124.458 20.31 |
Totale 124.458 20.313 |
| T. D D |
EQUITY TRUST PROVEDA GLOBAL EQUITY LIMITED PARTNERSHI ROWE PRICE INTERNATIONAL VALUE |
0 0 |
. 936 17.835.457 ದ |
17.835.457 3.936 |
| D D |
FUND DIVIDEND KT ব FIDELITY INVESTMENT FUNDS - FIDELITY GLOBAL BASIS INVESTERINGSFORENINGEN NORDEA INVEST |
0 O |
205-000 38.102 8 - |
205.000 38.102 8. |
| **D | L.P. SCHRODER GLOBAL MULTI-CAP VALUE PORTFOLIO, |
0 | .535 8 N |
28.535 |
| D D |
FUND FOREIGN STOCK INDEX MOTHER FUND SCHRODER DIVERSIFIED GROWIN |
0 C |
54.223 357.891 |
54.223 357.891 |
| THE D D |
MOTHER FUND GLOBAL ASSET ALLOCATION TV3 (RISK CONSTRAINED TYPE) |
0 | 8.140 | 8.140 |
| **D | TRUST RETIREMENT PLANS MASTER GAMLA LIVEORSAKRINGSAKTIEBOLAGET SEB TRYGG LIV BOEING COMPANY EMPLOYEE |
0 0 |
315.468 69.432 |
315.468 69.432 |
| D D |
WORLD MULTI ASSET MOTHER FUND | 0 | 6.142 | 6.142 |
| **D | SECURITY INC. THE PUBLIC INSTITUTION FOR SOCIAL T. ROWE PRICE FOREIGN INVESTMENT, |
0 0 |
094.926 3.060 T |
094.926 3.060 T |
| **D | NORDEA AVTALSPENSIONSFOND MIDI | 0 | ల 55 80 - |
553 80. |
| **D | AMF AKTIEFOND EUROPA | 0 | 50 - 456 B て |
50.456 8 ਟ |
| ACTIAM D D |
SUSTAINABLE INDEX FUND EQUITY EUROPE ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA |
0 0 |
8 789.644 239.10 |
89.644 239.108 |
| **D | ANIMA PICPAC VALORE GLOBALE 2028 | 0 | 11.400 | 11.400 |
| **D | MEAG MM-FONDS 100 | 0 | 13 340 | 13.340 |
| D D |
ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA l SMILSEBTEVEN INSLILLIONETE BETEGEINGS CONDSEN PA FCP AVENIR CROISSANCE |
0 0 |
14.970 151.595 |
14.970 151.595 |
| **D | AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 0 | 711.000 | 711.000 |
| **D | ANIMA VALORE GLOBALE | 0 | 82.501 S |
82.501 137 |
| FCP D D |
ਟ IRCOM RETRAITE DIVERSIFIE BANCOPOSTA MIX 1 |
0 0 |
59.600 48.830 |
59-600 48.830 |
| **D | DEAM FONDS ATZM | 0 | 48.000 | 48.000 |
| **D | KAYNE ANDERSON RENEWABLE INFRASTRUCTURE FUND | 0 | 443.747 | 7 47 443. |
| D D |
- 2WITSERLEVEN EUROPEES AANDELENFONDS 2MILSERTEVEN BELEGGINGSFORDSEN SYCOMORE SELECTION RESPONSABLE |
0 0 |
879.410 325.610 2 |
325.610 879.410 ১ |
| **D | ACTIAM BF ASIFEW | 0 | 31.629 | 31.629 |
| LE **D |
SECULAIRE | 0 | 2.150 | 2.150 |
| LA D D |
FRANCAISE GREEN TECH EUROPE | 0 | 209.242 | 209.242 |
| **D | LORENTZ POCKET CROISSANC SAEV MASTERFONDS INKA |
0 0 |
31.824 402.243 |
402.243 31.824 |
| **D | MS-B HAUPFONDS OF BEHALF ON мвн UNIVERSAL-INVESTMENT-GESPILISCHAFT |
0 | 224.782 | 224-782 |
| **D | UNIVERSAL-OCO OF BEHALF ON UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH |
0 | 45.522 | 522 45. |
| D D |
PENSIOEN STICHTING AHOLD DELHAIZE MEAG EUROERTRAG |
O 0 |
88.417 70.879 3 ﺎ |
370.879 188.417 |
| **D | SYCOMORE INCLUSIVE JOBS | 0 | 217.940 | ਰੇ ਕੇ ਹ 217. |
| **D | HMT GLOBAL AKTIEN INFRASTRUKTUR UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF |
0 | 90.000 | 90.000 |
| **D | BANCOPOSTA AZIONARIO INTERNAZIONALE | O | 00.515 5 |
00.515 S |
| D D |
ਰੇ ਹ HMT EURO AKTIEN PROTECT OF UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF ACTIAM DUURZAAM EUROPEES AANDELENFONDS |
0 0 |
15.616 34.050 |
15 - 616 050 134. |
| **D | DNCA INVEST VALUE EUROPE | 0 | .476.911 ਟ |
.476.911 2 |
| **D | ANIMA VISCONTEO | 0 | .798.324 ಒ |
.798.324 ਟ |
| D D |
FUND JANUS HENDERSON GLOBAL EQUITY INCOME PRAXIS INTERNATIONAL INDEX FUND |
0 | 194 63. |
63.194 |
| **D | MEAG PREMIUM | 95.672 . 901. 460 . ব ਟ L |
.495.672 2.901.460 L |
|
| Pagina 10 19 3.439 |
||||
| Azionisti in proprio: Azionisti: |
3.430 Azionisti in delega: Teste: g |
|||
| 11 120 | (7) 3 ﮯ |
|||

Assemblea Ordinaria del 10 maggio 2023
| LISTA ESITO DELLE VOTAZIONE | Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione |
|---|---|
| ----------------------------- | ------------------------------------------------------------------------------------- |
FAVOREVOLI
| COMMERZBANK FLEXIBLE ALLOCATION EUROLAND Pagina 11 EURO AKTIEN VOLCONTROL BAYERISCHER PENSIONSFONDS BEHALF OF VSTBH-UNIVERSAL-FONDS 12 UNIVERSALFONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO-UNIVERSAL-FONDS ARSD-UNIVERSAL-FONDS BEHALF OF WMB-UNIVERSAL-FONDS. UNIVERSAL-INVESTMENT-GESELLESCHARL NEW ON BEHATE OF AE-UNIVERSAL-FORDS UNIVERSAL-INVESTMENT-GESELLSCHAET MEH ON BEHALF OF EPOTIF WASTERFONDS COLUMBUS FONDS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND 19 430 ಗಾ UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEKALF OF HMT вні KAYNE ANDERSON RENEWABLE ENERGY TRANSITION FUND, L.P. OF OE OF OF OF BEHALF BEHALF UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF ONIVERSAL-INVESTMENT-GESELTSCHAEL ABH ON BEHATE BEHALF Azionisti in delega: INTERNATIONAL STOCK FUND AZ FUND 1 AZ ALLOCATION GLOBAL CONSERVATIVE AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD ON ON סא MBH ON ON HUMAIN ANIMA PICPAC ESALOGO BILANCIATO 2025 III UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH мвн мвн FUND 1 AZ ALLOCATION GLOBAL INCOME PENSION PLAN AZ FUND 1 AZ ALLOCATION DYNAMIC FOF FUND 1 CGM OPPORTUNISTIC GLOBAL FRANCAISE ACTIONS EURO CAPITAL UNIVERSAL-INVESTMENT-GESELLSCHAFT UNIVERSAL-INVESTMENT-GESELLSCHAFT UNIVERSAL-INVESTMENT-GESELLSCHAFT Teste: AMERICAN HEART ASSOCIATION, INC. HENDERSON HORIZON EUROLAND FUND 2 FONDS OBJECTIF CLIMAT ACTIONS BANCOPOSTA EQUITY ALL COUNTRY HI BAMI DIVIDENDE BLUS FONDS ANIMA TARGET VISCONTEO 2024 CAIXABANK GLOBAL ALBUS FUND 3.439 ర SYCOMORE L/S OPPORTUNITIES AZ FUND 1 AZ EQUITY EUROPE BANCOPOSTA AZIONARIO EÚRO |
Totale 344.049 Delega 344.049 Proprio 0 |
.260.776 26.150 L 776 26.150 260 . I 0 0 |
. 041 612 612-041 0 |
.342 614.514 ਕੇ ਤੋ 342 614.514 43 . 0 0 |
57.541 T 57.541 τ C |
. 122 ന б b 122 98. ರ 0 |
280-408 186 - 857 857 80.408 186. ਟ 0 G |
520.000 520.000 G |
457.326 326 57. p 0 |
. 844.957 1 .844.957 T 0 0 |
65.915 970.565 ર્ટક 915 70 દર્શ્વ б 0 |
290-000 000 90. ದ 0 |
5.000 18 000 5. 8 ไ 0 |
15.830 030 15. 0 |
.693.900 763.615 ਟ ﺎ 900 625 . 693 . . 763 - ਟ ﺎ 0 |
217.118 118 217. 0 |
113-244 244 13 L |
181.000 81.000 1 0 |
5.045 . 354 ന 0 व 5 રે વ E S 8 |
239.500 00 S ਰੇ - 23 |
30.405 30.405 |
-401 276.740 11 276.740 11.401 |
218-175 2. .175 -218 ಒ |
120.000 00 120.0 |
40.878 0.878 P |
02.000 09.49 য 82.000 409.495 0 0 |
ale 28. 28.976 0 |
40.500 40.500 0 |
42.673 42.673 0 |
818 18.661 28. โ 818 118.661 28 |
000 50. 50.000 |
130.000 130.000 |
211.662 211.662 |
57.744 744 57. |
100.000 942 70. 100.000 942 70 |
ਰੇ ਰੋ S 445. 45.599 து |
088.780 .780 00 8 |
0 ਤੇ ਕ . 615. ഗ . 034 615 S |
080 80 ర్ 10. 148. . OBO 0 ਰੇਖ 10 ತೆ ಈ ﺎ |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|

Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESITO DELLE VOTAZIONE
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MEAG ÉUROKAPITAL | 202.015 | 202.015 | |
| D D |
MEAG EUROBALANCÉ VWLAKH MASTER |
0 0 |
350.023 26.000 |
350.023 26.000 |
| **D | KAYNE ANDERSON RENEWABLE INFRASTRUCTURE PARTNERS. LP | 0 | .475.062 T |
1.475.062 |
| * * D | ICAV UCITS FAM SERIES |
0 | .661.264 ไ |
661.264 T |
| **D | ETF RENEMABLE ENERGY INCOME GLOBAL EAGLE TRUESHARES |
0 | 079 9. ਦ |
9-079 ો |
| **D | OPPORTUNISTIC EUROPEAN AZ FUND 1 CGM |
0 | 5.000 C |
00 5.0 1 |
| **D | ITC INVESTMENTS , HUBER CAPITAL |
0 0 |
2.597 | . 597 ਟ |
| **D | BROCKEN-UI-FONDS CARBON TRANSITION ETF ESG MATERIALITY AND WORLD MSCI V-SHARES |
0 | 1.684 214.000 |
. 684 .000 214 I |
| D D |
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FUND EQUITY BOSTON PARTNERS GLOBAL |
0 | 365.262 | 365.262 |
| **D | PSVAG MASTERFONDS OF BEHALF ON мвн UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 | 379.721 | 379.721 |
| **D | ENGO VERMOGENSMANAGEMENT FLEXIBEL | C | 10.862 | 10.862 |
| **D | HMT EURO AKTIEN PROTECT 95 OF BEHALF ON мвн UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 | 53.955 | 5 53.95 |
| **D | KOMFORT MEAG VERMOGENSANLAGE |
0 0 |
37.016 21.384 |
21.384 37.016 |
| D D |
EUROPEAN EQUITY VERMOGENSMANAGEMENT AUSGEWOGEN SRI l SICAV INVESTMENTS GENERALI ERGO |
0 | 546 - 28 9 | 546.289 |
| **D | CONSERVATION INTERNATIONAL FOUNDATION, INC. | 0 | 7.726 | 9 72 7. |
| **D | CORPORATION FIDUCIARY ERIENDS |
0 | 16.614 | 16.614 |
| **D | VERMOGENSANLAGE RETURN MEAG |
0 | 26.832 | 26.832 |
| **D | DIVIDENDE MEAG |
0 | 50.000 | 50.000 |
| **D | VERMOGENSMANAGEMENT ROBUST BRGO |
0 | 15.714 | 15.714 |
| **D | SPM 2006-UNIVERSAL-FONDS OF ON BEHALF ਅਭਿਜ UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 0 |
.138.097 8 ਪੈ 33. E |
33-845 .138.097 E |
| D D |
I STANDARD SICAV EOROPE SICAV ABERDEEN FIDELITY |
0 | 2.442 | 2.442 |
| **D | 2 EXANE FUNDS |
0 | 404.041 P |
.404.041 7 |
| **D | REACTIF GTS l LUX FRANCAISE LA |
0 | ર દર્શક 22. |
22.565 |
| **D | PICPAC MAGELLANO 2023 ANIMA |
0 | d d ಗ |
. 444 ా |
| **D | SOSTENIBILE INVESTO POSTE |
C | 277.820 | 277.820 |
| **D | FONDO PENSIONE APERTO l ARTI & MESTIERI |
15.246 | 15.246 | |
| **D | EUROPA SELEZIONE AN THA |
911 . 349 |
ਰ I I б ਤੇ ਕ t |
|
| **D | POTENZIALE ITALIA ALTO ANIMA |
0 G |
. 499 585 0 d । ਰੇ . ਰੇ I |
ਹੋ ਕੇ 85 m .904 . 4 ਹ ਹੋ - L |
| D D |
II 2025 PICPAC ESALOGO BILANCIATO ANIMA |
459.267 | 9.267 વે ર |
|
| ESAGONO AZIONARIO GLOBALE ANIMA |
295.232 | 295.232 | ||
| * * D **D |
CRESCITA ITALIA MAGELLANO ANINA ANIMA |
828 759. T |
828 .759. t |
|
| **D | INTERNAZIONALE AZIONARIO ANIMA |
242 77. |
77.242 | |
| **D | ITALIA OBIETTIVO ANIMA |
183.326 | 183.326 | |
| **D | PRUDENTE ESALOGO ANIMA |
54.005 | 54.005 | |
| **D | INVESTITORI PIAZZA AFFARI | 300.000 | 300.000 | |
| **D | PICPAC ESALOGO BILANCIATO 2026 ANTMA |
0 | 47.320 | 47.320 |
| **D | ESG EQUITY FLEXIBLE INVESTITORI |
0 0 |
21.430 59.676 |
59-676 21.430 |
| **D | LTE ANIMA AZIONARIO PAESI SVILUPPATI |
0 | 281.690 | 201.690 |
| D D |
2023 BIL ESALOGO MIX 3 РІСРАС BANCOPOSTA ANIMA |
0 | . 700 ದ |
3-700 |
| **D | HMT WERTSICHERUNG 94 ESG ON BEHALF OF мвн UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 | 0 17.19 |
17.190 |
| **D | GLOBALE SELEZIONE ANIMA |
0 | 239.930 | 239.930 |
| **D | 2 R5 2015 SGD |
300.795 | 5 300.79 |
|
| **D | HI-172915-FONDS | 0 | ப 0 39.32 16.54 |
16.548 39.325 |
| **D | BPI GLOBAL INVESTMENT FUND- MAVERICK GLOBAL FUND | |||
| Pagina 12 | ||||
| A zionisti | 19 Teste 3 430 |

2000
a gr
((200
3.430
Azionisti in delega:
G
Azionisti in proprio:
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
FAVOREVOLI
| 542-635 40.000 51.100 68.403 34.546 5.328 145.457 805 000 240 998.383 750.941 41.000 1.163.952 343.161 3.471 511 ਬ ਰੇ ਦ 147 317 000 454.175 53.116 580.000 202.060 90 160.000 3.725.000 75.395 696.917 90.000 150.000 351 531,797 132 61.442 214.000 150.000 21.730 Totale 1.172.244 21.740 93-000 24-440 165.838 27.278 8 736. 710- 625. ea. 11. 12. 683. 500. 51. 22. 28 - S 2 1 T |
500 57.101 20.64 12-11 2.825.00 127. |
|
|---|---|---|
| .471 .403 383 .161 9 8 683.317 500.000 u 40.000 00 542.635 .000 163.952 61.442 145.457 147 454.175 51.240 000 202.060 736.890 000 750-941 531.797 22.511 69.996 12.005 53-116 625.000 580.000 150.000 21.730 3.725.000 Delega 696.917 1.172.244 0 790.000 150.000 710.351 28.132 0 21.740 24.440 165.838 534.54 . 32 75.39 27.27 93.00 51-1 214. 11. 160 - રેવા 343 ਰੇ ਰੇਖ 41 S ದ ਟ 1. T |
2.825.000 12.119 20.645 127.500 57.101 |
|
| 000 0 0 0 0 0 0 0 0 0 0 0 D 0 0 0 0 0 Proprio 0 0 0 0 0 O 0 0 0 0 0 0 0 0 0 |
0 0 C |
|
| Pagina 13 | ||
| PSVAG AKTIENFONDS EQUITY |
19 | |
| CARBON IMPACT EURO FUND STRATEGY FUND LTD OF GLOBAL ON BEHALF AUTHORITY PREMIA FUND FUND POINT FUND |
DYNAMIC | Teste: |
| FUND 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO SYSTEMATIC GLOBAL LISTED INFRASTRUCTURE ABERDEEN STANDARD CAPITAL INTERNATIONAL LIMITED FUND SICAV -SYCOMORE GLOBAL EDUCATION KIWI INVESTMENT MANAGEMENT WHOLESALE CORE EQUITY GLOBAL INFRASTRUCTURE INFRASTRUCTURE TRUST DEVELOPMENT UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH INTERNATIONAL MERCER UNHEDGED OVERSEAS SHARES TRUST ESALOGO BILANCIATO 2025 FUNDS LIMITED SMART RISK EQUITY HEDGED LTE INTERNATIONAL SHARE OFFSHORE DNCA INVEST~EURO DIVIDEND GROWER ANIMA PICPAC VALORE GLOBALE 2027 EQUITY - VALUE GLOBAL EQUITIES ENHANCED INDEX ANIMA QBIETTIVO INTERNAZIONALE AZ ALLOCATION GLOBAL INFLECTION FUND SMART CITIES AZ ALLOCATION TREND ASSET WORLD TRADING NEUTRAL EQUILIBRADO BEYOND CLIMATE INFO-COMMUNICATIONS MEDIA CAPITAL GLOBAL EQUITY FUND 1 AZ ALTERNATIVE MINTERTHUR EPSV PRUDENTE EMPLEG SPM 2006-UNIVERSAL-FONDS 1 AZ ALLOCATION RINASCIMENTO 2026 INCOME UBAM - EUROPE MARKET ANIMA VISCONTEO PLUS PRO ITALIA 571V02 AND ﺎ ITALIA STANDARD GLOBAL EPSV DE EÜRO GLOBAL FP LUX PEGASUS-UI-FONDS EPSV AND EPSV PROPERTY Ragione Sociale INDEX BLV-SF-AKTIEN WINTERTHUR XI ATCP-UI-FONDS AZ FÜND 1 AZ FRANCAISE FRANCAISE РІСРАС ELTIF INVEST BIDEPENSION RHFS GROWTH DNCA INVEST STREET BANCOPOSTA WINTERTHUR BANCOPOSTA LAGUN ARQ AZ FUND 1 । GESTIELLE WHOLESALE SYCOMORE ENHANCED AZ MÜLTI ABERDEEN UNISUPER AZ FUND FUND |
IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIO AZ FUND 1 AZ ALLOCATION EUROPEAN GLOBAL QUALITY FUND ANIMA ALTO POTENZIALE EUROPA FF II AMP CAPITAL WINTERTHUR |
3 439 |
636

See Jan 2014 () 100
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| FAVOREVOLI | |
|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | AUROFONDO EQUILIBRADO | 110.802 | 110.802 | ||
| **D | EQUITY AZ MULTI ASSET AZ MULTI ASSET AZ ALLOCATION FLEXIBLE |
000 | 45.000 | 45.000 | |
| **D | ESAGONO BILANCIATO ANIMA |
618.613 | 618.613 | ||
| **D | POOLED SUPERANNUATION TRUST BUSS (QUEENSLAND) |
O | 12.072 | 12.872 | |
| **D | VCC FUNDS SELECT SINEBRIDGE |
64.010 | 64-010 | ||
| **D | AZ FUND 1 - A2 EQUITY WATER AND RENEWABLE RESOURCES | 0 | 310.000 | 310-000 | |
| **D | EPSV WINTERTHUR |
16.361 | 16.361 | ||
| **D | INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND RUSSELL |
0 | 41.421 | 41-421 | |
| **D | INDEX FUND SCREENED GLOBAL EQUITY KIMI INVESTMENT MANAGEMENT |
25-448 | 25.448 | ||
| **D | LISTED INFRASTRUCTURE FUND INVESTMENTS GLOBAL RUSSELL |
122.245 | 122.245 | ||
| **D | ITALIA NEW ANIMA CRESCITA |
141.321 | 141.321 | ||
| **D | EXCELLENCE 70 ITALIAN ALLOCATION PIR AZ AZ FUND 1 |
568.000 | 568.000 | ||
| **D | ABSOLUTE RETURN ANIMA |
200.000 | 200.000 | ||
| * D * |
DIVERSIFIED PORTEOLIOS FUND LTD | 8.750 | 8.750 | ||
| **D | IN FRASTRUCTURE FUND SENTIER RESPONSIBLE LISTED FIRST |
879-059 | 879-059 | ||
| **D | SFORZESCO PLUS ANIMA |
218.783 | 218.783 | ||
| **D | FLESSIBILE INVESTITORI |
000 800. |
000.000 | ||
| **D | EUROPA INVESTITORI |
0 | 000 85. |
85.000 | |
| **D | 30 AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE |
25.000 | 25-000 | ||
| **D | DEVELOPED COUNTRIES BANCOPOSTA EQUITY |
70.072 3.205 |
70.072 3.205 |
||
| **D | AZIMUT TRADING | 1.130.000 | 1.130.000 | ||
| * * D | AZIMUT TREND | 947 448 - |
448.947 | ||
| **D | TURICUM - AKTIEN - UND IMMOBILIENWERTSCHRIFTEN | 2.695 | 2.695 | ||
| **D | AZIMUT STRATEGIC TREND | ||||
| **D | ACM ACTIONS | 0 | a Se 16. |
16.926 | |
| **D | FUNDS III SACHS GOLDMAN |
5.607.607 | 5.607.607 | ||
| **D | CIC RETRAITE CM S A ACH VIE |
96.925 | 96.925 | ||
| **D | MC LEADERS DURABLES COMPARTIMENT |
75 0 106. |
106-075 | ||
| **D | DYNAMIQUE CM-AM ALIZES |
549 266. |
266.549 | ||
| **D | ACM IARD SA | 1668 1.163. |
1-163.891 | ||
| **D | CM-AM EUROPE DIVIDENDES | ਰੇ ਤੇ 699.6 |
699.693 | ||
| **D | DNCA BEYOND ENGAGE | 660.000 | 660.000 | ||
| **D | SCHMIDT GROUPE FUND | 0 | 25.000 | 25.000 | |
| **D | SUD-EUROPEEN PIPELINE |
4.362 | 4 - 362 | ||
| **D | CAPSUGEL | 17.630 | 17.630 | ||
| **D | CM-AM SUSTAINABLE PLANET | 1.636.390 | .636.390 T |
||
| **D | LEXMARK DYNAMIQUE | 0 | 6.549 | б 6.54 |
|
| **D | ACTIONS ISR S ACTIVE |
720.000 | 720.000 | ||
| **D | CM-AM ALIZES TEMPERE | 187.566 | 187.566 | ||
| **D | SA PACTE RETRAITE EURO ACM VIE |
8 871.26 |
. 268 871 |
||
| **D | GERARD PERRIER INDUSTRIE | 5 11.33 |
ಗು 33 11. |
||
| **D | DNCA OPPORTUNITES ZONE EURO | 387.800 | 387.800 | ||
| **D | MUTUEL STAUBLI 50 50 CREDIT |
18.828 | 8 ಡಿನ 18. |
||
| **D | ACM MUT FONDS GENERAL | S 2.088.19 |
S ਹੈ ਕੇ .088. ਟ |
||
| **D | ADVANCED CM-AM |
20.000 | 000 20. |
||
| **D | PARTAGE CM-AM |
1-411 | 1.411 | ||
| **D | PIANA SICAV |
72.500 | 500 72. |
||
| **D | FONDS GENERAL ACM VIE SA |
96.39 B 8 |
ਤੇ ਕੇ ਦੇ 96. . 8 8 |
||
| **D | SELR EURO ACM VIE SA |
075.210 1. |
210 .075. T |
||
| **D | EUROPE DNCA VALUE |
99.473 1.4 |
. 499. 473 L |
||
| Pagina 14 | |||||
| Azionisti: | Teste: 3.439 |
19 | |||
| Azionisti in proprio: | Azionisti in delega: б |
3.430 | |||


ಲ್ಲ
J ದ್ರಾ
ുക്കും പ്രാമത്തിലെ അവലംബം പ്രത്തിന്റെ അവലംബം പ്രത്തിന്റെ അവലംബം പ്രത്തിന്റെ പ്രത്യേക്കുന്നു. അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം സംസ്കാരം സ്വീതിക സംഭവി
9 Azionisti in delega:
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE |
FAVOREVOLI
| adge | Ragione Sociale | |||
|---|---|---|---|---|
| * D | PORO CONVICTIONS CM-AM |
Proprio 0 |
Delega 39.976 б |
Totale 976 |
| * D | EURO ORANO ACTIONS ZONE |
939. | ||
| *D | 1 હિ DIVERSIFIE HENKET |
g 0 |
.751 4 - 0 4 9 8 б |
.751 94.049 0 |
| *D | ACTIONS EPSON FRANCE EURO |
0 | 600.6 | గా |
| * D | FRANCE CH RIVER LABORAT |
0 | 4-325 | . 003 4.325 |
| * D | GROUPE ROCHE | 0 | 8.032 б |
98.032 |
| * D | FONCIL | 0 | 25.362 | 5.362 ਟ |
| * D | MEDIA CMI |
0 | 1.042 | 1-042 |
| * D | 5 ACTIVE DIVERSIFIE ISR | 0 | 52.298 | |
| * D | CARGILL ACTIONS | 0 | 8.682 | 52.298 . 682 യ |
| * D | FERTILSODEBO | 0 | 879 6 |
879 б |
| *D | THE MASTER TRUST BANK OF JAPAN, ITD. RE: NISSAY FOREIGN EQUITY PASSIVE MOTHER POND (ONLY FOR PENSION) | 0 | ਰੇ ਦੇ ਕ 59. |
. 954 б ഗ |
| *D | FEDEX | 0 | 9-024 | . 024 ഗ് |
| *D | CUSTODY BANK OF JAPAN, LTD. RE: MATB NEW RESOURCE TECHNOLOGY MOTHER FUND | 0 | 41.276 | 41.276 |
| * D | OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND BANK TRUST MASTER THE |
0 | 751.556 | 751.556 |
| *D | SOLIDAIRE TERME OTIS MOYEN |
0 | 40.704 | 40.704 |
| AD | DIVERSIFIE EUROP ASSISTANCE |
0 | 2.360 | 2.360 |
| *D | DIVERSIFIE AMORA MAILLE |
0 | 5.226 | 5.226 |
| * D | PYRENEES GLOBAL | 0 | 10.421 | 10.421 |
| 1 * |
MOTHER FUND RE: MATB NEW RESOURCES JAPAN, LTD. OF BANK CUSTODY |
0 | 261.551 | 251 261 |
| 0 考 |
COFACE N 1 | 16.796 | 16.796 | |
| *D | DAIWA OUSHU KOU-HAITOU KABU MOTHER FUND STB RE: IND. JAPAN. OF CUSTODY BANK |
0 | 50.801 | 50.001 |
| *D | STABILIZED INCOME MOTHER FUND RE: NISSAY LTD. JAPAN, OF BANK TRUST MASTER THE |
0 | 37.769 | 37-769 |
| *D | TRUST KOKUSAI OF SERIES SUND. EUROPEAN EQUITY |
0 | 19.049 | 8 4 9 б L |
| *D | INDEX MOTHER FUND (CURRENCY HEDGED) FOREIGN STOCK STB RE: LTD. JAPAN, OF BANK CUSTODY |
0 | 5.439 ਰੇ |
439 S ਰ |
| * D | ET A ು |
0 | 2.771 | .771 ਟ |
| * D | RESP SOCI EQUI CONVERGENCE |
0 | 590.118 | . 118 ਵ ਕੇ ਹ |
| * D | ਤੇ ਸੀ ਦ DEVELOPED EX-U.S. VALUES CATHOLIC SEP X GLOBAL |
0 | ୧ ବି ବି 8 - |
0.644 |
| *D | POOL ABSOLUTE RETURN GLOBAL EQUITY l FUNDS FIDELITY |
0 | 104 52. |
. 104 52 |
| *D | COMPANY LIMITED PUBLIC FUNDS VANGUARD |
0 | 393-285 8 |
8.393.205 |
| * D | PLANS BENEFIT EMPLOYEE FOR FIAM GROUP TRUST |
0 | 9.400 ਟ б |
. 400 29 6 |
| *D | UTILITIES FUND ADVISOR FIDELITY VII: SERIES ADVISOR FIDELITY |
0 | 338.700 | 338.700 |
| 0 | ETF RESEARCH ENHANCED IN EQ (ESG) UCITS ICAV-GLOBAL (IRELAND) ETFS J PMORGAN |
0 | 201.262 | 201.262 |
| 0 * |
MOTHER FUND KOUHAITOU SEKAI RTB RE: LTD. JAPAN, OF BANK CUSTODY |
0 | 300 3. S |
53.300 |
| *D | MIXTE CARGILL |
0 | 0 8 2 గా |
085 ர |
| *D | POOL SUSTAINABLE GLOBAL DIVIDEND PLUS l FUNDS FIDELITY |
0 | ਰੇ ਰੋ 9 .011. 1 |
ਵਰਕ .011 L |
| * D | 18420-7105 TOKKIN RB RE: LTD. JAPAN, OF BANK CUSTODY |
0 | 01 ರಿ 5 - 8 11 |
. 801 ப ടെ |
| D * D |
FUND INDEX EUROPE MSCI ICAV/FIDELITY न प FIDELITY UCITS |
873 6. ਟ |
873 26. |
|
| FUND MULTI-STRATEGY ASSETS REAL STEERS を COHEN |
0 | 34.833 | 833 ਤੇ ਪ |
|
| *D | FUND EX-US EQUITY TRUST-WORLD INVESTMENTS INSTITUTIONAL SEI |
0 | .622.727 ర |
622.727 3 . |
| D D |
ENHAN INDEX EQ (ESG) UCITS ETF RESEARCH EUROZONE l ICAV (IRELAND) ETFS JPMORGAN |
567 151. |
67 S 151 |
|
| II FUND EQUITY INTERNATIONAL THORNBURG |
527 യ ਟ |
527 28 |
||
| * D *D |
EQUITY FUND TRUST INTERNATIONAL INSTITUTIONAL INTERNATIONAL OF ਟੇਡੀ THE |
. 132-468 B |
-132.468 B |
|
| * D | RE: GIM INTERNATIONAL EQUITY MOTHER FUND LTD. JAPAN, FUND BANK INDEX TRUST MASTER CREDIT |
.250 ਕ ਤ |
.250 41 |
|
| * D | MANULIEE INTERNATIONAL EQUITY INDEX MOTHER FOND RE: LTD. JAPAN (LUX) OF BANK MASTER TRUST SUISSE THE |
6.380 33.753 L વે 00 |
6.380 .433.753 โ B |
|
| *D | SERIES PUBLIC LIMITED COMPANY INVESTMENT VANGUARD |
670 9 ದ L 8 |
6.670 S . 1 8 |
|
| *D | CM-AM SOLIDAIRE TEMPERE ISR | 00 S 8 ﻟﺴﺎ โ |
500 178 |
|
| * D | EQUITY INDEX MOTHER FUND TMA GLOBAL RE : TRUST BANK OF JAPAN, LTD. MASTICIR THE |
136.330 | 136.330 | |
| Parina 15 |

1204
) copes
( ( ( ( ( ( ) ( ( ( ( ) ( ( ( ) ( ( ) ( ( ) ( ) (
19
3.430
3.439 Teste:
Azionisti in proppo
Azionisti:
10 maggio 2023 16.27.23
Assemblea Ordinaria del 10 maggio 2023
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
FAVOREVOLI
| 69.988 Badge **D |
THE MASTER TRUST BANK OF TAPAN EURO STOKY 50 EX BANKS (JPY HEDGED) (PRIVATELY PLACED INVESTIENT TRUST) Ragione Sociale |
Proprio | Delega 0 |
Totale 69.988 |
|---|---|---|---|---|
| D D |
F SEI INSTITUTIONAL INTERNATIONAL TRUST INTERNATIONAL EQUITY GLOBAL DIVIDEND POOL FIDELITY FUNDS - |
రా 0 450.00 283.55 4. ਟ |
6 24.450.000 283.55 |
|
| **D | MSCI WORLD INDEX FUND ICAV/FIDELITY UCITS II FIDELITY |
. 454 61 |
. 454 61 |
|
| D D |
MANAGED VOLATILITY FUND INTL MANAGED CIT TAX- MACOUARIE GIOBAL LISTED INFRASTRUCTURE l TRUST MANAGED SEI INSTITUTIONAL |
0 0 |
б 29.509 61.22 |
29.509 61.229 |
| **D | ICAV ETF (IE) FUND INDEX SUISSE CREDIT |
0 | 9 97 261 |
S 97 61. ਟ |
| **D | EUND FIRST TRUST EUROPE ALPHADEX |
0 | 151.248 | 151.240 |
| D D |
INDEX MOTHER FUND HANK OF JAPAN, LTD. RE: MSCI-KOKUSAI TRUST CONTINENTAL MASTER THE |
0 | 3.800 . 64 d б |
e 4 4 008.E б |
| **D | VANGUARD INVESTMENTS IT CCE/VANGUARD SHI FUSE DEVELOPED EUROPE II CCLA | 120 95 ਟ |
5.120 б ਟ |
|
| **D | TOKKIN 18420-7106 RB RE: LTD. JAPAN, BANK OF CUSTODY |
85.787 S |
787 85. S |
|
| **D | FIDELITY FUNDS EUROPERAN DIVIDEND FOOD | 80-533 2 1 |
233 80. ਟ |
|
| **D | ME REMEMABLE ENERGY INCOME EQUITY TMAM GLOBAL RE: LTD. JAPAN, OF ванк TRUST MASTER THE |
81.260 | 260 1. 8 |
|
| D D |
FUND MOTHER PTF RESEARCH ENHANCED IN EQ (ESG) UCITS CONTROLLED BALANCE NISSAY RISK RE: LTD. (IRELAND) ICAV-EUROPE BANK OF JAPAN, TRUST ETFS THE MASTER JPMORGAN |
823 821 336. 231. |
823 821 36. 231. 3 |
|
| **D | POOL SOLUTIONS CLIMATE SUSTAINABLE l FUNDS FIDELITY |
58.680 p |
୧୫୦ 8. ഹ P |
|
| **D | FOND GIOBAT DEVELOBED EQUITY INDEX LEGAL & GENERAL |
525 ு |
કરક 3. |
|
| **D | CCF ETSE DEVELOBED MORID II ski CCF-VANGUARD INVESTMENTS II VANGUARD |
ਜ ਤੋਂ 1 ਕੇ । ਤੇ ਰੋ |
ي 1 б ತ T |
|
| D D |
EQUITY EX-US FUND - SCREENED WORLD INSTITUTIONAL INVESTMENTS TRUST FOND MACRO GLOBAL SEI DWS |
384 15.641 ୧୧ L |
8 ਖੋ 15.641 ಕ 166. |
|
| **D | БГС FUNDS UNIVERSAL SANLAM |
07.624 ﺎ |
07.624 L |
|
| **D | CIT BUTLDBR - WEALTH LACM WORLD EQUITY |
370 | 370 | |
| **D | MOTHER FUND GLOBAL EQUITY TMA RE: LTD. OF JAPAN TRUST BANK MASTER |
. 000 00 T |
000 0 0 L |
|
| **D | MTBJ400021913 RE: LTD. JAPAN, BANK OF TRUST MASTER THE |
260 ਹੋ ਰੋ |
260 б б |
|
| **D | JPM KOKUSAI REI MOTHER FUND (LDN) RE: BANK OF JAPAN LTD. MASTER TRUST |
37.032 | 37.032 | |
| D D |
FIDELITY SERIES INTERNATIONAL INDEX FUND TRUST: FUND STREET INTERNATIONAL FIDELITY CONCORD DEMOCRACY |
4.683 171.105 |
683 105 171. র . |
|
| **D | STB EUROPE EQUITY MOTHER FUND II LTD. RE: JAPAN, BANK OF CUSTODY |
27.283 | 27.283 | |
| **D | CNT FD Chili UK DVLPD WALD EX FTSE CONTRACTUAL FD/VANG INVESTMENTS COMMON VANGUARD |
153.692 | 92 153.6 |
|
| **D | (PRIVATELY PLACED INVESTMENT TRUST) BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) TRUST THE MASTER |
807 830. |
807 030. |
|
| **D | БГС FUNDS INVESTMENT BERMAN NEUBERGER |
307 | 307 | |
| **D | MOTHOPER CREDIT 20 80 STAUBLI |
ਰੇ ਤੇ ਟ 9 L |
293 16. |
|
| D D |
ETSE VANGUARD DYNAMIC ASSET ALLOCATION FUND ED- CONTR INVESTMENTS COMMON PINEBRIDGE VANGUARD |
156 920 258. 109 |
156 920 109. 8 - 25 |
|
| **D | DEV EUR EX UK CCF POOL FUNDS - SUSTAINABLE EUROPEAN DIVIDEND PLUS FIDELITY |
51 23.0 |
3.051 ਟ |
|
| **D | SCHUCO | .458 ഗ |
5.458 | |
| **D | STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND CONCORD FIDETTY |
91 . ୧ ਰੇ 18 |
. 691 978 |
|
| * * D | SUSTAINABLE RESEARCH ENHANCED EUROPE EQUITY POOL FUNDS - FIDELITY |
. Ill ਟ ਤੋਂ ਉ |
538.111 | |
| **D | ETE SELECT EQUITY INTERNATIONAL DEVELOPED |
.016 m |
3.016 | |
| **D | FUND INVESTMENTS INTERNATIONAL EQUITY RESPONSIBLE CATHOLIC |
-824 . 491 ਟ |
824 .491. 2 |
|
| **D | ED DEVELOBED MATD CHAN CONT FD/VANG FTSE CONTRACTUAL COMMON INVESTMENTS VANGUARD |
92 . 9 168 |
992 168 |
|
| D D |
DIVERSIFIED EQUITY FUND ENERGY POOL l CLEAN MANAGED TRUST FUNDS - FIDELITY ADVISER |
450.827 6 20.73 |
450.827 20.739 |
|
| **D | INDEX FUND റ 0. EX GLOBAL FIDELITY TRUST : STREFT SALEM FIDELITY |
03 3.054.2 |
3.054.203 | |
| **D | TRUST EQUITY MULTI-CAP INTERNATIONAL SCHRODER |
9 б . ട વે રેણે |
9 б S 65. б |
|
| **D | ETF ENHANCED GLOBAL EQUITY UCITS SUSTAINABLE RESEARCH FIDELITY UCITS ICAV - FIDELITY |
6 .32 20 |
б 32 20. |
|
| D D |
ત્વ FIDELITY FUNDS - SUSTAINABLE CLIMATE SOLUTIONS POOL FUND INFRASTRUCTURE GLOBAL NUVEEN |
O | 05 6 বী 1.653.0 .7 3 ਤੋ |
S б 0 33.74 .653.0 t |
| Pagına 16 | ||||
| Azionisti: | 19 Teste: 3.439 |

છે
ﮯ
JCA
( ( ( ) ( )
3.430
9 Azionisti in delega:
Azionisti in proprio:
Assemblea Ordinaria del 10 maggio 2023
| Uggeno: Determinazione dei compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESTTO DELLE VOTAZIONE |
FAVOREVOLI
| Badge | Ragione Sociale | Delega | Totale | |
|---|---|---|---|---|
| **D | IONAL INDEX FUND FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNAT |
Propilo | 2.774 886 | 2.774.886 |
| **D | DEVELOPED MARKETS EX-US ALSHADEX FUND TRUST FIRST |
176.285 | 176.205 | |
| **D | DYNAMIC EUROPE EQUITY INCOME FUND FIRST TRUST |
0 | 343-678 | 343.678 |
| **D | POOL 50 STOXX EURO l FUNDS FIDELITY |
60.131 9 |
60.131 9 |
|
| **D | FUND (Q.P.), LLC THORNBURG INTERNATIONAL EQUITY |
ঠ 94.29 |
94.292 | |
| **D | POOL FUNDS - ITALY FIDELITY |
4.918.918 | 918.918 4 . |
|
| **D | CCF (B) FTSE DEVELOPED MORID II VANGUARD SRI l CCF II INVESTMENTS VANGUARD |
53.119 2 |
119 53. ਟ |
|
| **D | POOL EUROPE EQUITY FUNDS - SUSTAINABLE FIDELITY |
194.427 1 |
94.427 . 1 1 |
|
| **D | logic p ALPHADEX EUROZONE TRUST FIRST |
0 | 12.641 | - 641 12 |
| **D | ENHANCED EUROPE EQUITY UCITS ETF UCITS ICAN - FIDELITY SUSTAINABLE RESEARCH FIDELITY |
15.253 E |
5.253 31 |
|
| **D | ÉPARGNÉ DIVERSIFIE ELIOR |
5.745 | 5.745 | |
| **D | SOLIDAIRE ORANO ISR |
37.587 | 37.587 | |
| **D | FRANCE AVS THALES |
5.380 | 380 ഗ് |
|
| **D | PHELPS GLOBAL LISTED INFRASTRUCTURE CIT DUFF & |
0 | 112.300 | 300 112. |
| **D | INDEX PORTFOLIO INTERNATIONAL VARIABLE INSURANCE PRODUCTS FUND II: |
0 | 124.111 | 124.111 |
| **D | RE: MTBJ400021914 BANK OF JAPAN, LTD. THE MASTER TRUST |
0 | 28-202 | 202 28. |
| **D | POOL INCOME ENHANCED - GLOBAL FUNDS FIDELITY |
0 | 88 - 465 B |
888.465 |
| **D | SUSTAINABLE EQUITY FUND LACM GLOBAL PLC - LOS ANGELES CAPITAL GLOBAL FUNDS |
0 | 16-678 | 16.618 |
| **D | EUROPE BALL PACKAGING |
4.013 | 4.013 | |
| **D | 30-70 MILLEIS BANQUE |
0 | . 855 б |
855 б |
| **D | OCE | 0 | 27.394 | ਤੇ ਰੇ ਪ 27. |
| **D | CONVERGENCE ACTIONS EUROPE | 0 | 00.935 ರ್ |
400.935 |
| **D | GLOBAL RESOURCES SOLUTIONS CIT кві |
0 | 148.102 | 140-102 |
| **D | DYNAMI QUÉ CGI |
87.539 | 539 87. |
|
| **D | LIFE INTERNATIONAL EQUITIES FUND АМР |
85.161 | 161 85. |
|
| **D | FLIP NON TAX ADVANTGD ABS AQR |
0 | 37.939 8 |
ਰ 3 9 837. |
| **D | FUND GROWTH USD PORTFOLIO IUX SUISSE CREDIT CSIFIZ |
6.104 | 104 6. |
|
| **D | PORTFOLIO FUND BALANCED EUR LUX suisse CREDIT CSIFI2 |
71.200 | 71.200 | |
| **D | FUND USD INCOME HIGH GLOBAL IUX SUISSE CREDIT CSIF4 |
56.000 | 000 6. ഹ |
|
| **D | FUND CREDIT SUISSE FUNDS AG VALUE WEIGHTED PENSION EX CH EQUITY WORLD CH ITT CSIF |
ਹੋ ਉ 46.6 |
688 46. |
|
| **D | EQUITY FUND ITALY SUISSE LUX CREDIT r CSIF |
. 862 52 C |
862 252. |
|
| **D | PORTFOLIO FUND YIELD CHE SUISSE LUX CREDIT 12 CSIF |
17.680 | 17.680 | |
| **D | CHF FUND GROWTH PORTFOLIO SUISSE LUX CREDIT CSIF12 |
5 - 120 | 120 5. |
|
| **D | AG FUNDS suisse CREDIT EMU CH EQUITY CSIF |
532.531 | 531 532. |
|
| **D | EUROPEAN DIVIDEND PLUS EQUITY FD LUX suisse CREDIT 2 CSIF |
. 057 502 |
057 502. |
|
| **D | AG FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS VORSORGE AKA |
817.634 | 817.634 | |
| **D | MANAGEMENT SCHWEIZ AG UBS ASSET FUNDS AG SUISSE BALANCED CREDIT KOLUMBAN |
1.189.727 | .189.727 L |
|
| **D | FUND PLUS EQUITY DIVIDEND GLOBAL אחדו SUISSE CREDIT CSIF 2 |
.758 б 8 4 |
9-758 ਉ ਪੈ |
|
| **D | FUND LUX INFRASTRUCTURE EQUITY FUNDS 2 CS CS INVESTMENT |
2.764.000 | 2.764.000 | |
| **D | LONG SHORT FUND ALPHA MID CAP SMALL LUX SUISSE CREDIT 2 CSIF |
320.000 | 320.000 | |
| **D | PENSION CREDIT SUISSE FUNDS AG ECONOMIC EXPOSURE EQUITY WORLD FINREON |
.616 32 |
32-616 | |
| **D | AG PASSIV CREDIT SUISSE FUNDS SCHWEIZ EX 2 CH IF AKTIEN WEIT INVEST FUND BALOISE |
. 668 б ರ್ |
9.668 P |
|
| **D | AG FUNDS SUISSE CREDIT EQUITY PK CSG WORLD |
235.632 | 235.632 | |
| *D * D |
SUISSE FUNDS AG FONDS II EQUITIES GLOBAL MARKETS CREDIT AXA VORSORGE |
0 | 770.796 | 770-796 |
| **D | FOND NMM5-WIEQ-CNS-ACCOUNT DISCOVERY WIF-EUROPE |
.293 20.934 б L |
9.293 120.934 |
|
| **D | PENSION FUND PLUS CREDIT SUISSE FUNDS AG CSIF CH III EQUITY WORLD EX CH CLIMALE CHANGE BLUE |
C | .350 ഹ |
5.350 |
| **D | SCHRODER GLOBAT VALUE FUND | . 025 8 ਹੈ ਕੋ |
148.025 | |
| **D | DANICA LINK - INDEKS GLOBALE AKTIER KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING |
117.025 | 117.025 | |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400031129 | ਟ . 19 য |
4.192 | |
| Pagina 17 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: ਰੇ |
Gol

Just Schilly
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Uggeno: Determinazione del compenso dei componenti il Consiglio di Amministrazione | ||
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
FAVOREVOLI
| Badge | Ragione Sociale | Delega | Totale | |||
|---|---|---|---|---|---|---|
| **D | INVESTERINGSFORENINGEN DANSKE INVEST SELECT | TACTICAL | KI EURO - ACCUMULATING ASSET ALLOCATION |
Proprio | 10.375 | 10.375 |
| **D | DANSKE INVEST SELECT INVESTERINGSFORENINGEN |
TACTICAL | NORGE - ACCUMULATING KL ASSET ALLOCATION |
0 | 987 র . |
4.987 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL | AKTIER l AFDELING DANICA PENSION |
0 | 574.195 2 |
.574.195 2 |
|
| **D | INVEST DANSKE INVESTERINGSFORENINGEN |
TACTICAL SELECT |
KL DANMARK AKKUMULERENDE l ASSET ALLOCATION |
0 | 82.337 | 82.337 |
| **D | INVEST DANSKE INVESTERINGSFORENINGEN |
INDEKS KL GLOBAL |
0 | 338.338 | 30.338 E |
|
| **D | - LARGE GLOBAL SHARES ONEPATH |
INDEXPOOL CAP (UNHEDGED) |
0 | 752.997 | 52.997 1 |
|
| **D | FCP ALM ACTIONS EUROPE ISR | 0 | 583.983 | 983 83. S |
||
| **D | FONDO PENSIONE COMETA | 0 | 330.765 139-482 |
765 39.482 30 - E T |
||
| **D | EUROPE HIGH DIVIDEND FUND DANSKE INVEST |
|||||
| **D | ALM ACTIONS EURO | G | 1.830.313 409.034 |
.830.313 9.034 ਥੋ ਨੇ T |
||
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA KOJI UDBYTTE - AKKOMULERENDE KL | |||||
| **D | EURO ISR ALM ACTIONS ZONE |
548 6.832. |
548 6.832 |
|||
| **D | INVEST DANSKE INVESTERINGSFORENINGEN |
l INDEKS GLOBAL |
AKKUMULERENDE KL | 574 101 |
574 101. |
|
| **D | INVEST DANSKE INVESTERINGSFORENINGEN |
KI INDEKS EUROPA |
173.108 | 173.108 | ||
| * * D | INVEST DANSKE INVESTERINGSFORENINGEN |
BNP KL INDEKS EUROPA |
97.697 | 97.697 | ||
| * * D | DANSKE INVEST INVESTERINGSFORENINGEN |
EUROPA HOJT UDBYTTE KL | 641.805 | 805 641 . |
||
| **D | AND FINANCE MINISTRY OF ECONOMY |
4.774.306 | 774-306 4 . |
|||
| **D | MULTI-MANAGER INTERNATIONAL EQUITY | STRATEGIES FUND | 0 | 4.270.047 | 4.270.847 | |
| **D | UNIVERSAL-INVESTMENT- GESELLSCHAFT MBH ON BEHATF OF | BAYVK G2-FONDS | 0 | 830.212 | 830.212 | |
| **D | PORTFOLIO-PARTNERS INTERNATIONAL VALUE FUND VARIABLE |
0 | .505.038 2 |
505.038 ਟ |
||
| **D | 392 MI-FONDS |
0 | 301,711 | 301.711 | ||
| **D | TAYLOR CHARLES |
INTERNATIONAL FUND MANAGERS IOM LIMITED | 0 | 100.657 | 100.657 | |
| **D | MI-FONDS 391 | 0 | - 270 82 |
570 82. |
||
| **D | TELSTRA SUPERANNUATION SCHEME | 1.102.020 | 1.102.020 | |||
| **D | INTERNATIONAL PORTFOLIO rg FUNDS AG CS |
C | 22.400 | 22.400 | ||
| **D | KAPITALVERWALTUNGSGESELLSCHAFT BAYERNINVEST |
мвн «Устві- | FONDS | 0 | 69.317 | 69.317 |
| **D | KAPITALVERWALTUNGSGESELLSCHAFT BAYERNINVEST |
W/WEBI- ман |
FONDS | 0 | 22.105 | 22.105 |
| **D | KAPITALVERWALTUNGSGESELLSCHAFT BAYERNINVEST |
W/VECO (AKTIEN) мвн |
0 | 67.964 | 67.964 | |
| * * D | IF AKTIEN WELT 2 CH INVEST FUND BALOISE |
EX SCHWEIZ CREDIT SUISSE FUNDS AG | 0 | 19.544 | 19 - 54 4 | |
| **D | AP PENSION LIVSFORSIKRINGSAKTIESELSKAB | 0 | 8 556.95 |
556.958 | ||
| **D | LTD BANK SERVICES CUSTODY ও TRUST |
FOR TRUSTEE ಕಿವ |
ਤੇ PENSION INVESTMENT FUND TRUST NUMBER |
521.977 | 521.977 | |
| * D -澳 |
BANK SERVICES & CUSTODY TRUST |
FOR LTD AS TRUSTEE |
2 NUMBER TRUST FUND PENSION INVESTMENT |
0 | 48.023 | 48-023 |
| **D | CORPORATION BEST INVESTMENT |
6.005 | 6.005 | |||
| **D | LIVSFORSIKRINGSAKTIESELSKAB PENSION, DANICA |
.724.549 N |
.724.549 2 |
|||
| **D | UMBRELLA FD-TMA ACWI EX-JAPAN PORTF. TMA |
0 | 50.000 | 0 00 50. |
||
| **D | CORPORATION BEST INVESTMENT |
102.615 | 02.615 I |
|||
| **D | - GLOBAL FUND UMBRELLA TMP |
EQUITY PORTFOLIO | 28.000 | . 000 28 |
||
| **D | VERDIPAPIRFONDET FONDSFINANS FORNYBAR ENERGI | 85.000 | 85.000 | |||
| **D | SERVICES CUSTODY TRUST & |
FOR BANK LTD AS TRUSTEE |
10 DENSION INVESTMENT FOND IRUSI NUMBER |
59.424 E |
359.424 | |
| **D | INCOME FUND JPM MOLTI |
544.557 | 557 544 - |
|||
| **D | GLOBAL PROPERTY INCOME FUND JPMORGAN |
190.070 | 070 ਹੈ ਕਿ ਉਹ |
|||
| * * D | EUROPE STYLES BEST CHOICE ALLIANS |
60.732 | 60.732 | |||
| **D | INSTITUTIONAL POOLED FUNDS - ADVANCED GLOBAL EQUITY FUND SCHRODER |
118.476 | 118.476 | |||
| **D | & CUSTODY TRUST |
ਲ NUMBER SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST |
907 6 - ਟ |
907 26. |
||
| **D | FUND BALANCED JPMORGAN MULTI |
19.295 | 19.295 | |||
| **D | PENSION FUND EMPLOYEES SERVICE CIVIL |
102.379 | 102.379 | |||
| **D | 2 HANWHA KBIZ MULTI ASSET |
79.906 | 79.906 | |||
| **D | SOSIAL PERTUBUHAN KESELAMATAN |
190.446 | . 446 ਰੇ ਹ ા |
|||
| ** D | BANK LTD TAIPEI FUBON COMERCIAL |
350-000 | 350.000 | |||
| **D | SELECTION EUROPEAN EQUITY DIVIDEND ALLIANZ |
40 - 201 | 48.201 | |||
| Pagina 18 | ||||||
| Azionisti: | Teste: 3.439 |
19 | ||||
| Azionisti in proprio: | 6 | Azionisti in delega: | 3.430 | |||
ble 2

್ನಾಯ
C ర్యా
( wo
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Uggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| FAVOREVOLI |
|---|
| Badge | Sociale Ragione |
netega | .1002916 | |
|---|---|---|---|---|
| **D | NIKKO AM GLOBAL CONSERVATIVE FUND | brobiro | 1 502 | 1.502 |
| **D | INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL EUROPEAN EQUITY INDEX FUND AVIVA |
0 | . 615 . 465 t |
1-465.615 |
| **D | POOLED EUROBERA EQUILI EUND FUND -HSBC INVESTMENT POOLED HEBC |
0 | 728 ਣ 8 - |
58.728 |
| **D | - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND FUND INVESTMENT Pooled HSBC |
0 | 142-278 | 142.278 |
| **D | SERVICE (ASIA) LIMITED TRUST INSTITUTIONAL HSBC |
0 0 |
54.485 .973 |
54.485 23.973 |
| D D |
INDEX FUND FTSE ALL-WORLD l TRACKER INVESTMENT FUNDS BENSIONS UK LIMITED ﮨﯽ INDEX AVIVA LIFE HSBC |
0 | 5.233.365 23 |
5.233-365 |
| **D | FUNDS ICAV HSBC GLOBAL |
467.358 | 467 - 358 | |
| * * D | - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND AVIVA INVESTORS PASSIVE FUNDS ACS |
0 | 8 562.98 |
988 562. T |
| **D | TINITED REASSURE |
0 | .349.139 N |
2.349.139 |
| **D | SCHEME - PUTM ACS EUROPEAN EX UK FUND PUTM AUTHORISED CONTRACTUAL |
1.034.703 | 1.034.703 | |
| **D | UMBRELLA FUND PUBLIC LINITED COMPANY STATE GLOBAL FIRST |
135.018 | 5.018 । ਤੇ |
|
| **D | COMPANY LINITED PUBLIC ETFS HSBC |
- 856 379 |
રે ર 0 379. |
|
| **D | MANAGERS LIMINED UNIT TRUST PHOENIX |
4.456.027 1 |
14.456.027 | |
| **D | FUNDS FOR CHARITIES INVESTMENT EPHORTH |
0 | 37.700 .692.419 |
692-419 37.700 |
| * * D **D |
DEVELOPED MORID SUSTAINABLE EQUITY INDEX FUND FCB - M6G (LUX) EUROPE EX UK INDEX FUND FUNDS - INVESTMENT 2 M&G (LUX) INVESTMENT FUNDS TRACKER INDEX HSBC |
0 | . 069 3.005 2 |
885.069 3. ਟ |
| **D | LLB POTENTIAL INVESTMENTS TRUE |
0 | 591.812 | 591.812 |
| **D | 2015 CLIMATE PARIS ALIGNED UCITS - HSBC MSCI EUROPE COMPANY LIMITED PUBLIC ETFS HSBC |
0 | 4.161 | 4.161 |
| **D | ICAV - MULTI-FACTOR EMU EQUITY FUND FUNDS GLOBAL навс |
0 | 200.679 | 0.679 2 θ |
| **D | IIMITED CORPORATION BANKING CHIYU |
0 | 240-560 | 240.560 |
| **D | EQUITY (CURRENCY HEDGED) INDEX FUND EQUITY INDEX FUND GLOBAL GLOBAL 50:50 30:70 - AI l FUNDS ACS PASSIVE INVESTORS AVIVA |
0 | 887-290 67-553 |
887.290 67.553 |
| D D |
- PUTM ACS SUSTAINABLE INDEX EUROPEAN EQUITY FUND AI CONTRACTUAL SCHEME FUNDS ACS PASSIVE INVESTORS PUTM AUTHORISED AVIVA |
0 | 3.245.426 | 3-245-426 |
| **D | ICAV 5 ਸਾਂ ਦ AMONDI |
O | 19.537 | 19.537 |
| **D | - AI 60:40 GLOBAL EQUITY INDEX FUND FUNDS ACS PASSIVE INVESTORS AVIVA |
C | 258.716 | 258.716 |
| **D | AI DEVELOPED WORLD EX UK EQUITY INDEX FUND l FUNDS ACS PASSIVE INVESTORS AVIVA |
O | 557.618 | 557.618 |
| **D | UTILITIES ESG UCITS ETF GLOBAL - AMUNDI S&P IÇAV AMUNDI ETF |
313.450 | 313.450 | |
| **D | FUND EUROPEAN INDEX l TRACKER INVESTMENT FUNDS HSBC INDEX |
834.076 | 834.076 | |
| **D | SERVICES LINITED EUND AVIVA INVESTORS UK |
374.880 | 374.880 | |
| **D | AXA INVESTMENT MANAGERS UK LIMITED | 0 | 525.142 | 525.142 |
| **D | RE SERVICES IRELAND LIMITED TRUST INSTITUTIONAL навс |
1.207.481 | 207.401 1 |
|
| **D | INVESTORS LIMITED GLOBAL HENDERSON |
801.045 | 801.045 | |
| **D | FUNDS INVESTMENT HSBC GLOBAL |
225.683 | 225.683 | |
| **D | UCITS ETF HSBC MSCI EUROPE PUBLIC LIMITED COMPANY - ETFS HSBC |
111.692 | 11.692 | |
| D |
PLC ETFS навс |
876.811 84.404 |
84.404 876.811 |
|
| * D * |
ETF MORLDWIDE EQUITY UCITS OF 1929 FOR ROMAN CATHOLIC PURPOSES FACTOR - HSBC MULTI TRUST SOCIETY OF JESUS |
270.691 | 270.691 | |
| D D |
BOND EX UK EQUITY TILT ROYAL LONDON EUROPE LIMITED COMPANY ROYAL LONDON EQUITY FUNDS ICVC - PUBLIC BSBC ETFS |
1.022.691 | 1.022.691 | |
| **D | ман KAPITALANLAGEGESELLSCHAFT INTERNATIONALE |
3.952.051 | 3.952.051 | |
| **D | GMBH INVESTORS ALLIANZ GLOBAL |
-864-294 ഹ |
5.064.294 | |
| **D | KAPITALANLAGEGESEL LSCHAFT MBH MEAG MUNICH ÉRGO |
-126.651 ਨ |
651 2.126. |
|
| **D | мвн KAPITALANLAGEGESELLSCHAFT INTERNATIONALE |
357.610 547.392 |
357.610 392 547. |
|
| **D | CAPS FONDS AGI INSURANCE DEDICATED LARGE VKA ALLIANZ |
08.514 | 108.514 | |
| D D |
BUROPE SYSPRO VALUE EQUITTES SUBFONDS PV-WS RCM CGI ALLIANZ ALLIANZ |
362 249 - |
249.362 | |
| **D | UNIINSTITUTIONAL EUROPEAN BONDS & EQUITIES | 118.843 | 118-843 | |
| **D | UNIMAKTFUEHRER | 391.000 | 391.000 | |
| **D | DIVIDENDE UNIGLOBAL |
3.024.709 | 3.024.709 | |
| **D | QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 98.109 | 0 9 98.1 |
|
| Pagina 19 | ||||
| Azionisti: | 19 Teste: 3,439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: б |
643

പ്ല
AC
Justice
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Oggeto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | ||
|---|---|---|
| LISTA ESTTO DELLE VOTAZIONE |
| FAVOREVOLI | |
|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| D D |
QUONIAM FUNDS SELECTION SICAV - EQUITIES CLIMATE TRANSFORMATION UNIDIVIDENDENA\$5 |
0 0 |
2-963.057 10-327 |
2.963.057 |
| **D | INC FUND, NEW WORLD |
0 | 747.557 9 |
10.327 747.557 o |
| **D | EUROPACIFIC GROWTH FUND | O | .024.466 p |
4.024.466 |
| **D | (US) COMMON TRUST GLOBAL EQUITY GROUP CAPITAL |
00 | 111.259 | б 111-25 |
| **D | EQUITY FUND (AU) GLOBAL GROUP CAPITAL |
. 637 ਦੇ ਕ |
64-637 | |
| D D |
INTERNATIONAL GROWTH AND INCOME FUND JPMCBNA |
00 | . ୧45 13.291 175 ന ા |
175.645 3. T |
| **D | EUND INTERNATIONAL CAPITAL |
0 | 59.006 | 59.006 13.291 |
| **D | AVIVA LIFE & PENSIONS IRELAND DAC | 0 | .280.752 য |
4.280.752 |
| **D | GROUP EMPLOYEE BENEFIT INVESTMENT TRUST CAPITAL |
0 | 8 338.02 |
338.028 |
| **D | LLC CGMPV, |
0 | 0 . 54 ਧੋ |
4.540 |
| **D | INVESTORS AVIVA |
0 | 137.541 | 137.541 |
| **D | INTERNATIONAL INDEX TRACKING FUND FUNDS ICVC AVIVA INVESTORS INVESTMENT INVESTORS AVIVA |
0 | 115.270 | 115.270 |
| D D |
II MULTI-ASSET CORE FUND PORTFOLIO FUNDS ICVC AVIVA INVESTORS INVESTORS AVIVA |
0 | 7.001 | 7.001 |
| **D | FUND GLOBAL EQUITY INCOME AVIVA INVESTORS FUNDS ICVC INVESTMENT INVESTORS AVIVA |
0 0 |
б .467.14 I |
.467.149 ไ |
| **D | III FOND FUND CORE CORE MÜLTI-ASSET MULTI-ASSET INVESTORS INVESTORS AVIVA AVIVA ICVC ICVC FUNDS FUNDS PORTFOLIO PORTFOLIO INVESTORS INVESTORS AVIVA AVIVA |
0 | - 168 8 - 6 4 ਹੈ ਥੋ T |
B 14.64 |
| **D | V FUND CORE MULTI-ASSET INVESTORS AVIVA ICVC FUNDS PORTFOLIO INVESTORS AVIVA |
0 | .570 b |
1.168 4 - 570 |
| **D | IV FUND CORE MÜLTI-ASSET INVESTORS AVIVA ICVC FONDS PORTFOLIO INVESTORS AVIVA |
0 | ur - 45 б |
S 9.45 |
| **D | 2000 FP BANSABADELL |
0 | ರಿ . 65 T |
1.658 |
| **D | 18 FP BANSABADELL |
0 | 6.611 | 6.611 |
| **D | FI SABADELL PLANIFICACION 25, |
0 | 83.905 | 83.905 |
| **D | FI INVERSABADELL 50, |
0 | 201.965 | 201.965 |
| **D | ГР PENSIONES CASTELLANA |
0 | 2.609 | 2.609 |
| + + D | ETHIQUE SOLIDAIRE FCPE SAFRAN |
0 | 19-431 | 19.431 |
| **D | FCP HUMANIS RETRAITE ACTIONS | 0 | 630.009 | 630.009 |
| **D | EPSENS OFFENSIE ISS | 0 | 235.997 | 235.997 |
| **D | INVERSABADELLI 25, FI | 316.957 | 316.957 | |
| **D | FCP HGA ACTIONS ISR | o o a | ਟ 715.88 |
715-882 |
| D D |
EMPRESAS EPSV DE EMPLEO FERROATLANTICA 92 FP BS PREVISION |
0 | 2 - 662 | 2.662 |
| * * D | FCP SODIUM I | 0 | ర 6.242 375.88 |
6.242 375-889 |
| **D | F.P. BANSABADELL 36, |
0 | 597 ঠ |
.597 ி |
| **D | FONS DE PENSIONS FONECONOMISTES, |
0 | 3.272 | 3.272 |
| **D | F-P SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, COMPANIA DÉ |
0 | 3.425 | 3.425 |
| **D | FONSOLBANK FP | 0 | ਕੇ 38 20 - |
20.938 |
| **D | BS PENTAPENSION EMPRESA | 0 | 4 - 527 | 4.527 |
| **D | INVERSABADELL 70, FI | 0 | 54-419 | 54.419 |
| **D | SOLIDAIRE DYNAMIQ THALES FCPE EPARGNE |
0 | 94.291 I |
94.291 T |
| **D | FCP HUMANIS RETRAITÉ ACTIONS BAS CARBONE | 0 | 565.243 | 565-243 |
| **D | CALCIUM QUANT | 0 | 298.435 | 298.435 |
| **D | ACTIONS SOLIDAIRE EMPLOI SANTE FCP HGA |
346.840 | 346-840 | |
| **D | HUMANIS RETRAITE ACTIONS EMPLOI SANTE | 30 912.6 |
912-630 | |
| 44.457 **D |
DEVLEOPED NATION MULTI FACTOR PRIVATELY PLACED MASTER INVESTMENT KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER |
44 - 457 | ||
| **D | AFIR HOLDING AND MANAGEMENT COMPANY | 0 | P | |
| **D | L DPAM GLOBAL STRATEGY |
0 | 0 85.319 ల 8 35. . 1 9 |
. 319 30 a ਕ 8 5 6.135 |
| **D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDEOR EMPLOYEE BENEFIT TRUSTS | 0 | 317.168 | 317.168 |
| **D | ALLIANS GLOBAL INVESTORS GABH W/ALLIANSGI-FONDS ACKNW-AR SECMENT OKWICO-AKTIEN | 9.135 б |
99.135 | |
| Pagina 20 | ||||
| Azionisti: | 19 Teste: 3 439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: б |
|||

Justice,
10 maggio 2023 16.27.23
FAVOREVOLI
| Badge | Sociale Ragione |
0 Propri |
Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FOR EMPLOYEE BENEFIT TRUSTS | 0 | 64.570.140 | 64.570.140 |
| **D | TECHNOLOGY AGENCY 16619-9962 JAPAN SCIENCE AND FOR AS TRUSTEE LTD. JAPAN, BANK OF CUSTODY |
0 | 641.989 | 641.989 |
| **D | BLACKROCK FUNDS FUND OF ADVANTAGE INTERNATIONAL EQUITY SUSTAINABLE BLACKROCK |
5.427 | 5.427 | |
| * * D | FUND, INC SERIES BLACKROCK OF PORTFOLIO BALANCED SUSTAINABLÉ BLACKROCK |
85.144 | 95.144 | |
| D D |
BLACKROCK FUNDS V PORTFOLIO OF INCOME OPPORTUNITIES FUND BENEFIT SHELL RETIREMENT STRATEGIC BLACKROCK BRUNEI |
. 410 1.056.039 ട് |
-056-039 โ |
|
| **D | ICAV I FÜNDS BLACKROCK |
64.509 | 509 6-410 ર્દ વ - |
|
| **D | IMI INDEX FUND B2 EX-U.S. ACHI MSCI |
409.839 | 09.839 P |
|
| **D | VARIABLE SERIES FUNDS, INC. BLACKROCK VOLATILITY V.I. FUND OF MANAGED BLACKROCK |
19.774 | 19.774 | |
| * * D | PLC FUNDS POOLED INSTITUTIONAL BLACKROCK |
1.442.643 | -442.643 T |
|
| **D | (MSXFFESGB) ದ FUND INDEX FOCUS ESG FUELS EX-FOSSIT ACWI MSCI |
.170 166 |
166.170 | |
| **D | FUND INDEX EQUITY EAFE MSCI CDN BLACKROCK |
3.180.729 | .180.729 E |
|
| **D | W/VBDK GMBH INVESTORS GLOBAL ALLIANZ |
13-356 | 13.350 | |
| **D | III M/LIPCO GMBH INVESTORS GLOBAL ALLIANZ |
22.428 | 22 - 428 | |
| D D |
VARIABLE SERIES FUNDS, INC. OF BLACKROCK FUNDS FUND OF BLACKROCK FUND INDEX V.I. OPPORTUNITIES INTERNATIONAL TACTICAL BLACKROCK BLACKROCK |
103.984 143.673 |
143-673 103.984 |
|
| **D | B FUND EX USA HORID STANDISNIS BAN |
135.368 | 368 135. |
|
| **D | DEFENSIVE DIVERSIFIED ASSET MULTI THEAM QUANT- |
0 | 817.147 | 817.147 |
| **D | PED ALLIANZGI-FONDS |
5.931 | 5.931 | |
| **D | ESG INFRASTRUCTURE FASY - ECPI GLOBAL BNP PARIBAS |
0 | 488.547 | 8.547 ਕੇ ਉ |
| **D | WERT ALLIANZGI-FONDS |
0 | 7.200 | 7.200 |
| **D | FUND SUPERANNUATION TWO |
0 | 62.663 | 62.663 |
| **D | WORLD EQUITIES SUSTAINABLE - -FUND-B G.A. |
0 | 29.311 | 311 29 - |
| **D | PROTECTED 90% CLIMATE NAVIGATOR WORLD l FUNDS QUANT THEAM |
0 | 485.141 | 485.141 |
| **D | EUROPE - ESG QUALITY EASY PARIBAS BNP |
0 | .214.857 T |
.214.857 T |
| **D | Focus HIGH ASSET CROSS 1 QUANT THEAM |
0 | 4.113 | 4.113 |
| D D |
5 CAPPED SRI S-SERIES SMALL CAPS - MSCI EUROPE RENDEMENT EASY PARIBAS LITHIUM BNP |
0 0 |
9.520 .610.069 . ୧୫ ไ L |
520 610.069 a. દક 1. t |
| **D | OPTIMIZED દર્શને દર્શકે રાજ્યના દક્ષિણ ભાગમાં આવેલું એક ગામના લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામનાં મુખ્યત્વે ખેત EQUITY EUROPE l ZEPHYR |
0 | 40.340 | 40.340 |
| **D | TRUST (INDEX) EQUITY GLOBAL WHOLESALE INVESTORS |
0 | 545-315 | 545.315 |
| **D | EQUITIES PASSIVE GLOBAL l ROMA FONDAZIONE |
0 | ਦੇ ਕੇ . 5 32 |
32.559 |
| **D | GOALS GLOBAL HORLD EQUITY QUANT- THEAM |
0 | 655-369 | 655.369 |
| **D | DEFENSIVE INCOME EUROZONE IESG EQUITY QUANT- THEAN |
0 | 573.433 | 573.433 |
| **D | 2 PLOS OPTIMISED l ZEPHYR |
0 | 54.663 | 54.663 |
| **D | WORLD EQUITIES l G.A. -FUND-B |
0 | 108.713 | 108.713 |
| **D | BETA/LOT133/FRR10E ഗ выр |
D | 161.640 | 161-640 |
| **D | A/C BRI MMF5-GIEP |
C | 25.771 | 25.771 |
| D D |
EQUITY GROWTH EURO SYCOMORE l AMSELECT |
0 | 178.464 | 178.464 |
| **D | ESG HYDROGEN ECONOMY FOCUS ITALIA ECPI GLOBAL l l EQUITY EASY PARIBAS PARIBAS BNP BNB |
C O |
б 145.052 . 05 244 |
145.052 244.059 |
| * * D | EUROPE VOL TON EQUITY - EASY PARIBAS вив |
399.360 1. |
.399.360 T |
|
| **D | 1 3 FILTERED MIN ESG MSCI WORLD l EASY PARIBAS BMB |
C | 10.746 | 10.746 |
| **D | SOLUTIONS CLIMATE GLOBAL l FUNDS PARIBAS BNP |
94.884 | 94.884 | |
| **D | EQUITY EUROPE DEFI l THEAM QUANT |
0 | 61.084 | .084 e I |
| **D | LHCO-FONDS | 0 | 100.000 | 100.000 |
| D D |
FUND BROAD EURO P EQUITIES EQUITY GLOBAL l MHOLESALE G.A. -FUND-B AMB |
0 0 |
238.893 836-514 |
238.893 836.514 |
| D D |
- BOND EUROPE CLIMATE CARBON OFFSET PLAN EUROPE GROWTH ESG l EASY PARIBAS THEAM OUANT BNP |
6.845 3.688 |
6 - 8 4 5 3.688 |
|
| **D | SPECIALISTEN STICHTING PENSIOENFONDS MEDISCH |
65.261 | 65.261 | |
| Pagina 21 | ||||
| A ZIONISTI . | 19 Teste: 3 439 |

us Nogin of Should
3.430
9 Azionisti in delega:
7
Azionisti in proprio:
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | APNIESA SEGMENT APNIESA-NAPO ALLIANZGI-FONDS |
25.530 | 25.530 | |
| **D | HORIZON EPARGNE ACTIONS | 186.560 | 186.568 | |
| **D | III - EQUITY MORID EMPLOYEE SCHEME THEAM QUANT |
2.466 | 2.466 | |
| **D | CA EX EUROPE - NSCI EASY PARIBAS BNP |
0000 | 745.437 | 745-437 |
| **D | AVP ALLIAN2GI-FONDS |
0 | 4.019 | 4.019 |
| **D | MAFI ALLIANZGI-FONDS |
0 | 15.278 | 15.278 |
| **D | TOSCA ALLIANZGI-FONDS |
0 | 71.137 | 71.137 |
| **D | AFE FONDS ALLIANZGI |
0 | 121.634 | 121-634 |
| **D | OB PENSION FONDS ALLIANZGI |
0 | 43.291 | 43.291 |
| **D | ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 0 | 693.224 | 693.224 |
| **D | BNP PARIBAS DEEP VALUE | 53.286 9 |
653-286 | |
| **D | FUND SELECTION INDEX BLACKROCK |
0 | .041.602 S |
5.041.602 |
| **D | 2 GANO ALLIANZGI-FONDS |
0 | 32.975 | 32.975 |
| **D | GANO ALLIANZGI-FONDS |
5.710 | 5.710 | |
| **D | -NEU- тов ALLIANZGI-SUBFONDS |
0 | 21.932 | 21.932 |
| **D | VOLATILITY PORTFOLIO EQ ADVISORS TRUST = EQ/INTERNATIONAL VALUE MANAGED |
0 | 292 587 . |
587.292 |
| **D | ALLIANZGI-FONDS SIV | 0 | 8.025 | 8.025 |
| **D | SELECTION reis l THEAM QUANT |
0 | 5.771 | 5.771 |
| **D | DBI-STIFTUNGSFONDS WISSENSCHAFT | 0 | 8.931 | 0.931 |
| **D | FOR LIFE AKLIENFORDS INVEST EADS FONDS AGI |
0 | 47-700 | 47.700 |
| **D | VSBB ALLIANZGI-FONDS |
0 | 106.164 | 106.164 |
| **D | SHI ALLIANZGI-FONDS |
0 | 7 000 | 7.000 |
| * * D | ME DITTINGER BENSIONSEONDS DPF ALLIANZGI-FONDS |
0 | 84.748 | 84.748 |
| **D | DUNHILL ALLIANZGI-FONDS |
ರ | 8.700 | 8.700 |
| **D | SUME-COFONDS | 0 | 100.000 | 100.000 |
| **D | ALLIANZGI-FONDS REINVEST | 0 | 4,420 | 4.420 |
| **D | RENDACTIS PARIBAS BNE |
0 | 260.795 | 260.795 |
| **D | PATRIMOINE RESPONSABLE ACTIONS PARIBAS BNP |
0 | 512.654 | 512.654 |
| **D | EQUITY INDEX FUND ALL-COUNTRY ISHARES |
0 | 24.184 | 24 - 184 |
| **D | EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO l TRUST ADVISORS EQ |
0 | 325.699 | 325.699 |
| **D | MANAGED VOLATILITY PORTFOLIO EQ/INTERNATIONAL l TRUST ADVISORS ಡಿನ |
0 | 971.497 | 971.497 |
| **D | EQUITY FUND UNCONSTRAINED INTERNATIONAL CIRCLES SIX |
0 | 7.049.043 | 7-049.043 |
| **D | INTERNATIONAL UNCONSTRAINED FUND MANAGED EQUITY PORTFOLIO SIX CIRCLES |
0 | 2.753.749 | 2.753.749 |
| **D | FIDELITY EUROBE EX-UK BOUITY FUND (INVESCO) l II FUND CONTRACTUAL COMMON FIDELITY |
0 | 470.178 | 470.178 |
| **D | EUA PF1-AA2-E SEGMENT PF1 ALLIANZGI-FONDS |
0 | 479.068 | 479.068 |
| **D | BNP PARIBAS EUROPE EQUITY INCOME AND GROWTH MOTHER FUND RE: STB LTD. JAPAN, BANK OF CUSTODY |
0 | 1.391 I |
11.391 |
| **D | RENDEMENT ACTIONS PARIBAS BNP |
0 | 341.195 | 341.195 |
| **D | EUROPE VALUE l FUNDS PARIBAS BNP |
0 | 895.047 2 . |
895.047 N |
| **D | DIVIDEND SUSTAINABLE FUNDS EUROPE PARIBAS BNB |
O | 107.903 | 107-903 |
| **D | MANAGED VOLATILITY PORTFOLIO EQ/GLOBAL EQUITY l TRUST ADVISORS BQ |
0 0 |
233.729 | 65.702 233.729 |
| **D | ALLOCATION FUND GLOBAL JNL/BLACKROCK |
134-499 65.702 ﺎ |
. 134 . 499 | |
| **D | 50 STOKX EURO EASY BNP SICAV |
I | ||
| D D |
BNP PARIBAS VALEURS EURO ALLIANZGI-FONDS DIN |
0 | 15.000 358-030 ਟ |
15.000 358.030 ਟ |
| ISR | ||||
| **D | ALLIANZGI-FONDS SVKK | 0 0 |
1.942 | 1.942 |
| D D |
KREBSHILFE-2-FONDS | 30.000 63.206 |
63-206 30.000 |
|
| **D | B EAFE EQUITY INDEX NON-LENDABLE FUND ALLIANZGI-FONDS DSPT BLACKROCK MSCI |
1.914.764 | .914.764 T |
|
| **D | MSCI EUROPE EQUITY INDEX FOND B (EUROSECB | 077.07 1. |
.077.075 ไ |
|
| **D | FUND B (EURXCHB) SCREENED EUROPE EQUITY INDEX ESG |
199.233 | 199.233 | |
| Pagina 22 | ||||
| Azionisti: | । ਰੇ Teste: ਤੇ ਕੰਤਰੇ |
|||
| Azionisti in proprio: | 3 430 Azionisti in delega: б |
0 |
EMARKET
SDIR
CRIFFE
co
ുക്കു
66
Assemblea Ordinaria del 10 maggio 2023
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| Badge | Ragione Sociale | Proprio | Delega 39.904 |
Totale 39.904 |
||
|---|---|---|---|---|---|---|
| **D | CDN ACWI ALPHA TILTS FUND | 0 0 |
||||
| **D | INDEX FUND CDN MSCI EAFE EXTENDED ESG FOCUS INDEX FUND A |
626.345 55.195 |
55.195 626.345 |
|||
| D D |
ISHARES WHOLESALE SCREENED DE BANCO CENTRAL |
INTERNATIONAL EQUITY (BCTL) TIMOR-LESTE |
00 | 320.717 | 320.717 | |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. | FOR TRUSTEE AS |
FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATION | 0 | 20.673 | |
| 20.673 | 71 L g |
5.171 | ||||
| **D | MSCI ENG INI INDEX FOND B (EMUINIB) | 00 | б ಕ -0 51 โ |
151.039 | ||
| **D | CONNECTICUT | GENERAL LIFE INSURANCE COMPANY | 252.916 | ਰੇ I ୧ 252. |
||
| **D | CDN BLACKROCK |
INDEX FUND MSCI ACWI EX-CANADA |
327.902 3. |
327.902 3. |
||
| D D |
BLACKROCK CDN WORLD INDEX INDEX MSCI EQUITY |
(MSITB) ITALY FUND l ਤੇ FÜND |
000 | P 5.13 ર ક |
55.134 S |
|
| **D | TILTS GLOBAL ALPHA |
ਤ FUND ESG NON-LENDABLE |
0 | -310 ਟ |
2.310 | |
| **D | TILTS WORLD ALPHA |
a ENHANCED FUND l |
0 | ਰੋ 0 33.7 |
33.790 | |
| **D | GLOBAL | EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 0 | б 8 30.2 |
б 30.28 |
|
| **D | BUSSELL DEVELODED THRGE CAL EN GEOEXEDSORDE INDEX EAND B (BENGEOR) | 0 | 32.574 | 32.574 | ||
| **D | PLAN SAVINGS THRIFT |
0 | 27.417.314 | 7.417.314 2 |
||
| **D | STANDARD LIFE INTERNATIONAL DESIGNATED ACTIVITY COMPANY | 0 | 093.754 ไ |
93.754 0 L |
||
| **D | ടുട്ട CRYOSTAR |
0 | S . 26 T |
1.265 | ||
| **D | EQUILIBRE CM-AM ALIZES |
0 | 185.142 | 85.142 L |
||
| **D | ENTE NAZIONALE | (E.N.P.A M MEDIÇI DI PREVIDENZA ED ASSISTENSA |
0 | .500 52 б |
52.500 ರ |
|
| **D | DEI ENTE NAZIONALE DI PREVIDENZA ED ASSISTENZA |
MEDICI E DEGLI ODONTOIATRI | 0 | .003 21 0 2 ದ |
021.003 ঠ ದ |
|
| **D | FUND INVESTMENT |
SERVICES LIMITED | 0 | .463 40 ದ |
40.463 ದ |
|
| **D | BALANSERAD LARARFOND |
0 | ﻟﺴ - 35 22 2 |
222.357 | ||
| **D | OHMAN MARKNAD GLOBAL | 0 | 0 26.00 ਟ |
26.000 ਟ |
||
| **D | EUROPA MARKNAD OHMAN |
0 | 0 244.00 |
244.000 | ||
| **D | LARARFOND OFFENSIV | 0 | 639.233 | 639.233 | ||
| **D | SERVICES PTY LTD APEX FUND |
0 | 60.570 | 60.570 | ||
| **D | FORSIKTIG LARARFOND |
0 0 |
3 579 91.672 ਟ |
579 91.672 23 - . Ө ਟ |
||
| **D | OHMAN GLOBAL | 0 | 137 98 . 8 S 9 ਟ ਟ |
98.137 ನ રું. ਟ |
||
| **D | SWISS NATIONAL BANK | 0 | 0 88 10. |
080 10. |
||
| **D | suisse CREDIT CSIFI2 |
BALANCED CHF FUND PORTFOLIO LUX |
0 | ୧୫୦ б |
. 680 б |
|
| **D | SUISSE CREDIT CSIEIS |
BALANCED USD FUND FUND PORTFOLIO אנד |
0 | 120 37. |
37.120 | |
| D D |
suisse CREDIT CSIF12 |
EUR GROWTH PORTFOLIO LUX |
0 | 4.512 | 4.512 | |
| CSIF 12 CREDIT | USD EUR YIELD YIELD FOND FUND PORTFOLIO LUX SUISSE |
O | 160 24 - |
54.160 | ||
| D D |
SUISSE LIQUID CREDIT FULCRUM CSIF 12 |
LUX PORTFOLIO REAL ASSETS FUND |
0 | 744 14. |
14.744 | |
| **D | CARDIF ASSURANCE VIÉ | 0 | .602.740 ไ |
.602.740 โ |
||
| **D | DP ARGENTA |
0 | 200 208 . |
-200 a ୧୦ |
||
| **D | FUND DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO |
0 | 330 3. S |
30 ర ದ S |
||
| **D | ARVESTAR ASSET MANAGEMENT SA REPRESENTIA PENSICENSPARREONDS DEFENSIVE | 0 | 550 124 - |
રે વ S 124. |
||
| **D | ASSET ARVESTAR |
ARGENTA SA REPRESENTING MANAGEMENT |
PENSIOENSPAARFONDS | 0 | .696.700 I |
-700 ਦਰ ਦ ไ |
| *** | GIORGIANNI FRANCESCO | 0 | 367 1. |
. 367 I |
||
| *** | VENTURINI FRANCESCO | 0 | 467 - 6 |
67 . 4 6 |
||
| **D | GLOBAL CENTRE |
FUND INFRASTRUCTURE |
0 | 9 . 14 ไ ਹ ਕੋ |
. 146 1 ◀ 1 |
|
| **D | UNIVERSAL SANLAM |
PLC FUNDS |
0 | 0 50.21 |
50.210 | |
| **D | WORLD TOPS MACCF |
130 30 FUND AC | 0 | ర ﺎ 1.24 - 4 4 ১ |
-247 б . 44 T 2 |
|
| **D | TOPS MWCCF WORLD |
AC FUND ട് റ 150 |
0 0 |
00 100.0 |
100.000 | |
| D D |
SIJOITUSRAHASTO AKTIA EUROPA SIJOITUSRAHASTO AKTIA |
SECURA | 0 | 50.000 ব |
0 .00 ടറ P |
|
| **D | PRUDENTIAL LEGACY INSURANCE COMPANY | OF MEN JERSEY | O | 7 417.65 |
0 . 65 417 |
|
| 19 | Pagina 23 | |||||
| Azionisti: | Teste: 3.439 |
|||||
| Azionisti in proprio: | Azionisti in delega: б |
430 చ |

224
Nestfor
ﺎﺻﺮ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍ
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESITO DELLE VOTAZIONE
| Badge | Ragione Sociale | Proprio 0 |
Delega n 190.79 |
Totale S 190.79 |
||
|---|---|---|---|---|---|---|
| D D |
STICHLING BENSIOEMEONDS PROVISUM | MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 0 | 36.118 | 36.118 | |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. | 9 MUTB40002153 RE: |
0 l |
613.514 a 38.00 |
613.514 38.008 |
|
| **D | STELLAR INSURANCE, LTD. | 929.821 | 821 29. 6 |
|||
| D D |
MASTER TRUST BANK OF JAPAN, FUND ABU DHABI PENSION THE |
LTD. AS TRUSTEE FOR | FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI | 750.262 | ||
| 262 750. |
63.243 | 63.243 | ||||
| D D |
1934 GLOBAL INVESTMENT FUND LP SBC MASTER PENSION TRUST |
310.918 | ਰੇ 1 8 310. |
|||
| **D | FUNDACAO CALOUSTE GULBENKIAN | 221 ਤੇ 2 ไ |
221 32 โ |
|||
| **D | SICAV DIRECT ING |
0 | 410.605 | 410-605 | ||
| **D | BANK TRUST MASTER THE |
RE: MUTB400021492 OF JAPAN, LTD. |
0 0 |
30.513 220.104 |
513 220.104 30. |
|
| **D | BANK TRUST MASTER THE |
21 RE: MTBJ4000255 JAPAN, LTD. OE |
0 | 142.590 | 142.590 | |
| **D | BNZ | WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 0 | 968.872 | 968-872 | |
| **D | INFRASTRUCTURE CLEAN NEI |
FUND | 0 | 4 - 948 | 4.948 | |
| D D |
DVAN DIVERSIFIEDLIQUIP INVESTMENTGMBH ON DNS |
ZAT 1 BEHALF OF DEAM FONDS ALTERNATIVESPCP |
0 | 6.013 | 6-013 | |
| **D | SHAW DE |
L FUND ALLCOUNTRY GLOBAL ALPHA EXTENSIONCUSTOM |
O | 12.447 | 12.447 | |
| **D | STOCKSETECTION II AOR |
LP ACCOUNT MASTER |
0 0 |
3.040 50.200 S |
0 3.040 50.20 S |
|
| **D | SELECT EIDELITY |
PORTFOLIO PORTFOLIOS UTILITIES |
0 | 94.054 7.7 |
794.054 | |
| * * D | ASSET CAIXABANK |
MANAGEMENT, SGIIC, S.A. | 0 | 570.044 ไ |
570.044 | |
| **D | 5.A. VIDACAIXA, |
0 | 8 ୧ ୧ ୧ 4.854. |
8 ୧୧ 854 . 0 |
||
| **D | GESTION SGIIC, KUTXABANK |
S.A. | 0 | 207 607. |
607.207 | |
| **D | KUTXABANK PENSIONES, S.A., SGFP | 0 | 28.014 | 28.014 | ||
| **D | TAX AWARETOTAL RETURN FUND LLC AOR |
0 | 9-797 | .797 க |
||
| D D |
CMAP SRPA FUNDLIMITED | LP AQR TAX ADVANTAGEDGLOBAL EQUITY MARKET NEUTRAL FUND |
0 | 5.036 9 |
. 036 S 9 |
|
| **D | BELGIUMLIMITED CIN |
0 | 730 | 730 | ||
| **D | BANCO BILBAO VIZCAYA ARGENTARIA SA | 0 | 336 . 622 . ਟ |
. 336 622 ਟ |
||
| **D | EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 0 | 5.742 T |
.742 S ไ |
||
| **D | STICHTING DE NATIONALE ALGEMEEN PENSICENFONDS | 0 0 |
314 255.000 es . |
.314 0 255.00 e I |
||
| **D | ECCLES I ASTICAL | BENEFI PLC STAFF RETIREMENT INSURANCE OFFICE |
0 | 77.762 | 77.762 | |
| **D | OEIC MUTUAL THE NEW |
0 | 6.500 ાન |
16.500 | ||
| **D | MANAGEMENT ASSET EDENTREE |
LTD | O | 122.000 | 122.000 | |
| * * D | DODNERSE INVESTMENT FUND SERIES | FUTURE FUND GREEN EDENTREE 1 |
0 | 92.791 | 92.791 | |
| **D | 30 MAX SANTANDER |
SHARES PORTFOLIO | 0 | 525-051 | 525.051 | |
| **D | PERCENT રેપ MAX SANTANDER |
PORTFOLIO SHARES |
0 | 50-761 8 |
50.761 B |
|
| **D | PERCENT 70 SANTANDER MAX |
PORTFOLIO SHARES |
0 | 133.103 | 133.103 | |
| **D | MEMBERS 793 IUCE LOCAL |
PENSION BENEFIT TRUST OF | 0 | 450.112 | 50.112 ব |
|
| **D | MONETARIA DE ETF TRUST AUTORIDADE |
BLOOMBERG SACHS GOLDMAN MACAU |
0 | 42-038 | 42.038 | |
| **D | INTEL RETIREE MEDICAL PLAN TRUST GOLDMAN SACHS |
0 | . 044 ਥੇ ਰੇ |
9-044 ব |
||
| **D | ALASKA PERMANENT FUND CORPORATION | .410.154 T |
154 .410. I |
|||
| D D |
SUBSIDIZED | SCHOOLS PROVIDENT FUND | 369 ୧୧ - |
8 9 E 64 . |
||
| **D | LP INTL BESS |
ਰੋ 8 б 1. |
ਰ 98 1. |
|||
| **D | INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS GLOBALE AKTI | S . 26 212 |
2-418.144 212.265 |
|||
| **D | KAPITALFORENINGEN INVESTIN PRO | ACADIAN GLOBAL VALUE | 0 0 |
00 . 144 5.830.0 .418 ਟ |
830.000 ડ. |
|
| **D | MURRAY INTERNATIONAL TRUST | PLC | 0 | 567 - 334 | ਤੇ ਤੇ ਪ 567 . |
|
| **D | TACS NON US EQUITY CORE MARKET CONTINUOUS LLC | 32.602 | 32.602 | |||
| **D | STANDARD | BANK OF SOUTH AFRICA LTD | ||||
| Pagina 24 | ||||||
| Azionisti: | Teste: 3.439 |
19 | ||||
| Azionisti in proprio: | Azionisti in delega: б |
3.430 |

EMARKET
SDIR
CRIFF
ﮯ ﮨﯿﮟ ﮐﮯ ﻟﮍﮐﮯ ﻟﮍﮐﮯ ﮐﮩﺎ ﮐﮧ ﺍﯾﮏ ﮐﮯ ﺍﺱ ﮐﯽ ﻣﺠﻤﻮﻋﯽ ﺁﺑﺎﺩﯼ 1972ﺀ ﮐﯽ ﻣﺠﻤﻮﻋﯽ ﺁﺑﺎﺩﯼ 1972ﺀ ﮐﯽ ﻣﺠﻤﻮﻋﯽ ﺁﺑﺎﺩﯼ 1972ﺀ ﮐﯽ ﻣﺠﻤﻮﻋﯽ ﺁﺑﺎﺩﯼ 1972ﺀ ﮐﮯ ﺷﮩﺮ ﺍﯾﺮﺍﻥ ﮐﮯ ﺷﮩﺮ ﺍﺱ ﮐﮯ ﺍﯾﮏ ﺭﮨﺎﺋﺸﯽ ﮐﮯ ﺷﮩﺮ ﺍﺱ
ا صرا
Assemblea Ordinaria del 10 maggio 2023
| Oggetto: Determinazione del compenso dei componenti Il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| Totale | 661-569 | 373.618 | 0 ਰੇ ਰੋ 0 3.05 324. |
45.188 | 432.353 | ਰੇਰੇ I 73 - ਟ 991 |
ਰੋ 0 ਰੋ 2.609.661 584 - 909 |
285.436 | 13.049 | 3.163.723 | 166.235 832 6.235 32 B |
120.744 | ਤੇ ਰੋ ਰੋ 444 . |
106.136 | 7.776 7-776 |
5.891 L ਰੇ 1 |
23.036 б 31.33 |
38.406 8.406 |
9 45.49 |
U) 238.36 |
111.79 | 240-734 | 262.572 | 1-307-908 | 15.694.362 | 562.024 16 |
870 18.481 ਰੇ . ్ |
17.713 | 9 રવ 405. 9 ୧୫ |
1.520.054 ਾ |
7.455 વે ર |
ਰੇ ਤੇ ਰੇ .226.087 2 |
605.634 ਹੈ ਹੈ . ਰ ਤੇ ਰੋ |
8.562 ಗ 562 |
2.085 E |
178-646 646 |
54.423 61.780 |
119.229 | 144.682 | 800.393 | 172.294 ਰੇ ਪੈ |
26.793 | 264.317 | C | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 661.569 | 373.618 | 324.099 9.058 |
45.188 | 432.353 | 273. | 2.609.661 84 . u |
85.436 ১ |
13.049 | 3.163.723 | 20.744 9 L T |
444.399 | 106.136 | ട് . ല t |
23.836 | 31-339 15 |
45.496 | 238.365 | 111.792 | 240.734 | 262.572 | 1.307.908 | 694.362 15. |
562.024 15. |
18.481 39.870 |
17.71 | 405. | 520.85 T |
7. | .226.087 ঠ |
05.634 79. 9 |
38. | 32.085 | 178. | 54.423 61.780 |
119.229 | 144.682 | 800.393 | 172.2 | 26.793 | 264.317 | |||||
| Proprio | 0 | O O |
0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | g | 0 | 0 | 0 | 0 | 0 | |||||||||||||||||||||||||
| AKTIER | EQUITY IN GOLDMAN SACHS AND CO | INCARNATE WORD | Pagina 25 | 19 | 3.430 | |||||||||||||||||||||||||||||||||||||||||
| Ragione Sociale | BNY MELLON SUSTAINABLE GLOBAL EQUITY INCOME FUND | BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | INVESTERINGSFORENINGEN INVESTIN SAMPENSION GLOBALE IND |
TECH FOUNDATION INC QUILTER CHEVIOT VIRGINIA |
PRICE GROWTH OPPORTUNIT SERIES TRUST AST T ROWE ADVANCED |
BNYM MELLON BE NSL INTERNATIONAL EQUITY FUND | SACHS INTERNATIONAL GOLDMAN SACHS TRUST - GOLDMAN |
GLOBAL EQUITY FUND CORPORATE CLASS LIMITED SELECT ci CI |
CONCENTRATED EQUITY PRIVATE POOL GLOBAL CI |
AND GROWTH FUND INCOME GLOBAL CI |
POOLED FUND EQUITY GLOBAL CI |
INFRASTRUCTURE INCOME ETF MELLON GLOBAL BNY |
SACHS PROFIT SHARING MASTER TRUST ELC GENERAL UCITS ETF LEGAL AND GOLDMAN |
LIMITED FIOND FIDUCIARY INVESTMENT ZEDRA THE |
MANAGEMENT HOLDINGS INC MACOUARIE |
FUND ு FUTURELEGACY MEILLON 8NY |
FUND ਕਾ FUTURELEGACY MELLON BNY |
FUND ഹ FUTURELEGACY MELLON BNY |
FUND 9 FUTURELEGAC Y MELLON BNY |
FUND 7 FUTURELEGACY BNY MELLON |
INTERNATIONAL EQUITY COMMON FUND INC TRUST COMPANY DIVERSIFIED NATIONAL |
FINANCIAL BERMUDA OF BANK GOVERNMENT |
KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | POOL EQUITY DEPOSITARY APG DEVELOPED MARKETS STICHTING |
INDEX FUND បទ EX WORLD ALL FTSE VANGUARD |
FUND INDEX EUROPEAN STOCK VANGUARD |
DI PERBADANKAN PERSARAAN WANG KUMPULAN |
LEADERS EQUITY ETF EAFE ESG ПОЕ INVESTMENTS LP XTRACKERS MSCI |
GLOBAL SUSTAINABLE INFRASTRUCTURE FUND FUNDS MULTI ADVISOR |
TRUST WESPATH FUNDS |
RED DIAMOND INTERNATIONAL EQUITY LIMITED PARTNERSHIP | FUND CORPORATION TEXAS PERMANENT SCHOOL |
ENDOWMENT TRUST OF THE MOTABILITY AS SOLE TRUSTÉE MOTABILITY |
VOYA VACS INDEX SERIÉS I PORTFOLIO GRUNDFORSKNINGFOND DANMARKS |
FORDHAM UNIVERSITY | CONSOLIDATED EDISON RETIREMENT PLAN | DECOMMISSIONING FUND QUALIFIED NUCLEAR HARRIS UNIT 1 |
QUALIFIED NUCLEAR DECOMMISSIONING FUND ROBINSON UNIT 2 |
BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | THE OF THE CONGREGATION OF THE SISTERS OF CHARITY MANUFACTURERS LIFE INSURANCE COMPANY THE |
500 INTERNATIONAL ETF IQ |
LLC LEXINGTON INTERNATIONAL |
CERVURITE INTERNATIONAL LIC | l este: 3.439 |
Azionisti in delega: 6 |
|
| 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: |
દ્ધ્વર

Canci = ally
್ತಿಗಳು ಒಂದು ಮಾಡಿದ್ದಾರೆ. ಇದರಿಂದ ಸಾಮಾನ್ಯವಾಗಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Badge | Ragione Sociale | Delega | Totale | |
|---|---|---|---|---|
| **D | MARANIC II LLC | Proprio | 0.406 | 8-406 |
| **D | TERREBONNE INVESTMENTS LP | 0 | 12.605 | S 12.60 |
| **D | MINDFALL INVESTMENTS LP | 0 | 7-155 | 7.155 |
| **D | PHILANTHROPAR INVESTMENTS LP | 0 | .323 ব |
4.323 |
| **D | INVESTMENT MANAGEMENT HILL OAK |
C | 42.245 | 42.245 |
| **D | OHSU FOUNDATION ENDOWMENT FUND LP | 0 0 |
20.986 27-829 |
20.986 27.829 |
| **D | MASTERS I LLC | 0 | 63.824 | 63.824 |
| **D | SRIDGEMATER INPLEMENTATION FUND IV LLC | 0 | 24.616 | 24.616 |
| D D |
STICHTING PENSICENFONDS NOTARIAAT DEUTSCHE DCG |
0 | 27.845 | 845 7.1 ਟ |
| **D | OPPORTUNITY FUND INVESTMENT FUNDS VI BNY MELLON BALANCED ದ್ದರಿ BNY MELLON |
0 | 78.782 | 78.782 |
| **D | STF DEVELOPED INTERNATIONAL INDEX MANULIFE MULTIFACTOR |
0 | 146.059 | 146.059 |
| **D | OPERATING OF THE INTERNATIONAL UNION OF PENSION FUND CENTRAL |
0 | 263.347 | 263.347 |
| **D | A N FARGO BANK WELLS |
0 | 4.231 | 4.231 |
| **D | MAN GLG EUROPEAN ALPHA INCOME FUND | 0 | 8 93 15.320 |
320 93 8 5. H |
| **D | CITY FUND LP | . Q00 ﺔ ﺍﻟﻤ |
0.000 ਓ |
|
| D D |
FOR CHARITIES FUND AMITY BALANCED FUND FUND HIGHER INCOME |
0 | 000.000 | 000.000 |
| **D | FUND INTERNATIONAL AMITY |
0 | .120.000 L |
.120.000 T |
| **D | EUND EUROPEAN AMITY |
0 | 700.000 | 700.000 |
| **D | GEORGETOWN UNIVERSITY THE | 0 | .710 248 |
248.710 |
| **D | MOTHER CABRINI HEALTH FOUNDATION INC | 0 | 105.000 | 105.000 |
| **D | MARKETS II PLC INVESCO |
0 | 208.212 | 208.212 |
| **D | MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF OMAN | 0 | 207.720 | 207.720 |
| **D | CORE PORTFOLIO DISCIPLINED INTERNATIONAL ATLANTIC BLACKROCK GLOBAL |
0 | 33.303 | 33.303 783.490 |
| **D | ROTHSCHILD MARTIN MAUREL | 0 0 |
783.490 | 37.267 |
| **D | PARTNERSHIP UTILITIES QUAL NDT TEXAS |
0 | 12.180 37.267 |
12.180 |
| **D | PLAN CANADA 2007 PENSION SHELL |
0 | 4.085 | 4.085 |
| **D | ENDOMMENT PORTEOLIO I P | 0 | 0.300 | |
| **D | THE NONREPRESENTED EMPLOYEES OF SOUTHERN CALIFORNIA EDISON COMPANY 1999 VOLUNTARY EMPLOYEES BENEFICIARY ASSOCIATION OF |
|||
| 8 - 388 **D |
RESIDUAL TRUST LUND SHARON D |
C | 4.379 | б 4.37 |
| **D | REV TRUST LUND MICHELLE |
0 | 5.831 | 5.831 |
| **D | MANAGERS LTD FUND BLACKROCK |
0 | 4.469.985 | S . 98 . 4 ଦିନ୍ତ ष |
| **D | CONGREGATION OF THE SISTERS OF CHARITY OF THE INCARNATE WOR | 0 | б 14.38 |
14.389 |
| **D | SALARY REDUCTION PLAN CLINIC MARSHFIELD |
0 | 80.368 | 80.368 |
| **D | INV IOKK WELTON ENBTOYEE BEMELII COLTECIIVE NEW OF BANK THE |
0 | 62.749 . 2 โ |
.262.749 L |
| **D | WEN YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND FIAN OF BANK THE |
0 | .461.187 17 |
.461.187 117 |
| **D | FUND SL INTERNATIONAL STOCK INDEX CE MELLON BNYM |
0 | 603.578 | 8 603.57 |
| **D | FGR FONDS 1895 |
0 0 |
977 ਰੇ 2 ਸ 060. રે ર T |
977 8 ਰੇ ਵ . 060 - રે ર 1 |
| **D | FONDS STICHTING 1 1895 |
0 | 256 86. ไ |
186.256 |
| D |
SEMILER INVESTORS ICVC FIRST SEMTIER RESPONSIBLE LISTED INFRASTRUCTURE FUND FIRST |
0 | 691 434 - |
434-691 |
| **D | INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS STICHTING DEPOSITARY ARG DEVELOPED EQUITIES RI INDEX POOL |
0 | 119 077. ไ |
119 .077. I |
| **D | KAPITALFORENINGEN INVESTIN PRO VELLIV MORLD EQUITY | ਟ ਰੇ ୧ 315. |
315.596 | |
| D D |
EQUITY ETF GOLDMAN SACHS FUTURE PLANET FUND VALUE INTERNATIONAL GOLDMAN SACHS ETF TRUST NEJ VIRTUS |
.033.418 T |
-033-418 T |
|
| **D | THE UNIVERSITY OF GLASGOR THE UNIVERSITY COURT OF |
333 3. ਰੇ |
33 E రా б |
|
| **D | CO LTD BANK CONSORTIUM TRUST |
ਰੇ ਕੇ б 266. |
ਰੇ ਪੈ 266.9 |
|
| **D | BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 216 47 - |
-216 47 |
|
| **D | ALCOA FOUNDATION | 0 | 35.740 | 35.740 |
| Pagina 26 | ||||
| AZIONISTI: | 19 Teste: 3 439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: ರಿ |
|||
୧୮୦

20
ವ
Cap 2
ﻣﺎﺭﺱ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ
10 maggio 2023 16.27.23
| FAVOREVOLI | |
|---|---|
| 915 . 236 19.916 026.617 4.611 50 63.047 g5g 265 .524.364 251.613 250.000 592 334 84.848 1.039.112 335 279 9 60.677 20.395 123.639 325.315 390-097 42.963 2.051.239 54.053 9.009 411.049 778.970 5.223 91.039 332.200 274.845 207.434 85.958 50.903 147.203 342.214 1.052 4 - 804 4.761 11.461 3.97 27.92 6.69 12-0. 06. 12. 219. 123. 526 181 L б 2. T r b T S 251.613 50 9 19.916 S 6 63.047 P . 053 .970 903 ਰੇ ਟੈਕੇ રે રે ਰੇ 2 0 112 15 .611 026.617 б .052 279 9 5.223 274.845 60.677 147-203 25.315 390.097 42.963 250 - 000 12.334 .461 9.009 91.039 .332.200 207.434 85.958 20.395 123.639 123.335 .214 - 804 4.761 2.051.239 3.97. .181.23 27.92 524.36 . 69 411.04 ਟ ഗ б . 0 526 50. 219. 86. 12 b . 039 H 342 9 11 ਦੇ ਪ 778 1 P 6 m 1. 7 . 1 S ਟ 1 0 0 0 0 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 0 0 0 0 0 A ASSET ALLOCATION PORTFOLIO QUANTITATIVE MODELING PORTFOLIO |
|---|
| KOOKMIN BANK ACTING AS IKUSTED OF HANA ALTERNATIVE QUALIFIED INVESTORS PRIVATE PLACEMENT SECIAL SPARINVEST INDEX DOW JONES SUSTAINABILITY MORID KI DPCTA MASTERFONDS RETIREMENT SYS CHURCH TRUST KL EUROPA VALUE INTERMEDIATE RETIREES MEDICAL BENEFITS LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST THE PRESBYTERIAN OF YORK MELLON INTERNATIONAL LIMITE ETF SYSTEM MBH ON BEHALF III |
| 19 |
651

્યુ
lapica
ﺍﻟﺘﻌﻠﻴﻤﺎﺕ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤ
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESITO DELLE VOTAZIONE
FAVOREVOLI
| Badge | Ragione Sociale | Totale | ||
|---|---|---|---|---|
| **D | GLOBAL EX UK ENRANCED INDEX FUND UK INVESCO |
Proprío | Delega 9.953 | ਰ 53 ರು. |
| **D | OK FUND INVESCO EUROPEAN EQUITY INCOME |
0 | 1.325.713 | .325.713 1 |
| D D |
GLOBALE AKTIÉR BASIS INVEST TAKTISK ALLOKERING INVEST INVESTERINGSFORENINGEN NYKREDIT NYKREDIT INVESTERINGS FORENINGEN |
0 9 |
40 8 б . O 8 રેટ દ દ |
62-040 8 ਰੇਸ਼ ୧୧ - |
| **D | FUND UK GLOBAL TARGETED RETURNS INVESCO |
0 | . 103 26 |
26.103 |
| **D | ENPLOYEES RETIREMENT SYSTEM OF TEXAS | 0 | 5.705.251 | .705.251 ഹ |
| **D | FOR ACCOUNT OF ZFO AKTIEN EUROPA INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING |
0 | 389.000 | 000.686 |
| **D | I EQUITIES KAPITALFORENINGEN INVESTIN PRO GLOBAL |
0 | 331.094 844.190 |
844.190 331.094 |
| **D | TRUST AST PRUDENTIAL GROWTH ALLOCATION PORTFOLIO ADVANCED SERIES |
0 | 8 13.59 |
|
| **D | ETF EMERGING MARKETS UCITS PLC III INVESCO MARKETS |
0 | 116.960 | 13.590 116.960 |
| **D | S ETF RAFI DEVELOPED MARKETS EX U RAFI FTSE FTSE INVESCO INVESCO |
570.368 1. |
570.368 1. |
|
| D D |
FUND EQUITY STRATEGIES INTERNATIONAL GREAT WEST CORE |
0 | .215 72 |
72.215 |
| **D | TINITED BLACKROCK LIFE |
0 | . 967 151 |
151.967 |
| **D | BLACKROCK GLOBAL FUNDS | 0 | 284.863 6 S |
863 284. 6. S |
| **D | GLOBAL MIND ENERGY ETF TRUST FIRST |
. 463 ਰੇ ਦੇ ਪੈ |
64.463 б |
|
| **D | TRUST NASDAQ CLEAN EDGE SMART GRID INFRASTRUCTURE IND FIRST |
0 | 86.200 য |
200 86. P |
| **D | VIRGINIA RETIREMENT SYSTEM | 0 | 370.386 -609.21 t |
9 216 38 370. 609. I |
| **D | INVESCO FUNDS | g б |
ਰੇ I ਪੈ .024. 6 S |
|
| **D | FÜND PGIM JENNISON UTILITY |
077 ਰੇ ਹੋ ਕ 6. -024 . S |
6.077 | |
| **D | 50 50 BALANCED PORTFOLIO BSE BGIM FUND SERIES THE PRUDENTIAL |
11-186 | נ 8 6 11. |
|
| **D | AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST PORT FLEXIBLE MANAGED pgin PSF FUND SERIES PRUDENTIAL THE |
232.085 | 085 232. |
|
| D D |
FUND INTERNATIONAL INDEX PACIFIC GAS |
0 | 435 4 ਤੋ 0 |
4 ਤੋਂ ਦ 843 . |
| **D | INC GLOBAL EQUITY GLOBAT FUNDS PIC BNY MELLON GREAT WEST |
0 | ર તે 9 416. L |
.416.669 1 |
| **D | MACQUARIE FIRST TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID BAX RELLION |
200 353. |
200 353. |
|
| **D | BANK OF KOREA | ਰੇ 8 ਪੈ ದ |
984 8. |
|
| **D | FIREFIGHTERS RETIREMENT SYSTEM | 125 146. |
146.125 | |
| **D | VAERDIPAPIRFONDEN SPARINVEST INDEX | 27.435 | 27.435 | |
| **D | FUNDS INC INTERNATIONAL EQUITY INDEX PRINCIPAL |
527.160 | 527-160 | |
| **D | EQUITY FUND SWEDISH NATIONAL PENSION FUND AP 7 THE SEVENTH |
.314.691 10 |
0.314.691 L |
|
| **D | PORTFOLIO ADVANCED SERIES TRUST AST INTERNATIONAL GROWTH |
716.618 | 716.618 | |
| **D | DEVELOPMENT INTERNATIONAL BANK FOR RECONSTRUCTION AND |
51 б 33. |
ਰੇ 21 E E |
|
| **D | SECURITIES FUND LF MACQUARIE GLOBAL INFRASTRUCTURE |
57 B 5. 2 9 |
57 295.8 |
|
| **D | PRINCIPAL FUNDS INC OVERSEAS FUND | 563 247 . |
563 247 |
|
| **D | IINTED runds STANLIB |
36.048 | 36.048 | |
| * * D | LINK FUND SOLUTIONS LTD | 8.027 ਧੈ |
8.027 0 |
|
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 5-716 20 |
205.716 | |
| **D | FUND PENSION ABB |
12.107 | 12.107 | |
| **D | INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 5 3.68. |
3.685 | |
| **D | GLOBAL VALUE FUND CLARINGTON IA |
58.176 | 50.176 505.092 |
|
| **D | INC ALLIANCE INSURANCE AND FINANCIAL SERVICES INDUSTRIAL |
505.892 | ||
| **D | FUBLIC EMELOYEES RETIREMENT SYSTEM OF MISSISSIPPI | .019.034 S L |
.019.034 9 ਰੇ ਉ 63. 9 I ഗ T |
|
| **D | STICHTING PENSIOENFORDS ABP | 95.142 663.98 8 5. L |
95-142 B 11 |
|
| **D | INCOME FUND GLOBAL BNY MELLON |
5 147.86 11. |
S 147.86 |
|
| **D | HEDGED FTSE INTERNATIONAL ÉTE PERCENT IQ 50 |
92.304 E |
304 92 3 |
|
| **D | INTERNAT BETA ACTIVE GOLDMAN SACHS TRUST ETF GOLDMAN SACHS |
б 5.20 |
ర్ 5.20 |
|
| **D | EUROPE E BETA ACTIVE SACHS GOLDMAN TRUST ETF GOLDMAN SACHS |
39.019 | 39.019 | |
| **D | ETF XTRACKERS MSCI EUROZONE HEDGED EQUITY |
|||
| **D | VOYA INTERNATIONAL INDEX PORTFOLIO | 575.911 | L ਰੇ 1 575. |
|
| Pagina 28 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
652

A
Assemblea Ordinaria del 10 maggio 2023
| Oggetto: Determinazione del combenso dei combonenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE | |
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | ||
|---|---|---|---|---|---|---|
| **D | THE AMERICAN UNIVERSITY IN CAIRO | 9.084 | 9.084 | |||
| **D | ST THE CLAUDE MARIE DUBUIS RELIGIOUS AND CHARITABLE TRU |
0 0 |
263.265 | 263.265 316.247 |
||
| **D | CHARITABLE WORD INCARNATE |
TRUST | 316.247 59.757 |
59.757 | ||
| **D | THE CONGREGATION OF |
SISTERS OF CHARITY OF THE INCARNATE WORD | .063.164 L |
|||
| **D | TRUST ARIZONA PSPRS |
470.000 063 - 164 T T |
470.000 ﺎ |
|||
| **D | ON Chisit INVESTMENT DWS |
БКИ BET FONDS DMS OF BEHALF |
0 | . 683 . 630 L |
630 . ୧୫3 . โ |
|
| D D |
ON ON GMBH GMBH DWS INVESTMENT INVESTMENT DMS |
ट ਨ AVD SONDS FONDS DWS DWS OF OF BEHALF BEHALF |
20.121 | 121 20. |
||
| **D | ENERGY PENSION SEMPRA |
MASTER TRUST | 03.068 t |
068 3. 10 |
||
| **D | TEACHERS RETIREMENT SYSTEM OF LOUISIANA | -200 42 |
200 ਟ प |
|||
| **D | GLOBAL LISTED REAL ASSETS FUND DELAWARE |
82.310 L |
182.310 | |||
| **D | INVESTERINGSFORENINGEN LAEGERNES INVEST | GLOBALE AKTIER LI |
68 - 139 | 68.139 | ||
| **D | KAPITALFOREMINGEN LABGERNES INVEST KLI AKTIER GIOBALE INDENYKREDIT PORTEFORLIJE ADMINISTRATION AS | 0 | 337.441 | 337.441 | ||
| **D | LIFE LTD BLACKROCK |
9.252 б . 1 I |
.199.252 T |
|||
| **D | FUNDS INC PRINCIPAL |
FUND DIVERSIFIED REAL ASSET |
.125.234 ਟ |
2.125.234 | ||
| **D | MSCI EUROPE XTRACKERS |
HEDGED EQUITY ETF | 362.217 | 362.217 | ||
| **D | INVESCO PUREBETA FTSE | ETF DEVELOPED EX NORTH AMERICA |
167 S |
5.167 | ||
| **D | K10 FONDS MI |
9-386 21 |
219.386 | |||
| **D | K12 FONDS MI |
0 ਰੇ 21.690 8 687 . |
687.809 21.690 |
|||
| **D | OF SOUTH AFRICA LTD BANK STANDARD |
2.034.778 | 8 2.034.77 |
|||
| **D | EAFE HEDGED EQUITY MSCI XTRACKERS |
ETF | 0 | 22.349 | 22.349 | |
| **D | FTSE XTRACKERS |
DEVELOPED EX US MULTIFACTOR ETF | 0 | e l б 8. 18 |
188.961 | |
| **D | EDISON SC |
NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TR | 418.787 | 418.787 | ||
| **D | MASTER TRUST INC TEXTRON |
0 | 9 945.48 20. |
g 945.48 20 - |
||
| **D | CONCORD STREET FIDELITY |
FIDELITY INTERNATIONAL TRUST |
INDEX FUND | 0 | L L ਰ 5 . |
B 95.11 |
| **D | BELLSOUTH CORP RFA VEBA TRUST | 322.397 | 322.397 | |||
| **D | BANK CENTRAL EUROPEAN |
0 | 899.25 | m 899.25 |
||
| **D | INVESTMENT FUNDS III MELLON BNY |
BNY MELLON GLOBAL | EQUITY INCOME FUND | 0 | 085.252 ો |
ਟ 085.25 T |
| **D | MELLON BNY |
STOCK FUNDS BNY MELLON INTERNATIONAL CORE EQUI | g | 196.053 | 196.053 | |
| **D | INTERNATIONAL MELLON BNY |
FUND INDEX STOCK |
0 | 12-945 | 12.945 | |
| **D | INTERNATIONAL METILON BNY |
EQUITY INCOME FUND | 0 | .251 ਕੇ ਹ |
41.251 | |
| **D | RETIREMENT MANVILLE PERSONAL INJURY |
TRUST SETTLEMENT SYSTEM |
0 | 927.145 1. |
1.927.145 | |
| **D | HAMPSHIRE NEW |
0 | 104 - 662 | 104.662 | ||
| D D |
PENSION TRUST TRUST SHEIT SENSION UPSTREAMCO |
0 | 576 ਰ ਤੇ - |
576 93. |
||
| **D | INVESTMENTS EASTSPRING |
. 4 8 g |
0.488 | |||
| **D | NATIONAL TREASURY MANAGEMENT AGCY | 98.142 ਟ |
142 8. б N |
|||
| **D | AND POLICE |
OF DETROIT FIRE RETIREMENT SYSTEM OF THE CITY |
530 40. |
530 0. ರ |
||
| **D | TRUST LEIPZIGER ALTE |
INVESTMENT | 377.150 | 377.150 | ||
| **D | LEIPZIGER TRUST INVESTMENT GMBH ALTE |
238.167 | 167 238 - |
|||
| **D | BANK EUROPEAN CENTRAL |
401.757 | 401-757 | |||
| **D | MAN NUMERIC MAN FUNDS PLC |
RI EUROPEAN EQUITY | 56.300 | 56.300 | ||
| **D | VIRTUS | FUND DUFF AND PHELPS GLOBAL INFRASTRUCTURE |
142.579 | 142.579 | ||
| **D | INTERNATIONAL DIVIDEND ETF MMC VIRTUS |
- ਰੇਵਰ 32 |
32.961 | |||
| **D | PENSION POLICE AND FIRE |
ASSOCIATION OF COLORADO | 103-750 | 153.245 103.750 |
||
| **D | GLOBAL EQUITY FUND LLC FLORIDA |
153.245 ه ه 7.8 |
7.888 | |||
| **D | VENICE PENSION OF DIOCESE |
AND TRUST PLAN |
. 984 . 412 5 |
.412.984 ਟ |
||
| **D | EMPLOYEE RETIREMENT SYSTEM OF IDAHO PUBLIC |
S .059.48 L |
S 1.059.48 |
|||
| D D |
TEACHERS PENSION AND TEACHERS SCHOOL PUBLIC |
OE OF FUND FUND RETIREMENT RETIREMENT AND PENSION |
CHICAGO CHICAGO |
5 ਟ 24 |
24.250 | |
| SCHOOL PUBLIC |
||||||
| Pagina 29 | ||||||
| Azionisti: | 3.439 | Teste: | 19 | |||
| Azionisti in proprio: | Azionisti in delega: 6 |
3.430 |

all
Degri
ച്ചുകളുടെ പ്രശസ്തമായി പ്രവരിച്ചു. അവലംബം പ്രശസ്തമായി വിവാഹം പ്രവരിച്ചു. അവലംബം പ്രശസ്തമായി വിവാഹം പ്രവരിച്ചു. അവലംബം പ്രശസ്തമായി ഇവ വിശ്വാസ്ത്രിക്കുന്നു. അവലംബം അവലംബ
ર્દ્ર ર
Assemblea Ordinaria del 10 maggio 2023
| Uggeno: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| Sociale Ragione |
Delega | Totale | ||
|---|---|---|---|---|
| Badge **D |
INVESCO FUNDS | Proprio Broprio | 13.618 | 13-618 |
| **D | MONTICELLO MINNESOLA RETAIL NSP |
0 0 | 80.431 | 43.715 80.431 |
| D D |
MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST RETAIL PRAIRIE II MINNESEOTA NSP NSP |
0 | 43.715 50.071 |
0.071 ഗ |
| **D | FOR ACCOUNT OF BPT MBH ACTING KAPITALANLAGEGESELLSCHAFT INTERNATIONALE |
0 | 8.003 | 883 8. |
| **D | FD VANGUARD INTL HIGH DIV YLD INDEX |
0 | 4.433.838 | 4.433.838 |
| **D | LLC FUND INVESTMENT HIGHLAND |
0 0 |
B 88 261.15 22. |
261.158 88 N 2 |
| **D | PG AND E POSTRETIREMENT MEDICAL PLAN TRUST MANAGEMENT AND NON IREES CORPORATION RETIREMENT MASTER TRUST BGB |
તે ર | વે છ | |
| D D |
STICHTING CZ FUND DEPOSITARY | 0 | 970 121. |
970 121. |
| **D | PLC MAN NUMERIC RI GLOBAL EQUITY MAN FUNDS |
0 | 10.400 | 10-400 |
| **D | ZDV DEAM FONDS |
. 097 б б |
9-097 ರಿ |
|
| **D | FIDELITY SAI INTERNATIONAL INDEX FUND | 0 | ਤੇ ਕੇ ਰੋ ୧୧ - . 8 |
22.907 349 . 866. T |
| **D | ETF SUSTAINABLE INTERNATIONAL EQUITY INCOME COLUMBIA |
0 | ਚ 2 ਰ 22.907 |
66.829 |
| **D | L ﺎ PAL RPK ON BEHALF OF DWS FONDS FONDS BEHALF OF DWS ON DWS INVESTMENT GMBH GNBH |
0 | 3 ହ ସ 70. 66. |
0 - 3 € € 1 |
| D D |
FUND EQUITY INVESTMENT AURION GLOBAL DWS |
0 | 29.077 | 29.077 |
| **D | INC BLACKROCK BALANCED CAPITAL FUND |
0 | 329.238 | 329.238 |
| **D | FUND INTERNATIONAL INDEX AZL |
0 | 558 657. |
657.558 |
| **D | CORE EQUITY FUND DFA INTERNATIONAL AZL |
0 | 75.038 | 75.038 |
| **D | RETIREMENT SYSTEM EMPLOYEES POLICE MUNICIPAL |
0 | 162.760 | 162.760 |
| **D | FOUITY E EX US HIGH DIVIDEND VIETD WORLD ALL MSCI XTRACKERS |
9 0 |
4.357.209 21.300 |
4.357.209 21.300 |
| **D | ETF DIAIDEND AIETD EQUIIY મ દિલ્લ EAFE MSCI XTRACKERS |
1.696.686 | I . 696 . 686 . 686 . 686 | |
| **D | FUND INTERNATIONAL BNY MELLON |
0 0 |
6.725 ﺴﺎ |
S 76.72 |
| D D |
COUNTY FUND OF COOK ALPHADEX UCITS ETF EMPLOYEES ANNUITY AND BENEFIT EUROZONE TRUST COUNTY FIRST |
0 | 295.170 | 295.170 |
| **D | NTUC INCOME INSURANCE CO OPERATIVE LIMITED | 0 | -278 0 |
8.278 |
| **D | BLC MAPFRE MSV LIFE |
0 | 167.959 | б 167.95 |
| *D よ |
EQUITY FUND EUROPEAN PRUDENTIAL BOC |
0 | 85.227 | 85.227 |
| D |
GLOBAL EQUITY FUND PRUDENTIAL BOC |
0 | -717 al |
91.717 |
| **D | EUROPEAN INDEX FUND PRUDENTIAL BOC |
0 | 490-450 | 490.450 |
| **D | NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST LAWRENCE LIVERNORE NATIONAL SECURITY ITC AND TRIAD |
0 0 |
270.779 187.231 |
б 187.231 270.77 |
| **D | ALABAMA TRUST FUND | 0 | 268-252 | 200.252 |
| **D | MASTER PENSION TRUST INC INDUSTRIES ELECTRIC HAWAI IAN |
0 | 559 29. |
559 29. |
| **D | MASTER VEBA TRUST INC INDUSTRIES ĖLECTRIČ HAWAIIAN |
0 | 307 124 |
124.307 |
| **D | SYSTEM MASTER TRUST SISTERS OF CHARITY OF LEAVENWORTH HEALTH FUND CORPORATION PERMANENT |
0 | 466.044 | 466-044 |
| D D |
Co PENSION INSURANCE ILMARINEN MUTUAL ALASKA |
0 | 4.890.000 | 000 4.890. |
| **D | ESG SECURITIES MASTER INVESTMENT TRUST EQUITY KOOKMIN BANK ACTING AS TRUSTEE OF SAMSUNG EUROPEAN |
0 | 700 62. |
62.700 |
| **D | INKA FONDS PMPT |
0 | 917 20. P |
420.917 |
| **D | KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET TRIUMPH MULTI FACTO PRIVATELY PLACED MASTER | 0 | 654 118. |
118.654 |
| **D | PBEAKK INKA |
974 .058. ไ |
1.058.974 | |
| **D | SCHOOL EMPLOYEES RETIR OF PENNSYLVANIA PUBLIC COMMONWEALTH |
530 79.400 .284. L |
79.400 1.284.530 |
|
| **D | FUND IVY APOLLO MULTI ASSET INCOME |
. 960. 393 ไ |
||
| **D | SYSTEN EMPLOYEES RELIREMENT STATE LOUISIANA |
0 | 3 ਰੇਤ 801 . 960. . 338. T ਟ |
2.338.001 |
| D D |
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA SYSTEM OF NEVADA BUBIIC EMPLOYEES RELIBEMENT |
ਰੇ ਹ .357-2 ਟ |
2.357.291 | |
| **D | INVESTMENT FUND RELIREMENT BENEFITS |
9.716 L |
9.716 1 |
|
| **D | POOL REINSURANCE CO LTD | 166.701 | 166.701 | |
| **D | SERIES DEVELOPED INTERNATIONAL INDEX FUND PENN |
6 45.92 |
45.929 | |
| Pagina 30 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| 3.430 Azionisti in delega: б |
||||
| Azionisti in proprio: |


. ವಿಶ್ಯ
J
പ്രാമ്യ
الله
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Ragione Sociale | Proprio 0 |
Delega 571.013 |
Totale 571-013 |
|
|---|---|---|---|---|
| BLACKROCK SOLUTIONS FUNDS ICAV | 0 | .426.203 O L |
0.426.203 T |
|
| PENSION RESERVES INVESTMENT TRUST FUND | 23.364 | 23.364 | ||
| STATE | SYSTEM RETIREMENT OF SOUTH DAKOTA |
ਰੇ ਰੋ 06-3 E |
306.399 | |
| DAKOTA ENPLOYEES SOUTH |
THE STATE OF HAWAII SYSTEM OF RETIREMENT |
42.061 L |
142.061 | |
| SALTHFIELD | FOODS MASTER TRUST | 8 4 5 | 845 | |
| HKSAR THE |
FUND GOVERNMENT SCHOLARSHIP |
000 4 . |
4.000 | |
| DIEGO SAN |
DEC TRUST FACILITIES QUAL ELEC CO NUCLEAR GAS AND |
9.011 8 |
89.011 | |
| NATWEST | TRUSTEE TRUSTEE AND DEPOSITARY SERVICES LIMITED AS |
225.393 | 225.393 | |
| MULTI VOYA |
INTERNATIONAL FACTORS FUND MANAGER |
909 352.308 167. |
167.909 352.308 |
|
| DUKE | ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 0 | 14.540 | 14.540 |
| QUALITY | EDUCATION FUND | D | 24.262 | 24-262 |
| ETF DYNAMIC MULTIFACTOR INVESCO INTERNATIONAL DEVELOPED |
0 | 994.799 | 994.799 | |
| PUBLIC | EMPLOYEES RELIREMENT SYSTEM OF OHIO | 0 | 27.655 | 27.655 |
| ADVANCE | PLANNING LIMITED | 0 | 40.375 | 40.375 |
| DIGNITY | LINITED PRE ARRANGEMENT |
0 | 106.497 | 106.497 |
| INDIANA | SYSTEM PUBLIC RETIREMENT |
0 | 81.251 | 81.251 |
| ROBECO PORTFOLIO TRUST | PARTNERS GLOBAL EQUITY ROBECO BOSTON |
0 | 65.000 | 5.000 9 |
| UNIVERSAL INVESTMENT | ON BEHALF OF REKSAAR MASTERFONDS GESELLSCHAFTMBH |
0 | 73.660 | 73.660 |
| OF NEW MEXICO PUBLIC EMPLOYEES RETIREMENT ASSOCIATION |
0 | 60.217 | 60.217 | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA | 0 | 61.316 | 61.316 | |
| EUROPEAN FUND HSBC |
0 | 70-076 | 70.076 | |
| GLOBAL EQUITY HSBC |
FUND VOLATILITY FOCUSED |
0 | 123-503 | 123.503 |
| навс | INTERNATIONAL EQUITY INDEX FUND | 0 | 39.630 | 9.630 ದ |
| LE BRIDGEMATER ALL WEATHER SUSTAINABILITY |
22.135 | 22.135 | ||
| UPS GROUP | BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR TRUST |
84.321 | 4.321 B |
|
| STICHTING | BEDRIJESPENSIOENFORDS VOOR HET | 84.158 | 84.158 | |
| DWS INVESTMENT GMBH STICHTING |
70.272 | 272 70. |
||
| FIRST | PRIVATE INVESTMENT KAG MBH FIRST PRIVATE WEALTH | 57.350 | 57.356 | |
| ADVANCED | ALLOCATION PORTFOLIO SERIES TRUST AST ACADEMIC STRATEGIES ASSET |
407.119 | 407.119 | |
| FLORIDA RETIREMENT SYSTEM | 0 | 3.964.751 | 3.964.751 | |
| OMA PGIM |
FUND DEVELOPED MARKETS INDEX INTERNATIONAL |
g | 8.753 ਟ |
28.753 |
| ENERGY INSURANCE | MUTUAL LIMITED | 0 | 0.254 5 |
50.254 |
| MIDDLETOWN | HOURLY AND SALARIED UNION WORKS |
22.159 | 22.159 | |
| METROPOLITAN | COMPANY INSURANCE LIFE |
352.768 | 352.768 | |
| IOWA PUBLIC | EMPLOYEES RETIREMENT SYSTEM | 223.357 | 223.357 | |
| ALLEEATHER BW |
992341 SUSTAINABILITY 11 LP |
0 | 45.906 | 45.906 |
| SHERIFFS | FUND RELIEF PENSION AND |
4.700 | 4.700 | |
| FIRST TRUST | TRUST NASDAQ CLEAN EDGE SMART GRID INFRASTRUCTURE UCITS ETF GLOBAL FUNDS PLC FIRST |
16.228 46-245 |
46.245 16.228 |
|
| BIRTH FLORIDA |
INJURY COMPENSATION ASSOCIATION RELATED NEUROLOGICAL |
7.232 | 7.232 | |
| ASR | NV AANVULLENDE ZIEKTEKOSTENVERZEKERINGEN |
90.771 ﻟﺴﺎ |
790.771 | |
| ASR | LEVENSVERSEKERING NA | 135.663 | 135.663 | |
| ASR | SCHADEVERZEKERING NV | 401.921 | 401.921 | |
| STICHTING ASR BEWARDER | 1.485.686 | 1.485.686 | ||
| AMUNDI | RISPARMIO ITALIA SGR SPA / AMUNDI |
000 6.195. |
6.195.000 | |
| SGR AMUNDI |
SVILUPPO ITALIA / AMUNDI SPA |
234 .742. గా |
3.742.234 | |
| કર્ણ AMUNDI |
SPA | 51.253 | 253 51. |
|
| ETOILE | ROTATION SECTORIELLE | .358 22 |
||
| ETOILE | ACTIONS INTERNATIONALES | 58 E 22. |
||
| Pagina 31 | ||||
| 19 I este: 3.439 |
||||
| 3.430 Azionisti in delega: ਰੇ |
||||
| Azionisti in proprio: |

JCDIC
3
s
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Uggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| Badge | Ragione Sociale | Delega | Totale | ||
|---|---|---|---|---|---|
| **D | SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE AMUNDI |
947.720 | 947.728 | ||
| **D | SGR SPA / AMUNDI BILANCIATO PIÙ, AMUNDI |
Frontio | 601-625 | 601.625 | |
| **D | US POCHE ACTION ACTIONS ETOILE |
141.654 0 |
141-654 | ||
| **D | / QBBLIGAZIONARIO SGR SPA AMONDI |
DIS TRIBUZIONE ದ್ bil. |
483.596 0 |
483.596 | |
| **D | AB SICAV I - LOW VOLATILITY EQ | 3.124.407 0 |
3 124.407 | ||
| **D | SG DNCA ACTIONS EUROPE ISR | 95 - 74 0 |
95.745 S |
||
| **D | ANDROS | 18.990 0 |
18.990 | ||
| **D | STAUBLI 80 20 - SGAM | 6.091 0 |
6.091 | ||
| **D | BRIDGE BUILDER INT EQUITY FUND | 424.751 0 |
424.751 | ||
| **D | FORDS N2 ASTRAZENECA |
7. 0 |
7.573 573 |
||
| **D | AB CAP FUND, INC .- AB INTERNAT | .031.993 t 0 |
1.031.993 | ||
| **D | GSK ACTIONS | 9.888 0 |
9.888 | ||
| **D | METZLER INTERNATIONAL INVESTME | 560 - 450 0 |
560 - 450 | ||
| **D | VOLKSWAGEN | 6.708 0 |
6.708 | ||
| **D | THE brC FUND SEI GLOBAL MASTER |
62. 0 |
62.509 ટ 0 ને |
||
| **D | 405 DIVERSIFIE ISR PART SG |
61. 0 |
61.306 306 |
||
| **D | MAR SICAV III - DYNAMIC ALL Ale |
21.006 0 |
21.006 | ||
| **D | I SR SG ACTIONS INTERNATIONALES |
121.127 0 |
121.127 | ||
| **D | KOKUSAI EQUITY INDEX FUND | 256.960 0 |
256.960 | ||
| **D | HALEVY A2 | 218.456 0 |
210.456 | ||
| **D | MORGAN STANLEY PATHWAY FUNDS | 146.024 0 |
146.024 | ||
| **D | PASTEUR ISR | 129.912 0 |
129-912 | ||
| **D | AFFINITY WORLD LEADERS EQUITY | 14-484 0 |
14.484 | ||
| **D | AB SICAV I - ALL MARKET INCOME | 60.100 0000 |
60.100 | ||
| **D | ST SUP DVD EC ROL JP-RE cus BK |
7.100 | 7-100 | ||
| **D | Al HALEVY |
199-495 | 199.495 | ||
| **D | INVESTISSEMENT 101 AUTRES | 34.409 | 34.409 | ||
| **D | A SR TR-BLKRK GL INV BLK MAGI |
2.359 0 |
2.359 | ||
| **D | UF 6 A | 12.893 0 |
12.893 | ||
| **D | SICAV I - EUROZONE EQUITY AB |
2.123.323 0 |
2.123.323 | ||
| **D | ACTIONS EUROPE CLIM SG DNCA |
143.650 0 |
143.650 | ||
| **D | IRCEC CASSETTE DIVERSIFIE | 178.847 0 |
178.847 1.431-335 |
||
| **D | EUROPEAN EQUITY l SICAV I AB |
431.335 1. 0 |
|||
| **D | EQUITY INCOME FUN DESTINATIONS |
527.968 0 |
527-968 | ||
| **D | AB SICAV I-SUSTAIN ALL MK PORT | 25.730 g |
25.730 | ||
| **D | MAAF ASSURANCES SA | 927.636 0 |
27.573 927.636 |
||
| **D | FCP FONDATION MEDERIC ALIFHEIME | 27.573 0 |
|||
| **D | PROTEC BTP | 12.760 315-708 0 0 |
12.760 807.516 |
||
| **D | INVESCO EURO EQUITY SILVER |
0 | 923 923 |
||
| **D | LE FINISTERE A5SURANCE | 106.714 0 |
106.714 | ||
| D D |
AIM EQUITY EUROPE CANTONS RETRAITE ALLIANZ |
854.808 0 |
808 54 - 8 |
||
| **D | ALLIANZ | 55.000 0 |
55.000 | ||
| **D | IARD MULTI-ASSETS ALLIANZ |
426.904 0 |
426.904 | ||
| **D | ALLIANZ | 321.613 | 321.613 | ||
| **D | ALLIANZ HOSPIT VAL DURABLES MA | 750.000 0 |
750-000 | ||
| **D | AB SICAV I - LOW VOLATILITY | 105-147 | 105.147 | ||
| **D | SEGALL BRYANT HAMILI INT FD | 461 461 |
|||
| **D | SEB GENERATION PLUS THEODOR-HE | 23.020 | 23.020 | ||
| **D | LYXINDEX - LYXOR GLOBAL GENDER | 91.551 | 91.551 | ||
| Pagina 32 | |||||
| Azıonıstı: | Teste: 3 439 |
19 | |||
| Azionisti in proprio. | 6 | 3.430 Azionisti in delega: |
656

1 -24 C
Jeros
Azionisti in proprio.
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESITO DELLE VOTAZIONE
| 31.856 176.179 2-387-668 133.082 76.017 9 852 012.249 514.229 59.781 75 - 672 .714.703 7.014 653.711 24.551 23.411 4.395.408 400.000 500.345 776.106 9.580 1.051.09 6.9 . O 218. 271. 5. 120 . 10. 8 ਟ 9 ട ഒ ਉ ਰੇ 3. 2 133.082 10.076 176.179 3.012.249 9 256 ਦ 51 218-202 52 75.672 2.387.868 128.500 589.185 514.229 371 76.017 9.781 23-411 9-447 25.214 11.284 10.015 11.510 14.081 84.577 1.634 121-000 13.398 7.014 653.711 97 051.096 33.447 2.714.703 10.090 27.889 92-206 178.401 ਰੇ ਤੇ ਰੋ 093 .395.400 400.000 580 447.663 159.240 415.051 407 776.106 580.345 S 5.29 31.8. . θ б 271. 10. 24. 598 BBC - 9 - e . ర S 9 โ 1. P 0 0 C 0 0 0 0 0 0 0 00 0 0 0 0 0 0 0 0 0 0 0 ರ 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 Pagina 33 19 3.430 Azionisti in delega: Teste: sos ii GR FUTURE II ED MSC SOSTENIB SVILUPPO ORIENT SVILUPPO GLOBAL (D CORE EURO STO AZIONE SOSTENIBI 04 24 2023 2024 ALLOCATION FUND 2023 BILANCIATO PERCORSO ATT PROG AZIONE INFRAS SOST TAX MAN INT EQ ESG LEADERS 2023 2023 ESG IMPROV PORT MULTI-ASSET VARIO FÜND PERCORSO ATTIVO II NET ZERO TRANS ETF WORLD CLIMATE NUMERIC INVESTORS ASSET ETF PROGETTO AZIONE CITTA DVD INCOME CATHOL CORE STOXX 3.439 ੇ FUND - LYXOR MSCI TEODORICO 01 CED 10 0 ୧ 12 CEDOLA 07 CAP 09 ACTIONS 50-65 EUROPE UCITS EUROPEAN EQUITY CEDOLA MULTI CEDOLA PROGETTO CEDOLA AZIONE CEDOLA CEDOLA EUROPE PROGETTO AZIONE FISE IT ALL WORLD TOTAL RETURN EUROPE EMU EQUITY FD-LYXOR FD-LYXOR INTERNAT PROGETTO PROGETTO ENERGIE PROGETTO PROGETTO PROGETTO PROGETTO PROGETTO MSCI BIL l l |
AIF- TACTICAL PORTFOLIO INCOME MUL-LYX NET ZERO 2050 SP WORLD AMUNDI BRIDGEWATER ALL WEATHER LYXOR CORE MSCI WORLD (DR) UC1 ETOILE ACTIONS RENDEMENT ISR AM SE-EUR EQU OPTIMAL VOLAT LYXOR-MSCI EMU ESG BROD CTB MULTI UNITS LUX-LYXOR CORE PROG AZ INFRASTRUTT BIL PER ATTIVO III ASI-PROG AZION CIITA AMUNDI SOLUZ IT PROG ICAV GLOBAL AIF-MULTI-ASSET BRIDGE BUILDER - PROGETTO PIF-LYXOR MSCI MUL-LYXOR MSCI AB SICAV I-GL 25SF-PROGETTO BLACKROCK GLB LYXOR MSCI EUROPE DIVERSIFIÉ NUVEEN GL LYXINDEX MUL= LYX LYX IND LYX IND EUROPAC ETOILE AMUNDI FASSON । l । l l r l l l - l l l l LYXOR AMIF AMIF Azionisti in proprio: EMG ASI AFS ASI ASI ASI ASI ASI ASI AFS ASI ASI ASI AST ASI ASI ASI ASI ASI |
Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| 407 | |||||
| ਕੇ 3 ਕੇ | |||||
| 93 | |||||
| 447.663 | |||||
| 97 | |||||
| 159.240 | |||||
| 9 | |||||
| 33.447 | |||||
| 19.447 | |||||
| 415.051 | |||||
| 10.090 | |||||
| 25.214 | |||||
| 27.889 | |||||
| 92.206 | |||||
| 11.284 | |||||
| 10-015 | |||||
| 11.510 | |||||
| 14.081 | |||||
| 84.577 | |||||
| 178.401 | |||||
| 1.634 | |||||
| 121.000 | |||||
| 13.398 | |||||
| 299 | |||||
| 500 | |||||
| 589.185 | |||||
| 10.876 | |||||
| 256 | |||||
| 202 | |||||
| 371 | |||||

EMARKET
SDIR
CRIFF
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Oggeno: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| * * D | CS-INVESCO PAN EUROPEAN HIGH | 0 | 226.887 | 226.887 |
| **D | AMUNDI AUSTRIA | 521.663 | 521.663 | |
| **D | ED PORT-BLKKK SRS BLKRK GL ALL |
3.286 102.738 |
286 102.738 3. |
|
| D D |
ട FD-BLKRK VAR I-GL VALUE PORT vi BLKRK GL ALL |
2.669.340 | 2-669.340 | |
| **D | YLD HGH NIK CS GL JP-RE AB FCP cus BK |
163.500 | 163.500 | |
| **D | FD (AUST) LEVEL GL ALL BITKAK |
6.624 | 6.624 | |
| **D | FD MOT EQ INE GT JP-RE BK Cus |
0 | 117.880 | 117.880 |
| **D | PUR RIGH VIETD GL JP-RE BK cus |
0 | 15.080 323.757 |
15.080 323.757 |
| D D |
INV FD-NUV GT CT INF I - DYN DIVIFIED PORT Gr AB FCP NUVEEN |
0 | 382.620 | 382.620 |
| **D | EQUI-DEVELOPPEMENT DURABLE | 0 | 120.000 | 120.000 |
| **D | BANKINTER GESTION DE ACTIVOS. . | C | 5.773.403 | 773.403 5. |
| **D | B V 7 SUNDERMEIJER BEHEER |
0 | . 000 ડ |
2.000 |
| ** D | MIC LIMITED INVESTMENTS, MLC |
0 0 |
S 250.038 161.65 |
250.030 161.655 |
| D D |
MIC LIMITED INVESTMENTS, ALC |
0 | 219.954 | 219.954 |
| **D | MTAA SUPERANNUATION FUND EQUIPSUPER |
0 | 167.766 | 167-766 |
| **D | LGIASUPER | 0 | 372-543 | 543 372. |
| **D | MLC INVESTMENTS, MLC LIMITED | 0 | 215.454 | 215.454 |
| **D | PRIME SUPER | g | 36-116 | 36.116 |
| **D | SPAR NORD BANK | 0 0 |
9 478.000 23.18 ഹ |
9 . 478.000 18 23 - S |
| **D | SUNCORP FUNDS PTY LTD | 0 | 69.626 5 |
369.626 |
| D D |
MANAGEMENT (AUSTRALIA) LTD BOTNAR UBS ASSET FONDATION |
0 | 58.083 P |
Cago Bast |
| **D | AG. { SWITZERLAND) UBS FUND MANAGEMENT |
0 | 279.961 | 279.961 |
| **D | AG FUNDS SUISSE CREDIT |
0 | 77.693 | 77.693 |
| **D | AG FUNDS SUISSE CREDIT |
0 | 99.714 | 99.714 |
| **D | BANK NORGES |
0 | 883.378 T |
1.883.378 |
| **D | GOVERNMENT OF NORWAY | 0 | . 123.756 8 9 1 |
756 .123. 168 |
| **D | CCF EXCHANGE UCITS MANAGEMENT ASSET |
0 | .567.757 T |
567.757 1. |
| **D | EXCHANGE UCITS CCF MANAGEMENT ASSET |
0 0 |
41.715 511.632 ట |
511.632 715 341. |
| **D | AND GENERAL CCF LEGAL |
|||
| **D | INVESTMENT FUND LIMITED COMMON SCHIÜMBERGER |
0 | 882 305 232. 60 - |
232.305 60.082 |
| **D | GIC PRIVATE LIMITED | 659 ୧୦ - |
60.659 | |
| **D | BOTSWANA. OF BANK |
5.823.401 | 5.823.401 | |
| **D | INSURANCE ORGANISATION FOR SOCIAL GENERAL |
0 | 9.780 17 |
179.780 |
| D D |
INVESTMENT ACCOUNT \$TAFF RETIREMENT FOND STAFF BENEFITS RETIRED INTER-AMERICAN DEVELOPMENT BANK FUND MONETARY INTERNATIONAL |
0 | 13.765 | 13.765 |
| **D | INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN | ਰ ਦ ਟ 3. 8 |
83.295 | |
| **D | ENGLAND INVESTMENT FUND FOR PENSIONS OF CHURCH |
0 | 901 541 - |
541 - 901 |
| **D | FUND. INVESTMENT COMMON NHEELS |
0 | 21-539 | 21.539 |
| **D | DETAILHANDEL STICHTING BEDRIJESTAKPENSIOENFOND\$ VOOR DE |
C | 2.899.971 | 2.899.971 |
| **D | DIVERSIFIED FUND GENERAL LEGAL & |
0 | 8.147 | 8.147 |
| **D | EUROPEAN EQUITY INCOME FUND MITON PREMIER |
0 0 |
17.781 3 |
17.781 3.784.452 |
| **D | EUROPEAN INDEX TRUST GENERAL AND LEGAL |
C | .876 .784.452 41 |
. 876 ਧੋ ਹ |
| D D |
FACTORS I EQUITY CLIMATE CHANGE GLOBAL EQUITY INDEX FUND HORLD FUTURE GENERAL GENERAL AND LEGAL |
6 તે ર 187 |
187.969 | |
| **D | INDEX FUND ESG DEVETOPED HORLD FUTURE GENERAL ర్ల રુ LEGAL LEGAL |
6 ਰ ತ 146. |
б 146.58 |
|
| **D | FUND INDEX UK EUROPE EX ESG WORLD FUTURE GENERAL ર્દ LEGAL |
66.210 | 66.210 | |
| Pagina 34 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
୧೭୪

್ತಿಗಳ
J
್ರಿ
(
ﺻﻔﺎﻝ
f
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Uggetto: Veterminazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| Badge | Sociale Ragione |
Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | RESPONSIBLE INCOME FUND JUPITER |
0 | 273.600 | 273.608 |
| ** D | LEGAL & GENERAL MULTI-ASSET TARGET RETURN FUND | 0 | 186.949 | 86.949 L |
| **D | LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 0 | 580.724 | 580.724 |
| **D | PREMIER MITON GLOBAL INFRASTRUCTURE INCOME FUND | G | 425.000 | 425.000 |
| **D | CCF OSMOSIS UCITS |
0 | 34.226 | 34-226 |
| **D | LLC INVESTMENTS FUND PERMANENT |
0 | 311 ପର୍ଯ୍ୟ କରିବା ପାଇଁ ବି ଦିଆଯାଇଥିବା ପ୍ରତିଶତ ପ୍ରତିଶତ ପ୍ରଦାନ ଦେଇଥିବା ପ୍ରଦାନ ଦେଇଥିବା ପାଇଁ ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହେବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହୋଇଥିବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହୋଇଥିବା ବିଧାନ |
06.311 |
| **D | KBI GLOBAL INVESTMENT FUND | 0 | 117.673 | 117.673 |
| **D | BLC MULTI-MANAGÉR FUND BARCLAYS |
0 | 90.097 | 90.097 |
| **D | & GENERAL ICAV. LEGAL |
0 | । ਰੇਡ 264 - |
264-197 |
| **D | STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST STATE |
0 | 595 ed - |
595 64 - |
| **D | ICAV PRESCIENT |
0 | ટે રેતે 97 . |
97-569 |
| **D | PLATFORM ICAV UCITS MONTLAKE |
0 | 187.466 | 187.466 |
| **D | ATLAS GLOBAL INFRASTRUCTURE UCITS ICAV | 23 0 |
30 ୧ 569. |
569.306 23 - |
| **D | ICAV FUNDS KBT |
0 | 21.954.249 | 21.954.249 |
| **D | FGR FUND ucirs TRUST NORTHERN |
I 0 |
જે દર .027. |
1.027.965 |
| ** D | INDEX 1 KLP AKSJEGLOBAL VERDIPAPIRFONDET |
ਟੈ 0 |
ਰੇ ਕੇ ਤੋ .231. |
2.231.943 |
| **D | T INDEKS AKSJEEUROPA КГР VERDIPAPIRFONDET |
0 | 628 508. |
508.628 |
| **D | LEGAL & GENERAL SICAV. | 0 | 92 б 29. |
992 29. |
| **D | OF CHRIST INC. BOARDS-UNITED CHURCH THE PENSION |
0 | 216 3. 3 |
ਟ ਹ ਦ 33 - |
| **D | INDEX (ACWI) EX-US F COUNTRY WORLD ALL COMMON TRUST NORTHERN |
0 | 716 420. |
411.227 420-716 |
| **D | LENDING l FUNNID EAFE INDEX COMMON TRUST NORTHERN |
0 0 |
227 411. |
|
| **D | TRUST. MASTER RETIREMENT COMPANY COCA-COLA THE |
0 | 611 87. |
1.040.823 87 611 |
| **D | STEM. SY EMPLOYEES RETIREMENT PUBLIC PHILADELPHIA OF CITY |
โ | 823 . 040 . |
|
| **D | EMPLOYEES` RETIREMENT ASSOCIATION. FRESNO COUNTY |
0 | 590 611. |
611.590 |
| **D | S TRI-STA EMPLOYER FOOD INDUSTRY PARTICIPATING AND UNION UFCW |
0 | 874 10. |
10.874 |
| **D | EOND PENSION EMPLOYEES CARE HOME 1199 |
0 | 574 ਕੇ - б |
99.574 |
| **D | EMPLOYEES BENSION FUND 1199SEIU HEALTH CARE |
ਟ 0 |
ਰ ਤੇ ਕੇ -779. |
2.779.934 |
| **D | FOND PENSION YORK GREATER NEW SEIU 1199 |
0 | 871 371. |
371.871 |
| **D | GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 0 | 396 82 - |
82.396 |
| **D | БГС. IRELAND ASSURANCE COMPANY NEW |
b 0 |
531 . 164 . |
4-164.531 |
| **D | INTERNATIONAL SHARE FUND WHOLESALE MULTI-MANAGER BT |
C | 73.697 | 73.697 |
| **D | INDEX FUND SHARES INTERNATIONAL BT |
0 | 673.017 | 673-817 |
| **D | WSSP INTERNATIONAL EQUITIES TRUST | 0 | 302.630 | 302.630 |
| **D | SAGITTARIUS PENSIOENFONDS STICHTING |
G | 200.000 | 200.080 |
| **D | HEINEKEN SENSIOENEONDS STICHTING |
0 | 806 90. |
90.906 |
| **D | PME PENSIOENFONDS STICHTING |
T 0 |
.933.813 | 1.933.013 |
| **D | EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO PUBLIC |
0 | 9.328.650 | 9.328.650 |
| **D | F FUTURE BEHALF OF ON GUARDIANS FOR AND OF BOARD FUND FUTURE |
ไ 0 |
б .954.99 |
.954 - 999 T |
| **D | പ്ര FUTURE OF BEHALF ON AND FOR GUARDIANS OF BOARD FUND FOTURE |
0 | б 8 955-68 |
б . 855 . 68 B |
| **D | PIY FED MRFF INVESTMENT COMPANY NO. 2 |
C 0 |
ర్ 524-166 274.77 |
.274.779 524.166 T |
| D D |
THE MEDI. THE MEDI . OF OF BEHALF BEHALF ON ON GUARDIANS FOR AND AND FOR GUARDIANS OF OF BOARD FÜND FUTURE |
T 0 |
89.40 | 89.400 |
| FUND COMMON CONTRACTUAL BOARD FUND FUTURE |
రా | 971.230 | .971.238 ח |
|
| D D |
50 INVESTMENT FUND STATE UCITS TRUST FIRST COLONIAL NORTHERN |
116.131 | 116.131 | |
| **D | SHARE FUND 30 GLOBAL |
0 | 9 185.25 |
185.256 |
| **D | SHARES FUND COMMONWEALTH GLOBAL COMMONWEALTH |
T | 893.510 | .893.510 T |
| **D | STATE WHOLESALE INDEXED GLOBAL SHARE FUND. FIRST COLONIAL |
358.387 | 8.387 રે ર |
|
| **D | FOR PALESTINE REFUGEE RELIEF AND WORKS AGENCY NATIONS UNITIED |
35.39 | 35.398 | |
| **D | 9/13 FAMILY TRUST UAD 03/1 THOMAS L. WALTON |
74.460 | 74.460 | |
| **D | WALTON 2010 TRUST ROBSON 5. |
98.072 | 072 8. ర్ |
|
| Pagina 35 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
દુર દિવસ

ਹਨ
( പ്
9 Azionisti in delega:
Assemblea Ordinaria del 10 maggio 2023
| Uggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| 54 5 16.597 23.379 21-415 146.024 36 646 1.196 10.016 33.136 4-977 159.857 3.325 20.711 47.720 17-702 45.905 67.067 10.589 20.029 5.224 12.074 7.207.046 958.322 77.212 53.499 44.768 1.876 879 ਰੇ 4 8 387.170 71.291 34.966 347.844 12.576 16.365 16.480 507.717 9 875 3.559 33.613 767.054 20.193 1.179.460 1.874 44.560 154 3.184 104.40 79. 1. 1. 6. 6 21.415 79-545 16.597 10.816 23-379 33.136 146.024 36.646 1.196 17.702 ਣ ਉ ਰੇ 4.977 159.857 20.029 3.325 5.224 47.720 12.074 .876 874 879 347.844 44.768 20.711 .875 33.613 ਰੇ ਖੋ 8 387.170 767.054 905 તે રેણે 067 53.499 б 71.291 -207.046 8.322 77-212 2-576 507-717 104-406 44.560 .179.460 u 16.480 1 ਦੇ ਪ 20.193 3.184 3.55 16.36 45. 10. 1. 34 . 7. 9 L T T 9 ਹੈ ਦੇ ไ б 1 T 0 0 0 0 0 0 0 0 0 ්ර 0 0 0 Q 0 0 0 0 0 0 0 0 0 0 0 0 0 O 0 0 0 0 0 0 g Pagina 36 19 DB RESIDUARY TRUST FOR MELANIE B. WERL U/I DATED SEPTEMBER 3. AND RESO TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR GOVERNMENT EXCHANGE EXCHANGE PLAN OF ARLINGTON GUERNSEY ACTING BY AND THROUGH THE POLICY RETIREMENT KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT CHICAGO TRANSIT AUTHORITY RETIREE HEALTHCARE TRUST FUND NON-LENDING ST. JOSEPH HEALTH LONG TERM PORTFOLIO S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST COMMON TRUST FUND. EMPLOYEES. RETIREMENT PLAN OF THE DIOCESE 403 (B) (9) TRUST FOR RICHARD A. BROIDA SCHEME HONG KONG SPECIAL ADMINISTRATIVE REGION UNITED SERVICES AUTOMOBILE A55OCIATION TRUST FOR MARNA J. BROIDA BROIDA GARNELIAN INVESTMENT MANAGEMENT LLC. FUND Teste: OMEGA FFIP LIMITED PARTNERSHIP INDEX FOURTH AVENUE INVESTMENT COMPANY TRUST TRUST G. CHURCH IN AMERICA PROVIDENT MARKETABLE SECURITIES INTERNATIONAL TRUST NATIONAL PHILANTHROPIC TRUST TRUST No. 3 UAD 9/19/02. SENTINEL INTERNATIONAL FUND CARROLL AVENUE PARTNERS LLC JOEL DRUGS FUND ASSOCIATION EAFE 3.439 2 PENSION PLAN PLAN JOSHUA GREEN CORPORATION FOUNDATION. ARTSFARE 2005 TRUST NO. PRO-GEN INVESTMENTS LLC FOR (PASSIVE STEPHEN N POTTER TRUST NORTHERN TRUST COMMON 2010 FAMILY TRUST PARTNERS LLC THE FUNDO DE PENSOES PENSION LLC. . CORPORATION HOSPITAL AUTHORITY DYNASTY INVEST LTD LLC TRUST SIM PORTFOLIO LLC SOLARI-LANE TRUST TRUST. RDM LIQUID LLC IMPACTASSETS INC CYMI EQUITY L.P FJ INVESTMENTS FOUNDATION MAI DEI I'S EQUITY CHAI DE RESIDUARY PRESBYTERIAN RESIDUARY DB RESIDUARY PERSONAL PERSONAL LP PROVIDENCE ACORN 1998 EVA VALLEY STATES OF SENTINEL DELFINCO NORTHERN FIDDLER MOZILLA AVI DILLON Azionisti în proprio: HONG BEAT ZOMA IBN THE JTW I BA ALW DB |
MATT J. WOLLMAN REV TRUST. Ragione Sociale |
0 0 Propri |
Delega 018 |
818 Totale |
|---|---|---|---|---|
| 556 4 ਤੋਂ . |
556 3. ರ್ ರ |
|||
| 3.430 Azionisti in delega: б |
660

NO
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| 8.670 32.975 2.391.024 812.965 .781 169.347 6.476 560.605 209.100 202.217 43.973 11.059 94.510 991.573 5.300 102.020 383.087 621.785 721.952 237.513 5.650.000 52.148 12.596 92.430 30.577 5.510 2.045 11.626 3.365 168.321 217.369 1.786 33.526 25.102 6.784 5.303 1.321 62.358 928 - 576 181.750 6.106 189.920 103.798 2.670 556.020 74.320 237.331 Totale 10.687 131.749 26.693 511 T b |
( |
|---|---|
| .059 781 6.476 991.573 .391.024 ਕੇ ਵ ਦ . 100 8 494.510 560.605 32.975 .217 383.087 237.513 43.973 .650.000 828 621.785 169-347 6.784 12.596 8.670 11.626 92.430 721.952 1.786 5.303 2.045 106 30.577 168.321 217.369 33.526 5.510 25.102 Delega 10.687 670 556.020 320 750 300 3.365 321 358 237.331 189.920 26.693 103-798 928.576 131-749 52.14 812. 102. 1. 74 . 15. 62 - 209 181. ב ד ד 202 11 9 ਟ ഹ ਟ |
|
| 0 0 0 0 D g 0 Q 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 Proprio 0 0 0 0 0 0 0 0 0 0 |
|
| TOMENTEN INTERNATIONAL ANDRE COLLECTIVE FOND TOMENTER INTERNATIONAL VALUE BOULLY COLLECTIVE EURO WEALTH MANAGEMENT SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND EIDELITY INVESTMENT TRUST: EIDELITY INTERNATIONAL VALUE FUND MACKENZIE GLOBAL ENVIRONMENTAL EQUITY MASTER FUND (CAYMAN) L JR. TRUSTS MASTER INVESTMENT PARTNERSHI BERNSTEIN & CO DBT INTERNATIONAL VALUE SERIES INVESTMENT PARTNERSHIP ITF C/O JACOBUS TRUST DATED AUGUST 6 1991 RETIREMENT PLAN STAFF RETIREMENT PLAN ROTHKO ALL COUNTRIES WORLD EX-US EQUITY FUND L.P. BERNSTEIN TAX-MANAGED GLOBAL STYLE BLEND SERIES PRC PRC PRC PRC EXPATRIATE BENEFIT MASTER TRUST FUND FUND FUND FUND LONG/SHORT FUNDLE FUND. FUND LLC SECURITY SECURITY GLOBAL STYLE BLEND SERIES. SECURITY SECURITY UNITED NATIONS JOINT STAFF PENSION INVESTMENT PARTNERSHI OF GUAM RETIREMENT FUND FUND I.P STAFF EAFE FUND LLC TRUSTS PARTNERSHIP GLOBAL INVESTMENTS CORP. LEHMAN-STAMM FAMILY PARTNERS LLC STRATEGIC GLOBAL BALANCED TRUST si INTERNATIONAL EQUITY FUND LLC FUND FUND SOCIAL SOCIAL PENSION SCHEME SOCIAL SOCIAL LAKE AVENUE INVESTMENTS LLC ATIVO INTERNATIONAL EQUITY BAE SYSTEMS PENSION SCHEME REVOCABLE MFC INTERNATIONAL FUND LLC ZOMA CAPITAL PORTFOLIO LLC LEGAL & GENERAL MSCI EAFE K INVESTMENTS SH LIMITED. NE INTERNATIONAL FUND LIC ASCENSION ALPHA FUND LIC. PLAN ASSET AVALON PORTFOLIO II LLC INTERNATIONAL MONETARY MONETARY LLC SILVER GROWTH FUND LP FOR FOR FOR FOR POLYTECHNIC MSCI THE HARRY L. BRADLEY 001 INVESTMENTS LIC WAM INVESTMENTS LLC CHEVRON UK PENSION LTM INVESTMENTS LLC EQUITY TRUST. LLC . INTERNATIONAL CBRE CLARION REAL COUNCIL COUNCIL MARS COUNCIL COUNCIL FUND MASTER & GENERAL Ragione Sociale INTERNATIONAL INTERNATIONAL THE GRAUSTEIN HASLAM FAMILY MINEWORKERS. SPRINGS GLOBAL BOND VIRGINIA C. ். GOVERNMENT BERNSTEIN FIDELITY NATIONAL NATIONAL NGEE ANN NATIONAL NATIONAL JEUT LLC SANFORD THYSSEN METIS LEGAL CINDY LUNA FCM THE |
Pagina 37 3.430 19 Azionisti in delega: Teste: 3.439 6 Azionisti in proprio: |
| 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: **D |
664

20
lici all
പ്ര ലു
ನಿಯ
Azionisti in delega: న్న లేదా
శిశు సంరక్షణ లేని
శ్రీ
10 maggio 2023 16.27.23
FAVOREVOLI
| Badge | FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND Ragione Sociale |
0 Proprio |
Delega 11.759.503 |
Totale 11.759.503 |
|---|---|---|---|---|
| D D |
SUSTAINABILITY IND EX FUND INTERNATIONAL FIDELITY SALEM STREET TRUST: FIDELITY |
0 | 247.124 | 247.124 |
| **D | WITTINGTON ASSET MANAGEMENT LIMITED | 0 | 5.403 S |
55.403 |
| **D | SUPERANNUATION FUND. NEW ZEALAND |
0 | 220.964 | 220.964 |
| **D | STATE UNIVERSITIES RETIREMENT SYSTEM OF ILLINOIS | 0 | 3.217.146 | 3.217-146 |
| D D |
COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA INTERNATIONAL SHARES FUND PASSIVE MERCER |
0 0 |
ਦ 1 401.145 232.5 |
232.551 401.145 |
| **D | SHARES FUND SUSTAINABLE INTERNATIONAL PASSIVE MERCER |
0 | 55.016 | 55.016 |
| **D | OIC LISTED EQUITIES FUND | 0 | 081.848 1. |
B 081.84 1. |
| **D | BOND INDEX NT WORLD GREEN TRANSITION |
0 | 8.518 | 8.510 |
| **D | 1. COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES FUND |
0 | 2.376.916 | .376.916 2 |
| **D | FUND. EQUITIES INTERNATIONAL OIC |
0 | ਤੇ ਕੇ ਤੋ 249. |
249.393 |
| **D | FUND . EQUITIES OIC INTERNATIONAL |
0 | 66-644 | 66.644 |
| **D | CORPORATION OF SOUTH AUSTRAL SUPERANNUATION FUNDS MANAGEMENT |
0 | 52.544 | 52.544 |
| **D | ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND | 0 | 1.627.257 | .627.257 T |
| D |
FUND HIGH CONVICTION INFRASTRUCTURE MORRISON & CO |
0 | 6.162 | 6.162 |
| **D | FUND LISTED INFRASTRUCTURE MERCER GLOBAL |
0 0 |
206.867 30.537 ర్ |
206.867 330.537 |
| **D | BOARD. SUPERANNUATION COVERNMENT ENDLOYEES |
0 | 10.029 | 10.029 |
| D D |
PORT EQUITY 6 NO. LAZARD/WILMINGTON INTL TESTAMENTARY TRUST HRW |
0 | 748.682 | 748.682 |
| **D | No. 3 UAD 01/17/03 TRUST HRW |
0 | 39.490 | 39.490 |
| **D | NO. 12. TRUST TESTAMENTARY HRH |
0 | 57-343 | 57.343 |
| **D | ട് NO. TESTAMENTARY TRUST ਮਾਜਲ |
0 | 32.649 | 32.649 |
| **D | UAD 01/17/03 NO. 4 TRUST HRW |
0 | 33.778 | 33-778 |
| * D | 7 . NO. TRUST TESTAMENTARY HRW |
0 | 593 54 . |
54.593 |
| **D | ਟ no. TRUST TESTAMENTARY HRW |
0 | ਹ ਤੇ ਕੇ 32. |
32.139 |
| D |
8 NO. TRUST TESTAMENTARY HRW |
0 | 26.066 | 26.066 |
| **D | 9. TRUST NO. TESTAMENTARY HRW |
46-017 | 46.017 | |
| **D | STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 0 | 233 56.987 79. |
79.233 56.987 |
| **D | LOGISTICS REPARENESS MASTER TRUSA ХРО |
102.399 | 102.399 | |
| D D |
CATHOLIC CONFERENCE MASTER PENSION TRUST MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND MICHIGAN THE |
165 32. |
32.165 | |
| **D | FUND INVESTMENT BOARD. ENDOWMENT IDAHO STATE OF |
0 | 126.611 | 126-611 |
| **D | 9/19/02. UAD য NO . TRUST Jung |
43.665 | 43.665 | |
| **D | 9/19/02 UAD L NO. TRUST Jin W |
25.713 | 25.713 | |
| **D | 9/19/02. UAD ហ N אַט. TRUST Julia |
20-482 | 20.482 | |
| **D | 9/19/02 UAD NO. TRUST JTH |
37.736 | 37.736 | |
| **D | ARVEST FOUNDATION | 5.769 | 5-769 | |
| **D | ALUMBRA INNOVATIONS FOUNDATION | 547 9. P |
9.547 P |
|
| **D | TRUST DEFINED BENEFIT MASTER MOTOR COMPANY FORD |
33.420 | 33.420 | |
| **D | DEFINED BENEFIT MASTER TRUST MOTOR COMPANY FORD |
47.736 | 47.736 | |
| **D | HEALTH ESSENTIA |
24-229 | 24.229 | |
| **D | TRUST UNDER EXECUTIVE BENEFIT PLAN (S) FOR CERTAIN BELLSOUTH. | 0 0 |
13.011 52.239 |
52.239 13.011 |
| **D | PLAN (S) BELTSOULH CORPORATE TRUST UNDER EXECULTIVE BENELL |
|||
| D D |
NORTHERN FUNDS INTERNATIONAL GROWTH EQUITY FUND EUND QUALIFIED NUCLEAR POWER PLANT CLINTON |
0 0 |
16.691 76.067 |
76.067 16.691 |
| 0 | 159.687 | 159.687 | ||
| **D 4 |
COMBUSTION ENGINEERING 524 (G) ASBESTOS PI TRUST CYSTIC FIBROSIS FOUNDATION. |
13.108 | 00 13.10 |
|
| **D | BENE. BELLSQUIH TELECOMMUNICATIONS INC. TRUST UNDER EXECUTIVE |
219.004 | 219.004 | |
| **D | ELECTRIC CO RETIREMENT MASTER TRUST EMERSON |
50.734 | 58.734 | |
| Pagina 38 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: б |
|||
662

100%
3 7
Assemblea Ordinaria del 10 maggio 2023
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | ||
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE | ||
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 0 | 690 | ୧୨୦ |
| **D | MICHIGAN CATHOLIC CONFERENCE | 0 | ח 7 9 18. |
18.795 |
| D D |
FUND LISTED INFRASTRUCTURE GLOBAL MULTI MANAGER NORTHERN |
0 | 150.971 ১ |
150.971 ਟ |
| **D | MALION 1999 CHILDRENS TRUST INTERNATIONAL EQUITY FUND ROBSON ACTIVE M s. |
0 | б 37.96 |
37.969 |
| **D | INDEX FUND EQUITY - INTERNATIONAL FUNDS NORTHERN |
0 0 |
9 00.471 306.76 5 ਟ |
306.766 00.471 S N |
| **D | PLAN NEMOURS FOUNDATION PENSION THE |
0 | 20.861 | 20.061 |
| **D | NEMOURS FOUNDATION | 0 | 9.861 | . 851 த |
| **D | SUSTAINABILITY INDEX FUND GLOBAL NORTHERN |
0 | 9 31 64 . ব |
316 64 . P |
| D D |
0 SERVICES LIMITED AS TRUSTEE AND DEPOSITARY NATWEST TRUSTEE |
0 | 40.020 | 40.020 |
| **D | THE PENSION PROTECTION FUND RENAISSANCE PRESBYTERIAN CHURCH OF THE BOARD |
0 | .685.091 T |
L 60 "SBS - |
| **D | TR. RETIREMENT PLAN CASH BALANCE (USA) FOUNDATION SERVICES ર PROVIDENCE HEALTH |
0 | ಗ್ರಾ 238.64 |
5 238.64 |
| **D | TRUST RETIREMENT INVESTMENT NATIONAL RAILROAD |
0 0 |
9 . 61 ರ |
4.615 |
| **D | TRUSTS BENEFIT EMPLOYEE FUNDS FOR NTCC COLLECTIVE |
E 77 132 |
132.773 | |
| **D | MAS SERVICES AND SWEDISH HEALTH SERVICES PROVIDENCE HEALTH & |
0 0 |
U 7.922 549.11 1 |
S 7-922 549.11 T |
| **D | FUNDS TRUST GLOBAL INVESTMENTS COLLECTIVE NORTHERN TRUST |
387-978 7 - T |
387.978 7. ไ |
|
| **D | THE HENRY SMITH CHARITY TRUSTEES OF rifle |
0 0 | S ਦੇ ਕੋ 163 . |
u 63 - 5 d 1 |
| **D | 1 NO. TRUST TESTAMENTARY HRW |
0 | б .76 70 |
0.769 1 |
| **D | ਤੇ NO. TRUST TESTAMENTARY HRW |
0 | 19.837 | 19.837 |
| **D | PENSION SCHEME UK SERVICES ZÜRICH FINANCIAL |
0 | 886.912 | 886.912 |
| **D | 01/17/03 UAD 2 TRUST NO. HIRW |
0 | - 675 ਦ ਰੋ |
69.675 |
| **D | 01/17/03 UAD ਸ NO. TRUST HRW |
0 | .701 71 |
71.701 |
| D D |
10. NO. THUST TESTAMENTARY ਮੁਤਿਆ |
0 | 24.736 | 24 736 |
| **D | HRW TESTAMENTARY TRUST NO. 11. | 0 | 40.943 | 40.943 |
| **D | TRUST FOUNDATION KELLOGG K. ે જ |
0 | .570 78 |
570 78. |
| **D | HRW TESTAMENTARY TRUST NO. 4 SHELBY |
0 | 32.492 | 32.492 |
| **D | COUNTY OPES TRUST | 0 | 29.006 | 29-006 |
| **D | SUNDS FUNDS TRUST SCHOOL AND INSTITUTIONAL TRUST FIRE PENSION FUND AND OF UTAH OHIO POLICE STATE |
0 | 561.819 Z |
561.819 ਟ |
| **D | TENNESSEE RETIREMENT SYSTEM SHELBY COUNTY |
0 0 |
61.643 S 134 |
61.643 |
| **D | POMER EMPLOYEES' RETIREMENT PLAN AND WATER |
0 | 248 . 8 ਰੇ 527. |
134.895 527.248 |
| **D | ALFRED I. DUPONT CHARITABLE TRUST | 0 | 0 150.45 |
150.458 |
| **D | CORPORATION MASTER RETIREMENT TRUST ENERGY DUKE |
0 | 117.661 | 117.661 |
| **D | EXCHANGE INSURANCE CSAA |
0 | 5.852 P |
45.852 |
| **D | RETIREMENT FUND OF THE CITY OF DALLAS EMPLOYEES |
0 | 37.871 | 37 871 |
| **D | CHICAGO EMPLOYEES ANNUITY AND BENEFIT FUND OF MUNICIPAL |
0 | . 026 12 |
12.026 |
| **D | SUPERANNUATION SCHEME STAFF COAL BRITISH |
0 | 279.912 | 279.912 |
| D D |
FUND RETIREMENT EMPLOYEES . ILLINOIS MUNICIPAL CITY LOS ANGELES |
0 | 9.609 18 |
189.609 |
| **D | ANGELES FIRE AND POLICE PENSION PLAN RETIREMENT SYSTEM IOS CITY OF |
0 0 |
2.453.053 | 453.053 679.691 ਟ |
| **D | OF TEXAS. FOUNDATION BAPTIST |
0 | 101.446 679.691 |
101.446 |
| **D | SECURITY AUTHORITY SOCIAL AND PENSION GENERAL |
0 | S . 90. 182 |
5 182-90 |
| **D | SECURITY AUTHORITY SOCIAL AND PENSION GENERAL |
0 | 183.538 | 8 183.53 |
| **D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0 | 080-480 | 0 80.40 E |
| **D | FOR EMPLOYEE BENEFIT PLANS, GROUP TRUST SPARTAN |
0 | 73 449.8 ം |
449.873 6. |
| **D | GAK STICHTING INSTITUUT |
0 | 247 ರ C |
.247 24 |
| **D | MYOMING RELIBEMENT SYSTEM | 0 | C 8 - 8 9 V |
82 46.8 |
| **D | GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 0 | б B . 1 N |
б 21.18 |
| **D | PLANS MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT |
0 | 6 9 -3 25 |
25.369 |
| Pagina 39 | ||||
| Azionisti: | 0 ໄ lieste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: б time |
663
EMARKET
SDIR
CRIFFED
ﮧ ﮐﮯ
Q
I 0 maggio 2023 16.27.23
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| GLOBAL LARGE CAP MARKET NEU C/O AQR CAPITAL MANAGEMENT LLC Pagina 40 PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY PREMIA EQUITIES C/O NUMERIC INVESTORS LLC WIEG DE ACS UMBRELLA BEROEPSVERVOER OVER BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND LIMITED 19 SCHOOMAAK EN GL, . KONINGIN WILHEIMINA FONDS VOOR DE NEDERLANDSE KANK - MAN SOLUTIONS ITD FUND KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP SICAV-LUMYNA-MW TOPS UCITS (WALES PP) ASSET POOLING STICHTING BEDRIJFSTAKPENSIOENFONDS ZORGVERZEKERAARS. CORPORATION. COMPANY OF CANADA LIMITED PENSION TRUST FUND L.P. POOL AUTHORISED CONTRACTUAL SCHEME SCHEME PLC LONDON LGPS CIV AUTHORISED CONTRACTUAL SCHEME. PENSIOENFONDS OPENBARE BIBLIOTHEKEN BEDRIJFSTAKPENSIOENFONDS VOOR HET BEDRIJFSTAKPENSIOENFONDS VOOR HET LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME. JO HAMBRO CAPITAL MANAGEMENT UMBRELLA FUND CONTRACTUAL I SYSTEM OF OHIO AUTHORISED CONTRACTUAL SCHEME TFOLIO H PENSION PLAN 2100 LP II FONDO DE PENSIO PUBLIC SECTOR PENSION INVESTMENT BOARD. VALUE INVESTMENT MANAGEMENT LIMITATA LIMITATA FONDO DE AHORRO DE PANAMA ALPHA (US) FUND Teste: - GLOBAL TRACKER CASUALTY INSURANCE COMPANY POINT72 LONDON INVESTMENTS LTD. POR PRO GENERAL INDEMNITY COMPANY RESPONSABILITA AUTHORISED RESPONSABILITA STATE RETIREMENT SYSTEMS CLEARWATER INTERNATIONAL FUND NUMERIC ALTERNATIVE RISK LF WALES PENSION PARTNERSHIP PENSIOENFONDS PGB TRUST PENSION FUND F.I. UCITS KAPITALFORENINGEN INVESTIN SEG 3.439 MAN NUMERIC INTERNATIONAL TEACHERS RETIREMENT NEUTRAL EQUITY MERSEYSIDE PENSION FUND l MEDIOLANUM EUROPA R.V. INDUSTRY RETIREMENT AB LUMYNA-MARSHALL WACE MEDIOLANUM PENSIONES CAYMAN SPC OF TALLAHASSEE AMF TJANSTEPENSION POOL SPHINX PARTNERS LP MARKET FJARDE AP-FONDEN. COLUMBIA GLOBAL TREDJE AP-FONDEN Ragione Sociale INC. WEST YORKSHIRE A SOCIETA A THE LE ACCESS ACCESS - FOREST SOCIETA ROSEDENE LLC FIDEICONISO CM GRAT LLC AUSTRALIAN ELO MUTUAL EQUITY FORD MOTOR IMPACT ACS 30:70 STICHTING STICHTING STICHTING MAP BLACKROCK STICHTING STICHTING UNIVEST. BRITISH LF STATE СРРІВ UTAH USAA USAA G.S. T.S. CITY THE MAN CMA INA AQR |
Totale Delega Proprio |
962.642 962.642 |
37.414 37.414 |
ur 54.94 54.945 000 |
15.213 215-210 215.210 15.213 0 |
0 632.79 0 632-79 0 |
ರಿ 451.15 4 - 4.451.158 0 |
486.190 0 486.19 0 |
1-071.573 .071.573 L 0 |
.601 ୧ I б 9 I โ 661.60 6. L 0 |
ರಿ 196.87 196.878 0 |
11.305 ਟ un 211.30 0 |
103.594 103.594 0 |
190.436 ব 4.190.436 0 |
32.963 32.963 0 |
.347.209 E 3.347-209 0 |
306.180 க் 80 โ 9.306. 0 |
551.830 3. 8 551.83 m 0 |
2.048.731 2.048.731 0 |
.150 144 50 144.1 0 |
916.169 916.169 0 |
1.750.000 51.325 9 1.750.000 51.32 0 0 |
230.126 230.126 0 |
1.212.273 .212.273 T 0 |
309.230 1. 309.230 ไ 0 |
.170.515 T .170-515 L 0 |
29.475 9.475 ਟ 0 |
112.190 90 112.1 0 |
б 66.83 2 б ದ 0 266 - 0 |
254.325 2 2.254.325 0 |
220.217 42.090 220.217 42.090 00 |
B 233.33 1. 1.233.338 0 |
61.279 ഗു 561.279 G |
180.227 E 180.227 3. 0 |
0 83.05 € గా 0 05 383. 3 - 0 |
1.662.076 1.662.076 O |
2.560 2.560 0 |
3.191 174.707 174.707 3.191 0 G |
381.825 0 |
81.825 62.900 3 1 762.900 0 |
743.609 743.609 0 |
340.400 340.400 0 |
90.000 90.000 0 |
19-360 19.360 0 |
б 5.39 5.399 |
17.506 17.506 |
S 3.85 S 3.85 |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 3.430 Azionisti in delega: 6 Azionisti in proprio. |
664
EMARKET
SDIR
GRTIFFE
್ತಿ
大
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | |
|---|---|
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| FAVOREVOLI |
|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | ABBASI FAMILY TRUST - 2000 | 0 | 11.387 | 11.387 | |
| **D | CHRISTENSEN-PIERRET COMMUNITY PROPERTY TRUST UAD 05/10/19 C | DIANE CHRISTENSEN TTEE | 0 0 |
600 125.012 1. |
1.600 |
| *D * D |
D DUFFIELD TRUST UAD 09/12/96 CHERYL D DUFFIELD THE CHERYL SPRING 625 |
TTEE | 0 | ਦੇ 6 4 ా |
125.012 3.564 |
| **D | DUNCAN MACNAUGHTON REVOCABLE LIVING TRUST UND 08/10/84 DUNCAN MACNAUGHTON THE | 0 | 13-322 | 13.322 | |
| **D | PER LUNDAHL FAMILY FUND APS C/O GRANT THORTON FRANCIS |
0 | 12-803 | . 803 12 |
|
| **D | NEF TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL | 0 | . 053 17 |
17.053 | |
| **D | DAWN L ARNALL TRUST UAD 07/15/08 UAD 07/15/08 DAWN LYNN ARNALL TTEE 11444 | 0 | 20.526 | 20.526 | |
| **D | MANAGEMENT P. BYRNE INVESTMENT ARTHUR |
TRUST UAD 08/11/00 ARTHUR P. BYRNE TTEE | 3.360 | 3.360 | |
| **D | THE OWEN | FAMILY INVESTMENT TRUSTURD 11/16/17 PLEDGED COLLATERAL ACCOUNT FBO FIRST REPUBLIC BANK | .579 క్ |
579 3. |
|
| **D | LLC MUGUET VENTURES |
3.804 | 3-804 | ||
| **D | PARTNERS LLC . BEL45 CAPITAL |
19.301 | 19.301 | ||
| **D | AMERICAN ENDOWMENT FOUNDATION | રેસ્વ 9 |
ટ દિવે 6. |
||
| **D | 2019 NON-GST DESCENDANTS. TH INT. L URD 06/06/19 TORI W SAMIELS & THEODORE R SAMILLS TTERS | 2.469 | 2-469 | ||
| **D | INVESTMENTS LLC FAMILY RED |
10.529 | 10.529 | ||
| **D | TRUST UAD 09/22/00 JAMES B PICK TTEE PICK REVOCABLE JAMES B |
.917 1 |
1.917 | ||
| **D | JHE CITY OF NEW YORK THE UNION THEOLOGICAL SEMINARY IN |
1.126 | 1.126 | ||
| * * D | JAY THE FBQ FOUNDATION ENDOWMENT AMERICAN |
FAM FOUNDATION OF CO INTL. & ROSE PHILIPS |
987 ਟ |
2.987 | |
| **D | AND JAY FBO FOUNDATION ENDOWMENT AMERICAN |
ROSE PHILLIPS FAM FOUNDATION OF CA INTL . | . 128 T |
1.128 | |
| **D | TRUST 1882 INVESTMENTS LLC C/O ST LOUIS |
2.792 | 2.792 | ||
| **D | FAMILY TRUST UAD 06/11/00 ROBERT LOVELLACE LOVELACE MINANA THE |
& ALICIA MINANA TTEES | 1.951 | 1 951 | |
| **D | LAURA G GREBENE TR UAD 08/24/12 ALAN ALAN K & |
GREBENE TTEES IRA GREBENE & LAU |
2.327 | 327 2. |
|
| **D | FAMILY TRUST UAD 08/31/15 V F ORTHWEIN 2015 SAO |
TTEES ORTHWEIN 5 JR & N & A ORTHWEI |
5.823 | 5.823 | |
| **D | 02/11/93 A B MAR TR UAD ORTHWEIN AUGUST STEPHEN |
P B ORTHWEIN TTEES દ ORTHWEIN F & V ORTHWEIN JR |
4 - 794 | 4.794 | |
| **D | 13 LLC INVESTMENTS FAMILY RED |
14.623 | 14.623 | ||
| **D | LIC 12 INVESTMENTS FAMILY RED |
5.192 | 5.192 | ||
| **D | 53 LLC INVESTMENTS FAMILY GOLD |
4-558 | 4.558 | ||
| **D | 52 LLC INVESTMENTS FAMILY GOLD |
3.453 | 3.453 | ||
| **D | (C) 51 ITC INVESTMENTS FAMILY GOLD |
ે રે 8 |
896 | ||
| **D | (A) 51 LLC INVESTMENTS FAMILY GOLD |
1.899 | 899 | ||
| **D | (B) 51 INVESTMENTS LLC FAMILY GOLD |
2.086 | 2.086 | ||
| **D | FUND DOUGLAS GOLDMAN ও LISA |
.828 P |
.828 ব |
||
| * * D | EDN GOLDMAN & MARCIA JOHN |
7.024 | 7.024 | ||
| **D | ENVIRONMENTAL FOUNDATION GOLDMAN |
3.267 | 3.267 | ||
| **D | 07/03/96 THEODORE R SAMUELS FAMILY TRUST UAD LORI TED AND |
SAMUELS & LORI W SAMUELS TTEES | .079 | 3.079 | |
| **D | FAMILY TRUST UAD 08/20/98 A PARACHINI |
PARACHINI & V PARACHINI TTEES NUSE | 3.964 | 3.964 | |
| **D | 08/23/77 GORDON CRAWFORD CRAWFORD TRUST UAD DONA GORDON AND |
ਰੇ & DONA CRAWFORD TTEES AMD 01/11/1 |
. 509 S |
5.509 | |
| **D | WALLACE LIVING SCOTT C |
TRUST UAD 04/26/95 SCOTT WALLACE TTEE AND 12/05/00 | .467 8 |
. 467 8 |
|
| **D | A R 07/01/81 & LARY MULLER TRUST UAD ANTHONY |
11/24/15 TTEES AMD & L L MULLER MÜLLER |
.787 ਟ |
2.787 | |
| **D | MARK DALZELL REV. LIVING TRUST UAD 06/16/95 MARK H DALZELL | TTEE | 4.541 | 4.541 | |
| D D |
MCF PARTNERSHIP L.P. | 2.821 . 949 క |
- 949 2.821 చ |
||
| **D | 01/22/15 TOM ROBINSON WELLMAN ROBINSON REVOCABLE TRUST UAD WEATHERSFIELD LLLF |
& JOAN E WELLMAN TTEES | 2.378 | 2-378 | |
| **D | GRAT UAD 04/30/12 2012 NONEXEMPT I ድ |
LOVELACE TTEES ALICIA MINANA & ROBERT |
0 | . 992 | 1.992 |
| **D | NONEXEMPT GRAT REMAINDER TR 2012 I L |
UAD 04/30/12 ROBERT LOVETACE & ALICIA MINANA TTEES | 888.1 | 1.988 | |
| **D | MUDDY PANS LP | 6.201 | 6.201 | ||
| **D | INVESTMENT COMPANY LP COX |
6.143 | 6.143 | ||
| **D | DIMARCO / HARLEEN 1990 REV TRUST UAD 09/20/90 S G DIMARCO & | B HARLEEN TTEES AMD 06/01/12 J |
7.326 | 7.326 | |
| **D | ANN C BARTRAM REVOCABLE TRUST UAD 01/06/10 ANN C BARTRAM TTEE. | 4.690 | 4.690 | ||
| **D | BARNUM REVOCABLE TR UAD 05/13/94 WILLIAM M BARNUM & DONNALI | BARNUM TTEES ( BNY MELLON NA AS SECURED PARTY SA P |
2.842 | 2-842 | |
| Pagina 41 | |||||
| Azionisti: | Teste: 3.439 |
19 | |||
| Azionisti in proprio: | Azionisti in delega: 6 |
3.430 | |||
66 S
EMARKET
SDIR
GRTIFFED
C
10 maggio 2023 16.27.23
| 0 G 0 0 0 0 0 0 0 0 0 0 0 0 0 0 Proprio 0 0 0 0 0 0 0 0 0 C 0 0 0 O 9 ROSLYN GOLDSTINE LIV TR UAD 03/05/91 A GOLDSTINE TTEES AMD 12/10/04 NON-US EQUITY Pagina 42 MUZZY FAMILY TRUST UAD 01/10/89 P MUZZY ET AL TTEES AMD 02/11/10 MZ PARTNERS EQUITY INDEX TRUST. 19 ITS CAP LOW CAR II - DUEE & PHELPS GLOBAL LISTED INFRASTRUCTUR OPPORTUNIT CONVERTIBLE FUND STANLEY GLOBAL SE FRASTRU OPPORTU CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO BANK OF JAPAN LTD. AS TRUSTEE OF GREEN TEC BALANCED LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED FUND DIVERSIEIER EQUITIES EUROPE PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES GLOBAL LISTED IN ENERGY TRANSITION (CAYMAN) LIMITED ACTING SOLELY IN SUN LIFE AM GLOBAL DYNAMIC INTERNATIONAL VALUE INTERNATIONAL LARGE COMPANY INDEX HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL l l SOLUTION SOLUTION PMC FUTURE WORLD MULTI ASSET FUND OVERLAY (6558) HORIZONS MULTIACTIVOS GLOBAL PRUDENTE FUND 2 GLOBAL MEDIOLANUM MORGAN EUND HIGH DIVIDEND INTERNATIONAL SHARE FUND PORTFOLIO PORTFOLIO FUNDS - CHALLENGE PROVIDENT - MACQUARIE MACQUARIE ND MEDIOLANUM INV - AKTIEN EUROPA (EUR) INDEX l Teste: POOL STICHTING MN SERVICES AANDELENFO PORTFOLIO OF DFA FUNDS SCHWAB INTERNATIONAL INDEX FUND SPECIALIST FUND 52 ITA-LA NORLD ESG SCREENED FUND GLOBAL SHARE FUND FND BALANCED 3-ALPHA EUROPE GLOBAL GLOBAL GLOBAL । SUS MITI AS 3.439 II SUN LIFE ASSET MANAGEMENT । l LIFE ASSURANCE PLC l SOLUTIONS SOLUTIONS SICAV BRANDS BRANDS BRANDS l MN SERVICES r l - LIFE ASSURANCE VARIOPARTNER SICAV - GLOBAL SICAV SICAV SICAV SICAV FUND SERVICES SCHWAB FUNDAMENTAL CUSTODY B.V. STANDARD TRUST A-ILGLOEQG A-ILGLOEQN FUND I SCHUNC BEST A-ILEZEQG A-ILEZEQN BEST BEST Ragione Sociale CMLA MFAK83 ALLIAN2 INTL A-ILDSCG FUND FUND LTD FONDS INVEST VONTOBEL FUND INVEST INVEST INVEST UNIVERSE THE CMLA INDEXED COMMONWEALTH GBPO - OCF - ILA-A-ILSDMH RAFIME ITALY STOCK |
Totale 7.621 483.249 5.981 63.034 Delega 483.249 5.981 7.621 63.834 |
618.959 99.661 99.661 618.95 |
628.826 86.799 2 86.799 628.826 2. |
84.935 S 584.935 |
703.141 54.567 567 703.141 54. |
11.952 11-952 |
107.827 107.827 |
9.037 .037 ਰੇ |
683.556 .033.639 C 683.556 .033.639 2 |
829 376. 376.829 |
97-000 000 ਕੇ 1 - |
9.406 ਟ 29.406 |
ટા દ 5.771 ਰੇ ਦੇ . ర్ S .516 5.771 595 6 |
277.871 277.871 |
ਹੈ ਰੋਚੇ 6 5 59-099 |
000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 । ਪੈ 148.000 |
1.320 158.054 1.320 158.054 |
466.108 466.108 |
-430.077 627.569 V L 1.627.569 4-430.077 |
77.787 77.787 |
9 B g 131 131.686 |
103.347 19.500.254 103.347 19.500.254 |
43-850 50 43 - 8 |
63.992 ਟ 63.99 |
.759.983 ไ 83 759.9 1. |
0 290-34 T 0 1.290.34 |
40.605 947.495 947.495 40.605 |
57.736 57.736 |
186.127 186.127 |
23.319 23.319 |
14.238 14.238 |
. 563 .181.626 125. ਟ E 583 .181.626 . 125. 2 ಗಾ |
907.517 907.517 |
960 .157. 2 .157.960 ਟ |
951 47. ਰੇ 2 I 47 . |
.754 ਰੋਣ 0 754 92 . P |
92 3.160.5 3.160.592 |
|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
666
l este:
Azionisti in delega:
1
Azionisti
10 maggio 2023 16.27.23
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | PMC MULTI ASSET FUND OVERLAY | 00 | 246.562 2 |
.246.562 2 |
|
| **D | IGAS SHE FUT MRLD ESG DEV IDX (6734) | 898 ರಿ |
898 9 - |
||
| **D | LESCO INDEX EQUITY TSGN {5270 LGIN PMC CSUF (36670) 1 ASSUR ( PENS MGNT) LTD ്ര L AND |
88.114 ਟ |
0.114 8 2 |
||
| **D | FUNDAMENTAL GLOBAL EQUITY LOW CARBON TRANSITION INDEX FUND3495 RAFI । MGNT ) LID ASSUR ( PENS G AND L |
56.040 S |
040 6. S S |
||
| **D | 01 INDEX FUND 34 EQUITY ISITION MOBILD DEVELOBED CLIMATE THAN PMC FTSE ਜ NGNT) LID G ASSUR (PENS L AND |
311 299. |
299.311 | ||
| **D | LIMITEDONS MANAGEMENT) LIMITED PENSIONS MANAGEMENT) ( AND GENERAL ASSURANCE LEGAL |
425.880 1 |
.425.000 1 |
||
| **D | TBACO EX UNHG (3387) SOLACT ESG TSGX |
49.164 | 164 ਕ ਰੇ |
||
| **D | INV FUND (1649) DIR SHF CLIENT LGAS |
0 87.00 C |
787.000 | ||
| **D | (5270 PMC CSUF (36670) TESCO INDEX EQUITY TSGN ESC ED(1848 IGIN EURO EX UK SHE LGAS |
D | 271 62. |
271 62. |
|
| **D | EUROP FE) AS TRUSTEE FOR ASI (STANDARD LI UK LIMITED CITIBANK |
92.622 0 2 |
.092.622 C |
||
| **D | FE) INTER (STANDARD LI FOR ASI CITIBANK UK LIMITED AS TRUSTEE |
124.497 | 124.497 | ||
| **D | CFSIL RE CNEALTH GS FD 16 | 0 | ୧୧୫ 63. ไ |
63-668 L |
|
| **D | OF DFA INVESTMENT DIMENSIONS GROUP INC INTERNATIONAL CORE EQUITY PORTFOLIO |
238 86. б S |
238 ત્વે જેવી સાથે તે જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામનાં મુખ્યત્વે ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામનાં લો S |
||
| **D | MANULIFE GLOBAL FUND. | 256.460 | 256.460 | ||
| **D | POOLED INVESTMENT FUND - EUROPE FUND INVESCO |
632 33. ਟ |
33.632 2 |
||
| **D | GLOBAL INVESTORS GLOBAL ECO TRENDS FUND ALLIANZ |
000 347. |
000 347. |
||
| **D | AEGON CUSTODY B.V | 97.314 | 97.314 | ||
| **D | NMTB/NIK KOKUSAI-NH 935026 | 309.737 | 309.737 | ||
| 668 | **D | KOKUSAI-H 935034 NMTB/NIK |
23.420 | 23.420 | |
| **D | BERESFORD FUNDS ICAV | 0 | 26.430 | 26.430 | |
| **D | SLIC II - STANDARD LIFE INVESTMENTS | 771 576. 1 |
576.771 | ||
| **D | FIRST STATE INVESTMENTS LIMITED. . COLONIAL |
04 T 216 |
216-041 | ||
| **D | EQUITY FUND UK INCOME STANDARD OEIC II - ASÍ EUROPE EX ABERDEEN |
904.716 | 904.716 | ||
| **D | STICHTING PGGM DEPOSITARY | . 784 . 462 1 |
.462.784 1 |
||
| **D | COUNCIL FOR SOCIAL SEC FUND NATIONAL |
.482 118 |
482 8. โ T |
||
| **D | LEGG MASON INC. | 2.200 | 2.200 | ||
| **D | DNB GLOBAL (IV : INGVILD ANGVIK BJONNES DROWNING EUFERIAS GT VERDIPAPIRFONDET |
રે ભ 8 .491 P |
.491.850 P |
||
| **D | MILJOINVEST DNB VERDIPAPIRFONDET |
183 043 P |
183 .043. V |
||
| **D | DNB GLOBAL INDEKS VERDIPAPIRFONDET |
996.614 | 996.614 | ||
| **D | (LUX) COLUMBIA THREADNEEDLE INVESTMENTS THREADNEEDLE |
446.010 | 446.010 | ||
| **D | (TDX THREADNEEDLE |
277 0 E |
277 30 - |
||
| **D | OLD MUTIAL ARTEMIS UK SPECIAL SITUATIONS FIND (FIDELITY OLD MUTTAL GLOBAL INVESTORS (UK) TIMILED | 70.000 | 70.000 | ||
| **D | TWO SIGMA INTERNATIONAL CORÉ | 0 | 14 | ਹੈ ਕ | |
| **D | ICVC. INVESTMENT FUNDS THREADNEEDLE |
ਵਰਕੇ .373 ব |
4.373.509 | ||
| **D | PENSIONS MOLI I ASSET FUND COLUMBIA THREADNEEDLE INVESTMENTS THREADNEEDLE |
0 | . 320 8 વ |
84.320 | |
| **D | CITIBANK UK LIMITED AS TRUSTEE OF ABERDEEN STANDARD CAPITAL | 0 | പ 0 .412 P |
.412.405 7 |
|
| **D | VICTORY TRIVALENT INTERNATIONAL FUND-CORE EQUITY | 0 | 9 б 127.9 |
તે રે б 127 |
|
| **D | TWO SIGMA WORLD CORE FUND LP | 0 | 6 రా |
ਰੇ ਰੇ | |
| **D | LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 0 | ETS 66E -231 1 |
ರ 1.231.39 |
|
| **D | TRUST COLLECTIVE INVESTMENT INTERNATIONAL CAPITAL VICTORY |
0 | র E |
513 ਤੇ ਕ |
|
| **D | VICTORY MARKET NEUTRAL INCOMEFUND | 0 | 83 . 9 . 148 I |
.140.983 t |
|
| **D | SAMSUNG GLOBAL CORE EQUITY FUND | 0 | 00 9 . 0 ਟ ﺎ |
12.068 | |
| **D | DNB EUROPA VERDI PAPIRFONDET |
0 0 |
. 927 6 ਰੇ . 1 । ਰੇ ਰੋ |
199.199 204.927 |
|
| **D | MONETARY AUTHORITY OF SINGAPORE | 204 | |||
| D D |
GOVERNMENT OF SINGAPORE | 0 0 |
574 ﺎ - 49 751 412 51 L |
51.751.574 1.412.491 t |
|
| **D | 3710/ HETAL PA TEL II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND GENERAL REINSURANCE COLTD : TEL: 0203 124 FÜNDS HANCOCK JOHN |
0 | . 137 5 б |
95-137 | |
| **D | CITITRUST LIMITED LEGAL AND |
0 | .511 234 |
34.511 ਟ |
|
| **D | ETF. VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX |
0 ਟ - 9 S ਜ |
15.920 | ||
| **D | VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | o o | 6 29.73 |
29.732 | |
| Pagina 43 | |||||
| 19 Teste: 3.439 |
|||||
| Azionisti: | |||||
| 3.430 Azionisti in delega; ರಿ Azionisti in proprio: |

Juddice
10 maggio 2023 16.27.23
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CITITUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND | o o | 55.450 | 55.450 |
| **D | VICTORYSHARES INTERNATIONAL HIGHDIV VOLATILITY WID INDEX ETF | 067 8. 2 |
28-067 | |
| 67.088 **D |
INVESTO POLID INVESTMENT FIND - GLOBAL STRATEGIC EQUIP SCIENTS GROUP SECURITIES AND FUND SERVICES | 0 | 67.088 | |
| **D | C VANBRACKEL TTEE 05/23/1996 MANAGED DON |
825 | 825 | |
| **D | ECONOMIC DEVELOPMENT BOARD | 0 | 962 8 |
962 8 |
| **D | EUND ASSIPLS REAL DIVERSIFIED HANCOCK JOHN |
491-119 | 491.119 | |
| **D | FOR D EUROPE INDEX CO AND SELIGSON |
417.400 | 417.400 | |
| **D | SUPERANNUATION TRUST POOLED HOSTPLUS |
512 649 - |
649.512 | |
| **D | EUROPEAN EQUITY ENHANCED INDEX FUND ABERDEEN । II ICVC FUNDS UK INVESTMENT ABERDEEN |
772 93. |
93.772 | |
| **D | EUROPEN EQUITY TRACKER FUND ABERDEEN l II IÇVC UK FUNDS INVESTMENT ABERDEEN |
059 451. |
451-059 | |
| **D | CAUTIOUS MANAGED PORTFOLIO FUND MULTI MANAGER FUNDS - ABERDEEN ABERDEEN |
4 . 4 7 4 | 4 - 47 4 | |
| **D | FUND. GROWTH CAPITAL USAA |
314.425 | 314.425 | |
| **D | INTERNATIONAL FUND. USAA |
333.488 | 333.488 | |
| **D | WORLD FUND SUSTAINABLÉ USAA |
ਟ ਤੇ ਕ 71. |
71-534 | |
| **D | MILLENNIUM CHARITY AUTHORISED INVESTMENT FUNDS INVESTORS QUILTER |
000 125. |
125.000 | |
| **D | ETF. INTERNATIONAL PLAN TIMOTHY |
36.834 | 36.834 | |
| **D | PASSIVE EQUITY ROCK BLACK l UAPF |
36.293 | 36.293 | |
| **D | STOCK COMPANY JOINT FUND PENSION ACCUMULATIVE UNIFIED |
21.206 | 21.286 | |
| **D | STOCK COMPANY JOINT FUND PENSION ACCUMULATIVE UNIFIED |
ਰੇ ਰੇ ਕੇ 45. |
ਦ - ਕੇ ਰੇ ਰੇ P |
|
| **D | GLOBAL EQUITIES LE STRATEGIES-TOPS INVESTMENT WACE MARSHALL |
27.108 | 27.108 | |
| **D | FUND WORLD EX-US STRATEGIES-TOPS INVESTMENT WACE MARSHALL |
459.239 | 459.239 | |
| **D | EQUITIES FUND INTERNATIONAL STRATÉGIES-TOPS INVÉSTMENT WACE MARSHALL |
118.101 | 118.101 | |
| **D | 150/5 FUND-MACCE MORLD TOPS CONTRACTUAL COMMON WACE MARSHALL |
33.668 | 33.668 | |
| **D | 130/3 FUND-MMCCF WORLD TOPS COMMON CONTRACTUAL WACE MARSHALL |
28.474 | 28.474 | |
| **D | (CAYMAN) LIMITED SECRÉTARIES MAPLES C/O SP I 1783 SPC-MAN XII FUNDS MAN |
10.637 | 10.637 | |
| **D | TRADE CENTER WORLD BEUR- BU MARKETS AHL DIVERSIFIED MAN |
ਵ 8 ਤੋ | 583 | |
| **D | FUNDS VIII ICAV-MAN AHL DIVERSIFIED. MAN |
317 7. |
7.317 | |
| **D | LTD ന SERIES INSTITUTIONAL AHL |
28.074 | 28.074 | |
| **D | FUND. PUBLIC INFRASTRUCTURE (2017) NBINC |
541 1. |
1.541 | |
| **D | FOOL FOCUSED EQUITY PRIVATE WEALTH INTERNATIONAL MERCER |
181 42. |
42.181 | |
| **D | CAÍSSE DÉ RETRAITÉ D'HYDRO-QUEBEC | 885 205. |
205.885 | |
| **D | EQUITY POOL GLOBAL VPI |
1.000.000 | 1.000.000 | |
| **D | POOL INCOME VPI |
837.500 | 837.500 | |
| **D | CORPORATION LIMITED FINANCIAL E-L |
โ | ||
| **D | POOLED FUND EQUITY GLOBAL BIMCOR |
41.369 | 41.369 | |
| **D | FOND INVESTMENT COMMON BROTHERS SHORT |
614.834 | 614.834 | |
| **D | REAL RETURN ASSETS FUND (CANADA) TRUST BOMBARDIER |
୧୫୫ 471. |
471.600 | |
| **D | NGCH INVESTMENTS LIMITED RUSSELL |
ਉ 4 ਪੋ 2 - |
. 944 ਟ |
|
| **D | ETF LEADERS EUROPEAN DIVIDEND QUANT RBC |
5-100 | 5.100 | |
| **D | FÜND EQUITY GLOBAL O `SHAUGHNESSY RBC |
10.190 | 10-190 | |
| **D | POOL PRIVATE INFRASTRUCTURE KBI 5USTAINABLE LIFE SON |
324 208. |
208.324 | |
| **D | POOL. PRIVATE REAL ASSETS LIFE SUN |
933.541 | 933.541 | |
| **D | DIVIDEND PRIVATE POOL GLOBAL LIFE SUN |
49.618 | 49.618 | |
| **D | FUND. HEAD SHAKES PEARE ાજેશે છે. |
900 107. |
107.900 | |
| **D | TRANSITION CLASS ENERGY GLOBAL MIDDLEELETD |
0 | 000 2. |
2.000 |
| **D | FOND CLEAN POWER DIVIDEND INTERNATIONAL |
0 | 780.000 | 780.000 |
| **D | ENERGY TRANSITION FUND (INCUBATOR) GLOBAL VISION RBC |
16.100 | 16.100 | |
| D D |
EAFE EQUITY LEADERS ETF OUANT RBC |
2.251 | 2.251 | |
| L. P. OFFSHORE FUND GLOBAL ALTERNATIVE INVESTMENT AOR |
0 | 152 | 152 | |
| Pagina 44 | ||||
| Azionisti: | । ਰੇ Teste: 3.439 |
|||
| Azionisti in proprio. | 3.430 Azionisti in delega: 6 |
EMARKET
SDIR
CRIFF
صراح
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
LISTA ESITO DELLE VOTAZIONE
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
FAVOREVOLI
| Totale 71 Delega 71 Proprio 0 |
160-905 160.905 |
1.069.412 1.069.412 |
13 13 |
115 26.400 26.400 115 |
5.471 ਦ ਤੇ 635.471 |
3.520 3.520 |
294.497 294.497 |
1.657 1.657 |
880.977 880.977 |
802 .391. L 1.391.802 |
500 367 . 500 367. |
.997.000 N .997.000 ट |
ਰੇ ਕੇ ਦ કેટ . ਰੇ ਪੈ ୧ ਕੇ 2 - 0 |
850 8 - UT . 850 . 000 0 ୧ 3 0 UT 0 |
000 50-490 630 . 50.490 |
487.000 87.000 p 0 |
826 26 - . 826 2 ୧ 0 |
9.687 9.687 |
9 - 404 9.404 0 |
8.724 .724 8 0 |
33.021 33.021 0 |
27.155 27.155 0 |
559 12. 12.559 0 |
42.684 42.684 0 |
24.699 24.699 0 0 |
33.296 33.296 34.288 0 |
20-389 34.288 20.389 0 |
ਰੇਹ ਦ 50 . 58.905 0 |
370 33. 33.370 0 |
190.000 90.000 t 0 |
ਦ ਦੇ ਰ ട്. 5.569 0 |
22.668 22 - 668 0 |
47.489 47.489 |
ਰੇ 8 ਕ 106.135 5. 106.135 5.984 0 |
000 25. 25.000 0 |
390.000 390.000 |
45.510 45.518 0 |
150.000 150.000 0 |
9 9 |
1.209.211 209.211 L 0 |
122 105. 105.122 |
20.733 20.733 |
242.526 242.526 |
ਰੇ ਕੋ 8 . 038. 614 6. ರ 948 4.038-614 g |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| CORPORATE SERVICES LIMITED | EXTENDED MASTER FUND (CAYMAN) L.P. C/O OGIER GLOBAL (CAYMAN) LIMITED | LIMITED CAYMAN CORPORATE CENTRE | ragina 45 19 |
3.430 | ||||||||||||||||||||||||||||||||||||||||||
| LUX FUNDS-AQR SYSTEMATIC TOTAL RETURN FUND Ragione Sociale |
ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | MULTI-STRATEGY ENHANCED MASTER FUND LP MAPLES CORPORATE SERVICES LIMITED EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT ITD BROOKFIELD |
MULTI-STRATEGY MASTER FUND LP MAPLES CORPORATE SERVICES LIMITED BROOKFIELD |
CAXTON INTERNATIONAL LIMITED | (CAYMAN) L.P. MASTER INVESTORS MACRO THEMES |
C/O MAPLES CORE MASTER LIMITED AHL ALPHA |
RESEARCH EQUITY | POINT72 ASSOCIATES LLC C/O WALKERS CORPORATE | LLC. MOORE GLOBAL INVESTMENTS |
4D GLOBAL INFRA FUND | PFC S.R.L. | DIVIDENDO ITALIA | SELECTION BILANCIATO DINAMICO SELECTION ESG ESC |
PIR ITALIA VALORE |
CONSERVATIVO SELECTION ESG |
ACCUMULAZIONE ITALIA PIR 2023 | AGOSTO 2026 INCOME PROGETTO |
2027 TRE REALE INCOME PROGETTO |
2027 QUATTRO REALE INCOME PROGETTO |
2028 INCOME PROGETTO |
INFRA GLO 2026 DUE ACCUMULAZIONE |
GLOBAL INFRASTRU 2024 PRIVATE |
GLOBALI 2028 INFRA ACCUMULAZIONE |
2027 DUE 2027 REALE INCOME PROGETTO |
2026 DUE 20121 REALE INCOME INCOME PROGETTO PROGETTO |
2025 INCOME PROGETTO |
2026 PROGETTO - AMUNDI PROGETTO INCOME FONDI AMUNDI |
AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 | 2026 PROG INC REALE |
EUROPEAN EQUITY INSTITUTIONAL NAGELMACKERS |
CONSERVATIVE INVEST |
BALANCED DYNAMIC INVEST INVEST |
SUSTAINABLE WORLD EQUITY MANDATE 1 | ETHICAL EQUITIES SIF GLOBAL |
TWINS GROWTH l INDO ALT INVEST |
LEADERSEL P.M.I | GLOBAL EQUITY | FOXCELLENCE-HERVELLA EUROS EQUITY | INDEX MSCI JAPAN | FTSE MIB | FUNDS MULTI ASSET CONSERVATIVE | ROADS CONSERVATIVE ALI FUNDS - |
EUROPEAN STRATEGIC AUTONOMY l CPR INVEST |
PAB EUROPE CLIMATE PARIS ALIGNED STOXX 50 AMUNDI MSCI EURO |
Teste: 3.439 |
Azionisti in delega: б |
| AOR Badge **D |
ARIL **D |
AHL D D |
**D | **D | **D | **D | GLOBAL **D |
D D |
D D |
**D | AMUNDI **D |
AMUNDI AMUNDI **D |
AMUNDI **D |
AMUNDI **D |
AMUNDI **D |
AMUNDI **D |
AMUNDI **D |
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**D | **D | OTRON **D |
**D | AMUNDI **D |
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10 **D |
**D | AMUNDI D D |
AZIONISTI: | Azionisti in proprio: |
669
EMARKET
SDIR
GRTIFFE
ల్ల
ల్లో
(100
،
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| 117.849 Totale 000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 943 206 09.198 3.057.299 67.100 6.785 73.778 150.163 . 910.936 734 27.070 213.322 50.000 271.246 76.594 32.950 98.097 716.161 212.135 141.069 б 8.287 143.143 63-787 144.175 470.544 26.920 30.270 940.983 190.923 62.097 264.000 529.514 772.169 312.462 675.590 25-000 38.445 310.000 406.766 689.260 6.151 98.251 282.142 202.571 321.000 185.900 906.14 44 - 82. m రా ਟ ల 2. ব - L L C |
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|---|---|---|
| 50.163 734 Delega વે 3 ર 327.070 44.943 0 271.246 ਦ ਰੇ ਖੋ 0 206 б B б D S 0 11) n 470.544 0 గా -571 60-000 213.322 8.097 141.069 0 190.923 6 62.097 0 6 N 0 0 S 6 ਟ 9 143.143 0 6.151 98 - 251 310.000 716.161 529.514 26.92 25.00 6.78 144.17 30.27 772.16 - 4 € .28 202.14. .00 50 - 00 ਰ ਦ 117-84 73.77 212.13 940.98 906.14 264.00 675.59 - 63.78 309.19 057.29 67.10 406.76 689.26 185-90 7. 910. 76. 232. 82. 312 8 321 38 202 ത વ T m ব - 1. 7. T ਟ |
Q 0 |
|
| Proprio 00000000000000000 0 000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 0 00 000 0 0 0 0 0 00 |
||
| FAVOREVOLI | Pagina 46 | |
| 3.430 19 |
||
| ALTERNATIVE RISK PREMIA ARP EQUITY STY AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL - AMUNDI PRIME EUROPE FUNDS - EUROPEAN EQUITY RISK PARITY INDEXIQ FACTORS SUSTAINABLE EUROPE EQUITY FUNDS EURO MULTI-ASSET TARGET INC FDS GLOBAL MULTI-ASSET TARGET INC MSCI WORLD CLIMATE TRANSITION CTB FDS GLOB MULTI-ASSET CONSERVATIVE WORLD CLIMATE PARIS ALIG PAB GLOBAL EQUITIES AMUNDI FUNDS GLOBAL EQUITY TARGET INCOME CANDRIAM L CONSERVATIVE ASSET ALLOCATION UNIVERSAL SELECT FUNDS DYNAMIC MULTI FACTORS EURO CLAY FUNDS - CLAY EUROPEAN MULTI ASSETS WORLD ESG UNIVERSAL SELECT ONEMARKETS AMUNDI FLEXIBLE INCOME FUND MSCI EUROPE CLIMATE TRANSIT CTB FUNDS REAL ASSETS TARGET INCOME CLAY FUNDS - CLAY EUROPEAN MULTI CAPS AMUNDI MSCI EUROPE ESG LEADERS SELECT AMUNDI MSCI WORLD ESG LEADERS SELECT SELECT CPR INVEST-EUROPE SPECIAL SITUATIONS - TOTAL RETURN ALL CAP EUROPE RISK PARITY INDEX FTSE EPRA NAREIT GLOBAL VALIANT EUROPE EQUITIES SELECT AMUNDI MSCI EUROPE EX SWITZERLAND FUNDS GLOBAL MULTI-ASSET EQUITY TARGETNETZERO EUROPE EQUITY AMUNDI MSCI EMU ESG UNIVERSAL BALANCED DYNAMIC AMUNDI MSCI EMU ESG LEADERS LO FUNDS - ALL ROADS GROWTH CLEOME INDEX - ENU EQUITIES CPR INVEST CLIMATE ACTION CPR INVEST - FUTUR CITIES FUNDS EQUITY EURO EUROPE EX UK LOF TARGETNETZERO GLOBAL INDEX MSCI EUROPE AURISX ALLIANCEBERNSTEIN STOXX EUROPE 600 ECONOMY MSCI EUROPE ESG INDEX SOLUTIONS PRIME EUROZONE MSCI EUROPE WORLD |
Azionisti in delega: Teste: 3.439 ರಿ |
|
| De | AMUNDI INDEX MSCI WORLD INDOSUEZ EUROPE VALUE LO FUNDS - ALL ROADS AMUNDI PRIME JAPAN Ragione Sociale CPR INVEST BLUE MSCI MSCI NEF ETHICAL STRUCTURA - AMUNDI MSCI MSCI AE (LUX) - AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI AMUNDI G FUND AMUNDI AMUNDI AMUNDI AMUNDI LOF Badge |
Azionisti in proprio: Azionisti. |
670

-
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Uggetto: Determinazione del compenso dei componenti Il Consiglio di Amministraz | |
|---|---|
| LISTA ESTTO DELLE VOTAZIONE |
FAVOREVOLI azione
| Badge | Ragione Sociale | Proprio | Delega | Totale | |||
|---|---|---|---|---|---|---|---|
| **D | DYNAMIC ASSET ALLOCATION CANDRIAM L |
0 | 3.954 | 3.954 | |||
| **D | MULTI ASSET INCOME AND GROWTH CANDRIAM L |
0 | 97.261 | 97.261 | |||
| **D | ASSET BALANCED L CANDRIAM |
ALLOCATION | 0 | 49.584 | 584 ਰੇ . ರ |
||
| **D | CLEONE INDEX - MORTD EQUILIES | 0 | 28 - 534 | 28.534 | |||
| **D | SUSTAINABLE EMU FACTORS INDEXIQ |
EQUITY | 0 | 6.516 | 6.516 | ||
| **D | EUROPE EQUITIES l CLEOME INDEX |
0 | 990-491 | 990.491 | |||
| **D | ASSET INCOME MULTI CANDRIAM L |
0 | 142.423 | 142.423 | |||
| **D | MINAOL EUROPE SEEYOND |
0 | 414.687 | 414.687 | |||
| **D | FUNDS-OLIVO FUND GLOBAL BBVA |
0 | 43.000 | 43.000 | |||
| **D | TABA DE INV INTL DURB BBVA |
0 | 7.750 | 7.750 | |||
| **D | EUROPEAN EQUITY INTL DURB BBVA |
FUND | 0 | 45.905 | 45.905 | ||
| **D | AMUNDI WELTPORTFOLIO | 0 | 8.937 | 8.937 | |||
| **D | MMA IARD | 0 | 977.396 | 977.396 | |||
| **D | PROTECTION JURIDIQUE COVEA |
0 | 07.020 | 87.820 | |||
| **D | CNBF-RC-SCHRODERS-FLEXIBLE | 0 | 7.704 | 7.704 | |||
| **D | APSA-SRI ABSOL RETURN MULTI-ASSETS N2 | 0 | 924 | ਰੇ 2 ਕ | |||
| **D | IARD BPCE |
0 | |||||
| **D | GMF ASSURANCES | 0 | 00 64.684 |
64 - 684 | |||
| **D | 661 - 38 | 661.388 | |||||
| MAAF VIE ACTIF GENERAL | 0 | 996.800 | 996.800 | ||||
| **D | FIDELIA ASSISTANCE | 0 | 11.992 | 11.992 | |||
| **D | CRAMA LOIRE BRETAGNE ACTIONS | 0 | 9 82.17 |
82.176 | |||
| **D | APSA-SRI ABSOL RETURN MULTI-ASSETS | NI | 0 | 7-438 | 7.438 | ||
| **D | LA SAUVEGARDE | 0 | 36.792 | 36.792 | |||
| **D | D GMF VIE |
0 | 2.139.012 | 2.139.012 | |||
| **D | CMBE-RB-SCHRODERS-ETEXIBLE | 0 | 11.753 | 11.753 | |||
| **D | MAAF SANTE | 0 | 39 L 9. N |
29.139 | |||
| **D | MANDAT ACTION HGAM | 0 | 606.528 | 606.528 | |||
| **D | A GGVIE PREFON RETRAITE |
0 | 632.260 | 632.260 | |||
| **D | LBP PREVOYANCE MANDAT |
0 | 80.000 | 80.000 | |||
| **D | INT. ROBECO CAVAMAC ACTIONS |
EÜ | 0 | 65.921 | 65.921 | ||
| **D | NAM ACT. EUR. CNP ASS. |
0 | 144.986 | 144.986 | |||
| **D | GRAZA | 0 | 55.374 | 55.374 | |||
| **D | AA SSGA ACTIONS INDICE EURO | 0 | S 1.267.75 |
1.267.755 | |||
| **D | ALLOCATION ACTIONS SATELLITE | 0 | 60.073 | 60.073 | |||
| **D | GRENOUILLERE IA |
8.007 2 |
28.007 | ||||
| **D | CFAO AB |
00 | 0 S 0.0. 1 |
10.058 | |||
| **D | MUTACTIONS 21 | 0 | 690.383 | 690.383 | |||
| **D | EST GROUPAMA GRAND |
0 | 38.273 | ||||
| **D | DAN | 38.273 | |||||
| **D | ALLOCATION DIVERSIFIE EQUILIBRE uer |
0 | 12.568 | 12.568 | |||
| **D | 0 | 6 196.13 |
196.139 | ||||
| GROUPAMA NORD EST ACTIONS | 0 | 119.133 | 119.133 | ||||
| D D |
RETURN ALL TOTAL CR GROUPAMA |
EUROPE CAP |
0 | 92.000 | 92.000 | ||
| EQUILIBRE EPARGNE SOLIDAIRE |
TH | 0 | 8 75.83 |
75.838 | |||
| **D | GROUPAMA LOIRE BRETAGNE LOCAL | ત | 0 | 30-287 | 30.207 | ||
| **D | AP ACTIONS 1 EURO | 0 | 341.975 | 341.975 | |||
| **D | INDEXALPHA LFAM. |
0 | 189.003 | 189.003 | |||
| **D | CONTI PLACEMENTS | 0 | 113-451 | 113.451 | |||
| **D | ROPS EURO P | 0 | 933-641 | 933.641 | |||
| **D | AGRICA TACTIQUE G | 0 | 45.200 | 45.200 | |||
| **D | GROUPAMA NORD EST | 0 | 32.870 | 32-870 | |||
| Pagina 47 | |||||||
| Azionisti: | 3.439 | Teste: | I d | ||||
| Azionisti in proprio: | б | Azionisti in delega: | 3.430 | ||||
City

્ર અંદર
ﻝ
Justice)
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| FAVOREVOLI | ||
|---|---|---|
| LISTA ESTTO DELLE VOTAZIONE | Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione |
| Badge | Ragione Sociale | Proprio | Delega | Totale | ||||
|---|---|---|---|---|---|---|---|---|
| **D | AMUNDI IPSA ACTIONS | 0 | 66.785 | 66.785 | ||||
| **D | LV. CHALLENGE | 0 | 89.423 | 89-423 | ||||
| **D | GAN EUROSTRATEGIE | 0 | 130.097 | 130-097 | ||||
| **D | DUGUAY TROUIN INVESTISSEMENT | 0 | 34.840 | 34.840 | ||||
| **D | GROUPAMA CR GENOVA 1 | 0 | 121.137 | 121-137 | ||||
| **D | SOLIDARITES | 0 | 46.010 | 46-010 | ||||
| **D | FAGUS | 0 | 517.206 | 517.206 | ||||
| **D | LCL DYNAMIQUE ESG | 0 | 26.734 | 26.734 | ||||
| **D | PREDICA ISR MONDE | - ACTIONS | 0 | 77.016 | 77.016 | |||
| **D | MONCEAU ACTIONS EEE | 0 | 600-283 | 600.283 | ||||
| **D | AGRICA ACTIONS OBJECTIF | SCR | 0 | 639-943 | 639.943 | |||
| **D | FDRN AMUNDI | 0 | 391.752 | 391.752 | ||||
| **D | WALLON | 0 | 212.991 | 212.991 | ||||
| **D | DIEZE | Q | 43.862 | 43.862 | ||||
| **D | EST EQUITIBRE CENTRE |
0 | 15.144 | 15.144 | ||||
| **D | LABEL DYNAMIQUE AMUNDI |
ESR | 0 | 98.263 | 98.263 | |||
| **D | SACD INVESTISSEMENT | 0 | 94-512 | 94.512 | ||||
| **D | AMUNDI EQUILIBRE GLOBAL SOLIDAIRE | 0 | 34-649 | 34.649 | ||||
| **D | FCP GROUPAMA PHARMA DIVERSIFIE | 0 | 150.000 | 150.000 | ||||
| **D | CL CENTRE MANCHE | 0 | 14.065 | 14.065 | ||||
| ** D | ROYAL EQUILIBRE PORT |
0 | 5 . ୫୧୫ б |
95.868 | ||||
| **D | OPET | 0 | 18.500 | 18.500 | ||||
| **D | DIAPASON VILLIERS |
0 | 248.343 | 248.343 | ||||
| **D | ADP DIVERSIFIE DYNAMIQUE | 0 | 7.393 | 7.393 | ||||
| **D | CAVEC LA FRANCAISE DIVERSIFIE | 0 | 249.595 | 249.595 | ||||
| **D | SELECTION EURO DIVERSIFIE GROUPAMA |
0 | 81.145 | 81.145 | ||||
| **D | LCL PRUDENCE ESG | 0 | 11.136 | 11-136 | ||||
| **D | EPARGNE ACTIONS MONDE ISR | 0 | 161.750 | 161.750 | ||||
| **D | PREDIQUANT A2 - ACTIONS EUROPE | 0 | 121.883 | 121.883 | ||||
| **D | AMUNDI HARMONIE | 0 | 37.794 | 37.794 | ||||
| **D | ADVIT ACT EU | 0 0 |
187.026 226.941 |
187.026 226.941 |
||||
| **D | 2 QUANT ARRECO |
|||||||
| **D | S CAVAMAC ACTIONS EURO | 0 | 132.786 | 132.786 237.191 |
||||
| **D | GROUPAMA DIVERSIFIE CAVEC |
0 0 | 703.858 237.191 |
703.858 | ||||
| **D | ROPS-SMART INDEX EURO | 0 | 75.734 | 75.734 | ||||
| **D | AMUNDI LABEL PRUDENCE | ESR | 0 | 603.420 | 603.420 | |||
| **D | FRANCAISE I5R AA LA |
0 | 191.316 | 191.316 | ||||
| **D | - ACTIONS GRD 20 |
0 | 303.846 | 303.846 | ||||
| D D |
ELITE INTER-PHARMACTIONS STAR PASTEUR |
0 | 30.725 | 30.725 | ||||
| **D | FGV ACTIONS EUROPE IM A | 0 | 228.960 | 228.960 | ||||
| **D | PREDIQUANT PREMIUM TITRES VIÉS ACTIONS | 0 | 1.985.707 | 1.985.707 | ||||
| **D | CR ACTIONS MONDE GROUPAMA |
0 | 24.480 | 24.480 | ||||
| **D | BEL EQUITY EUROPE | ESG | 0 | 1.877.570 | 1.877.570 | |||
| **D | FDJ EQUILIBRE SOLIDAIRE | 0 | 307 29. |
29-307 | ||||
| **D | IP ACTIONS EURO | 0 | 141.785 | 141.785 | ||||
| **D | GROUPAMA MEDITERRANEE | 39.450 | 39.450 | |||||
| **D | LOIRE BRETAGNE LOCAL GROUPAMA |
ਟ | 30.403 | 30.403 | ||||
| **D | L.S DYNAMIQUE ET SOLIDAIRE | 4.000 | 4.000 | |||||
| **D | CARP - INDO FCP |
0 | 1.034.797 | 1.034.797 | ||||
| Pagına 48 | ||||||||
| Azionisti: | 3.439 | Teste: | 19 | |||||
| Azionisti in proprio: | 6 | Azionisti in delega: | 3.430 | |||||
682
EMARKET
SDIR
GRTIFFED
ે છ
లా
ﻣﺮﺍﺕ
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | |
|---|---|
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| 0 0 0 0 0 0 0 0 0 0 0 0 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 Pagina 49 STRATEGIES ACTIONS EUROPE OPTIM DIV HR EURO OPTIM DIV HR L D v PATR ડ T T ISR SYSTEMES ISR MODERE G FUND OPPORTUNITIES EUROPE AA NATIXIS ACTIONS MIN VAR LABEL EQUILIBRE ESR 0 ਰੋ PROMEPAR ACTIONS RENDEMENT 3.439 GLOBAL CONVICTIONS EQUITY CONVICTIONS STRATEGIES ACTIONS ACTIONS EUROPE ISR POCHE ACTIONS INDOSUEZ EURO PATRIMOINE ACTIONS EURO ISR ERISA ACTION EUROPE N 2 PERFORMANCE D ACTIONS LT DIVERSIFIE A.A. - GROUPAMA - ISR RENDEMENT PLUS FCP ARRCO LONG TERME SA EXPANSION WF ACTIONS FLEXIBLE FCP CARPIMKO EUROPE E E C FONDATION EUROPE FRANCE FRANCE I FCP BOURBON 7 FCP TESLA - ACP FCP NATEXIS UNIVERS CNP e LOLA SHARE COLOMBES |
Totale 4.445 Delega 4.445 |
10.949 17.078 17.078 10.949 |
63.389 63.389 |
28.852 852 20. |
112.018 017.671 112.018 817.671 |
17.214 17.214 |
190.048 190.048 |
253.618 253-618 |
51.495 51-495 |
17.277 277 17. |
303.371 303.371 |
97.019 97.019 |
316.036 316-036 |
10.838 10.838 |
134.709 238.206 134-709 206 238 . |
63.827 63.827 |
12.719 12-719 |
29.659 29.659 |
26.025 26.025 |
531.144 531.144 |
44.000 000 44. |
120.000 000 120. |
490.000 000 490. |
823.513 823.513 |
764.706 116.235 764.706 116.235 |
88.370 08.370 |
205.140 285.140 |
87.020 87.020 |
600-000 600.000 |
170-000 170.000 |
120.000 1.305.385 120.000 385 . 305 . T |
3-860 3.860 |
314.280 314.280 |
98.307 307 8. б |
930.639 930.639 |
94.800 94.000 |
500.000 500.000 |
7.830 7.830 |
16.569 16.569 |
25.900 25.900 |
765.566 રે રેણ 765 - |
19.548 19.548 |
82.665 82.665 |
759-297 759_297 |
135-775 135.775 |
|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| AMUNDI AMUNDI S.YTIC DORVAL G FUND AMUNDI AMUNDI AMUNDI AMUNDI |
W I RENDEMENT EQUILIBRE Ragione Sociale |
AC GLOBAL CONVICTIONS FCPE CA |
EPARGNE MODEREE THALES | ICI EQUILIBRE ESG | FCP DES CAISSES LOCALES GROUPAMA P | MEUELIZE VIE OPEORIMITES | TOTALENERGIES DIVERSIFIE EQUILIBRE ET SOLIDAIRE | MONGELAS | DASSAULT | ARREO LONG TERME | FCPE IBM | HSBC EE ACTIONS RESPONSABLES F | EQUITIES | ORANO DIVERSIFIE EQUILIBRE | GROUPE CEA CROISSANCE FCPE | ROPS ACTIONS EUROPEENNES 1 | FCP HAMELIN DIVERSIFIE FLEX | FCPE IBM | FCP CNP | EGEPARGNE 2 | PREVAAL ACTIONS EU | DORVAL CONVICTIONS | AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | CPR EUROLAND ESG |
દિવ
EMARKET
SDIR
CRIFFED
on
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | I THOTE! SALEMINORIANA AS COMMANCO PAS CONNECT OF AMORICA AL AMORES OF AMERICA |
|---|---|
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| FAVOREVOLI |
|---|
| Pagina 50 EUROLAND EQUITY SRI BALANCED SRI MODERATE DYNAMIC AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY (JANVIER 2022) SRI SRI (MAI 2022) + 2023) l l FUNDS - l ACTIONS MONDE HORS EUROPE EURO FUNDS FUNDS FUNDS CLIMAT (JANVIER RESTRUCTURATION DURABLES EUROPE EURO ACTIONS DURABLE DYNAMIC EURO SRI SELECTION EURO ENVIRONNEMENT EUROPE OPPORTUNITE EUROCROISSANCE A2 INVESTMENT INVESTMENT INVESTMENT IMPROVING EUROPEAN MODELS DORVAL GLOBAL CONVICTIONS EUROPE EQUITY INCOME POCHE COR GROUPAMA EUROPE EQUITIES POCHE PEA MODELS SRI INDOSUEZ EURO RENDEMENT COVER ACTIONS RENDEMENT DIVIDEND CORE + R WORLD VISION FDC A2 POCHE TITRES MONDE ACTIONS EUROPE ISR AMUNDI PATRIMOINE EURO RESPONSIBLE MULTI-ASSET RESPONSIBLE AGE BEST BUSINESS HIGH LCL ACTIONS |
Totale 418.705 Delega 418.705 Proprio 0 |
459.207 175.717 459.207 175.717 0 C |
24.642 4.642 ਟ 0 |
. 608 ਟ ਰੇ 6 259.600 0 |
17.846 846 17. 0 |
109" 8 L 109 " 8 t 0 |
ਰੇ 8 509 . ਰੋ 30. б 50 30.509 ਰੇ ਰੇ ਉ ਰ - 50 0 0 |
54-940 ਕੇ ਪੇ O ર્સ . 0 |
187-939 ਤੇ ਰੇ ర 187. 0 |
1.044.450 1.044.450 0 |
122.576 ક 7 6 122. 0 |
351.519 219 351. 0 |
582.209 T 289 582. T 0 |
13.511 13.511 0 |
36.991 991 36. 0 |
325.923 923 5. 32 0 |
4-330.000 320.640 640 .330.000 320. য 0 0 |
118.859 118.859 0 |
117.733 117.733 0 |
299.439 299.439 0 |
403.727 403.727 0 |
5.347 347 ട. 0 0 |
.078 18.732 0 P 0.078 18.732 P 0 |
1.132.437 .132.437 L 0 |
22.031 222.031 0 |
114.049 114.049 0 |
652.419 336.478 652.419 336.478 0 0 |
760.665 760.665 0 |
583.318 583.318 0 |
101",69 101 ﻩ. S 0 |
868.570 570 858. 0 |
20-372 20.372 0 |
.112.643 156.704 t 704 1.112.643 156. 0 0 |
248.862 862 248. 0 |
2.427.302 302 2.427. 0 |
33.042 33.042 0 |
344.732 344.732 0 |
295.843 5.843 ਣ ਰੋ 0 |
46.150 6.150 ਕ 0 |
455.317 317 455. 0 |
102.333 333 102. 0 |
791.967 967 1.791. 0 |
608.656 65.215 215 608.656 5. 9 0 0 |
|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| PREDIQUANT CPR SILVER ISR BBM V-FLEX SELECTION |
SELECTION EURO ENVIRONNEMENT Ragione Sociale |
CPR EUROPE ESG | TA-ITA AZIONI | GROUPAMA EURO EQUITIES | ACTIONS EURO RESTRUCTURAT EURO (CA) | SELECTION EURO | AMUNDI ACTIONS | CPR EUROLAND PREMIUM ESG | SOLIS | DORVAL CONVICTIONS PEA | AMUNDI PATRIMOINE PEA | MYRIA ACTIONS | CPR ACTIONS EURO RESTRUCTURATIONS | EUROPE | AMUNDI EURO EQUITY ESR | FLEXIBLE ISR | EURO CLIMAT (SEPTEMBRE 2022) | ALLOCATION PEA | EURO | AMUNDI STRATEGIES ACTIONS EURO CORE | EUROACTIONS DIVIDEND | RESPONSIBLE | RESPONSIBLE INVESTMENT |
684

3
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| ( NASCO) LABORNIA BE ARMANAS AS REPERSENSE I | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE | |
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| Badge **D |
EUROPEENNES SEEYOND ACTIONS Sociale Ragione |
Proprio 0 |
Delega 377.545 |
Totale 377.545 |
|---|---|---|---|---|
| **D | CNP ASSUR VALUE ET MOMENTUM | 0 | 62.287 | 62.287 |
| **D | EURO SUSTAINABLE MINVOL SEEYOND |
0 | 은 3 4 47 . |
47.534 |
| **D | ACTIONS EURO ESG LCR NATIXIS |
0 | 638 40. |
40.638 |
| **D | D REGARD ACTIONS DEVELOPPEMENT |
0 | 200 374. |
374.200 |
| **D | EUROPA I HELVETIA |
0 | 910.000 | 910.000 |
| D D |
TARGETNETZERO GLOBAL EX-CH EQUITY EQUITIES RDT - DBI l (CH) si of EDR |
0 | ਰੇ ਦ 8 1. L |
ರಿ 5 B 11. |
| **D | 2024 INCOME r II GLOBAL FUND EDR |
0 | 8 9 9 T て |
ਰ ਰੋ ರಿ 21. |
| **D | EQUITY EURO CORE FUND ROTHSCHILD DE EDMOND |
0 0 |
6.055 9 |
66.055 |
| **D | EUROPE FUND INCOME ROTHSCHILD EDMOND DE |
0 | 830 350.400 298. |
350.400 298.830 |
| **D | SUSTAINABLE EQUITY EURO l SICAV BDR |
0 | 690 . 683. ਟ |
683.690 2. |
| **D | SOLVE EURO EQUITY l SICAV EDR |
0 a e 366. |
366.096 | |
| **D | ROTHSCHILD ASSET MANAGEMENT (EDRAM) EDMOND DE |
0 | 160 14 - |
14.160 |
| **D | ACTIONS EUROPE EDRAM CNP ASSUR |
610 391. |
391.610 | |
| **D | FIDEURAM ITALIA l SGR માં MIDSURAM |
0 | 322.000 | 322.000 |
| D D |
50 ITALIA ITALIA BILANCIATO AZIONI PIANO PIANO l - SGR કુલર AM AM FIDEURAM FIDEURAM |
.553.000 ਕਾ |
4.553.000 | |
| **D | 30 BILANCIATO ITALIA PIANO - કલા માં FIDEURAM |
0 | 000 . 018 - 000 ਰੇ 3 - L |
93-000 .018.000 I |
| **D | S.P.A. VITA MEDIOLANUM |
0 | .550.000 ਟ |
.550.000 ਟ |
| **D | FLESSIBILE SVILUPPO ITALIA l SGR FONDI GESTIONE MEDIOLANUM |
0 | .200.000 ్ |
3.200.000 |
| **D | FLESSIBILE FUTURO ITALIA l SGR GESTIONE FONDI MEDIOLANUM |
4 5 1 . 403 . 0 2 |
20.403.451 | |
| **D | INTERFUND SICAV | 0 | 000 319. |
319.000 |
| D D |
STARS LL STARS ITALIA ALL AZIONI ALLIANZ |
000 .030. P |
4.030.000 | |
| **D | SPECIAL રે છ ITALIA ALLIANZ |
0 | 000 7. 6 |
97.000 |
| **D | MASTER INV PORTFOLIO OF MASTER INV PORTEROLLO INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF EQUITY MASTER DIVERSIFIED TOTAL |
92 8 27. |
27.892 | |
| **D | FONDITALIA | 0 | 543.633 7.218.000 |
7.218.000 543-633 |
| **D | INVESTMENT BOARD (CPPIB) PLAN CANADA PENSION |
18 | 18 | |
| **D | PENSION SCHEME NEW AIRWAYS |
361 6. |
6.361 | |
| **D | ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY INDEX SCHWEIZ AG FOR MANAGEMENT BLACKROCK ASSET |
2 a e 5. 24 |
245.296 | |
| **D | (CH) SWITZERLAND EQUITY INDEX FUND II EX WORLD ISHARES |
0 | ਰੇ 21 ਟ E |
32.921 |
| **D | DURABLES VALEURS ALLIANZ |
000 .500. ਟ |
.500.000 N |
|
| **D | ACTIONS ISR SOLIDAIRE EPARGNE ALLIANZ |
360 148. |
. 360 148 |
|
| **D | FUNDS LIMITED PENSION MANAGED |
.271.874 ਟ |
2.271.874 | |
| D D |
INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND MANAGED WIDOWS SCOTTISH |
ਦ ਹੈ ਰੇ 27. |
27.549 | |
| **D | SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK) EQUITY FUND NEUTRAL FUND AQR FUNDS AQR EQUITY MARKET INVESTMENT WIDOWS SCOTTISH |
189 ு. . 12 ไ |
.129.189 ﺎ |
|
| **D | LEXAS OF SYSTEM RETIREMENT TEACHER |
888 971 24 - .982. ਟ |
24.888 2.982.971 |
|
| **D | SINGAPORE AUTHORITY OF THE MONETARY |
563 ર્દિત - |
563 ୧ ବ ୮ |
|
| **D | ASSETALLOCATION FUND LLC PINEBRIDGE GLOBAL DYNAMIC |
329 3. 8 |
329 83. |
|
| 0 ** |
SINGAPORE AUTHORITY OF MONETARY THE |
161.057 | 161.057 | |
| **D | ITALIA ACQMEA |
000 485. |
485-000 | |
| **D | SGR MULTIFUND PATRIMONIODINAMICO ACOMEA |
000 28 - |
28.000 | |
| **D | MULTI FUND - PATRIMONIO AGGRESSIVO ACOMEA |
500 35. |
35.500 | |
| **D | EUROPA ACOMEA |
0 | 000 140. |
140.000 |
| D D |
GLOBALE GLOBALE ACOMEA |
0 | 00 0 60. |
60.000 |
| **D | FI SANTANDER EQUALITY ACCIONES ABN AMRO FUNDS |
0 | 80 d .061. S |
80 5.061.4 |
| **D | SOSTENIBLE 2 FI SANTANDER |
0 0 |
ਦੇ ਤੇ ਪ a d .248 6 78 દ |
. 534 1.248.690 8 ﺎ |
| Pagina 51 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
|||

Azionisti in proprio:
દર્દ દ
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESITO DELLE VOTAZIONE
| 14.009 ਨ ਹੈ ਰੇ 24.783 31.190 68.609 83.969 269 ల 879.775 393.407 43.762.063 S 6 314.665 .240.840 . 834 178.510 54.090 75.985 14.000 570.088 55.817 115.326 54.026 475.500 5 4.311.439 4.420 .913 23.718 3.077.092 420.232 450.666 20.045 .557.314 20.750 3.043 26.704 161.535 115.800 081.56 32.277 19.862 2.022.264 2.098.014 .738.092 .418.241 87.532 150.404 50.53 155.90 649.14 21.49 91. 6. 13 2 4 . ഹ L P t L 14.889 5.017 269 E б 0.666 8 ਤੇ ਕ 090 000 080 8.609 155.903 879.775 4.311.439 4.420 393.407 C 23.718 420.232 045 043 92 6.219 241 535 115-800 24.783 31.190 75-985 115.326 150.404 54-026 62 475.500 83.969 50.535 2.098.014 .557.314 0.750 314.665 6.704 .240.840 87.532 178.510 570.000 32.277 2.022.264 43.762.06 ਰੇ T ਧੈ 21.49 3.077.09 9.1 0 8 0. 8. 161. 14. 5. . 418 . 13. র - 9. a I - - ూ 2 ર્ણ વ વે ક ਟ ਟ C ਟ 5 E S 9 L 1 4. 8 . L P T L 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 G D 0 0 0 0 0 0 0 Pagina 52 । ਰੇ EP ETF ETF (CAD-HEDGED) ETF ETF PENSIONES PENSIONES READINESS ECONOMY MARKETS FB TOTAL INTERNATIONAL STOCK ETF 1 FP 3, ETF Eb SOSTENIBLE RENTA VARIABLE GLOBAL 201 COLECTIVOS RENTA VARIABLE MIXTA2,FONDO DE EB COLECTIVOS RENTA VARIABLE MIXTA SANTANDER COLECTIVOS RENTA VARIABLE MIXTA MSCI INTERNATIONALDEVELOPED SUSTAINABLE EUROPAPENS IONES EX US CARBON TRANSITION INDEX ETE EAFE LEADERS INDEX ETF 그러나 된 PENSIONES E D CONSERVADOR, FI 50. FIJA MIXTA 2 FONDO DE PENSIONES RESPONSABILIDAD SOLIDARIO FI 13 11 2 DIVIDENDINDEX PENSIONES ETE MODERADO, FI NARANJA DINAMICO, FI TARGET STOXX FACTOR EPSV V9512164 VALUE FACTOR ETF MULTIFACTORETF EPSV FUNDAMENTAL INDEX INDEX ETF FACTOR ETF Teste: INDEX FP EAFE ETF Eb FP FP FP PENSIONES DE PÜRÓ COLECTIVA la T AND CARBON INTERNATIONAL EQUITY MSCI EUROPE ETF EARE 2025, 2035, 2040. 2030. 2045 IMI EUROPA ETF FONDO l EPSV MUTUA UNIVERSAL MUGENAT FP 3.439 RENTA FI DIRECT FONDO NARANJA NARANJA NARANJA RENTA VARIABLE CLIMATE FI IMI ETF GLOBAL MONTHLY EAFE MSCI SIZE EAFE EP FF MSCI SOSTENIBLE 1 FP INTERNATIONAL ACWI LOW 1 CONFIANZA SANTANDER SANTANDER SANTANDER SANTANDER 5ANTANDER INTEGRAL GLOBAL PREVISION AHORRO 15 DIVIDENDO PREVISION AHORRO 17 EUROPE DIVIDENDO AHORRO 38 COLECTIVO PREVISION 28 NORLD MSCI AWARE MSCI ANARE MSCI INTL INTL FONDO FONDO FONDO MSCI AHORRO FUTURE PREVIFUTURO F.P. WORLD CORE CORE CORE CORE MSCI CORE MSCI MECI MSCI MSCI MSCI જુદા જુદાદ PROYECTO EUROPOPULAR દર્શકે INVERACTIVO PROYECTO PROYECTO PROYECTO PROYECTO DIRECT DIRECT DIRECT SANTANDER SANTANDER SANTANDER BLACKROCK SANTANDER SANTANDER SANTANDER SANTANDER SANTANDER BLACKROCK SANTANDER SANTANDER SANTANDER SANTANDER SANTANDER SANTANDER SANTANDER ISHARES ISHARES ISHARES ISHARES ISHARES I SHARES I SHARES ISHARES ISHARES ISHARES ISHARES I SHARES ISHARES ISHARES ISHARES ISHARES ISHARES Azionisti in proprio: ING ING ING ING |
FI SANTANDER SOSTENIBLE ACCIONES Ragione Sociale |
Proprio 0 |
Delega 1.194.122 |
Totale 1.194.122 |
|---|---|---|---|---|
| 3.430 Azionisti in delega: ਰੇ |
6-66

ಲ್ಲಿ ಒಂದು
weep
Jus
产
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | |
|---|---|
FAVOREVOLI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| Badge | Sociale Ragione |
Delega | Totale | |
|---|---|---|---|---|
| **D | GLOBAL INFRASTRUCTURE ETF ISHARES |
Proprio | 12-471.402 | 12.471.402 |
| **D | MSCI ITALY ETF I SHARES |
0 | 5.657.844 | 57-844 . ୧ ഗ |
| D D |
DIVIDEND ELE INTERNATIONAL SELECT ISHARES ISHARES |
0 | 029.729 ರ್ಯಾಯಿತು. ಆರ್ಥಿಕ ಮಾರ್ಯಕ್ಕೆ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾಡಿ ಮಾರ್ಯಾಯಿ ಮಾಡಿ ಮಾಡಿ ಮಾರ್ಯಾಯಿ ಮಾಡಿ ಮಾಡಿ ಮಾರ್ಯಾಯಿ ಮಾರ್ಯ ಮತ್ತು ಮುಖ್ಯಮ ಮತ್ತು ಮುಖ್ಯಮ ಮತ |
б .029.72 00 |
| **D | EAFE VALUE ETF KOKUŞAI ETF NSCI MSCI ISHARES |
0 | 936.971 ട. |
36.971 . ಇ ഗ - |
| **D | EUROZONE ETF MSCI ISHARES |
0 | 29.910 | 0 ਰੇ I 29. |
| **D | ETF EUROPE ISHARES |
0 0 |
S 0 11.870.71 |
5 870.71 T |
| **D | ETF EAFE NSCI ISHARES |
0 | б 416.00 5.662.03 1. |
0 416.80 1. |
| **D | MSCI ACWI EX U.S. ETF I SHARES |
0 | 1.477.403 2 |
ರ .477.403 5-662.03 ਜ 2 |
| **D | UTILITIES ETF GLOBAL ISHARES |
0 | 691-289 | 691.201 |
| **D | EAFE INTERNATIONALINDEX FUND MSCI ISHARES |
0 | S 623.14 P |
S 623.14 ট |
| **D | BLACKROCK UTILITIES INFRASTRUCTURE AND POWER OPPORTUNITIES TRUST | 0 | S 541.02 3. |
.541.025 ന |
| **D | ETF ISHARES MSCI ACWI |
0 | പ 2.274.58 |
. 274 . 585 ਟ |
| **D | ESGSTIFTUNGSFONDS DWS FOR GMBH INVESTMENT DHS |
0 | 0 1.000.00 |
.000.000 1 |
| **D | MULTIINDEX EQUITY FUND FOR GMBH INVESTMENT DHS |
0 | 79-464 | 79.464 |
| **D | ESG DYNAMIK DWS FOR GMBH INVESTMENT DHS |
0 | a ਰੇ ਤੇ 5. |
938 மா |
| D D |
EQUITY EUROZONE QI DWS FOR GMBH INVESTMENT DHS |
0 | 61.273 | 61-273 |
| BALOISE-AKTIENFONDS DWS FOR GMBH INVESTMENT DWS |
0 | 0 85.00 |
85.000 | |
| D D |
DYNAMIC OPPORTUNITIES VORSORGE AS (FLEX) DWS DHE FOR FOR GMBH GMBH INVESTMENT INVESTMENT DH5 DHS |
0 0 |
0 59-271 10.050.00 |
0.050.000 L |
| **D | ESGTOP WORLD DWS FOR CMBH INVESTMENT DWS |
0 | 0 120.00 ব |
.120.000 9.271 S |
| **D | VORSORGE AS (DYNAMIK) DWS FOR GMBH INVESTMENT DWS |
0 | S 146.66 |
146.665 प |
| **D | LOEWEN AKTIENFONDS FOR GMBH INVESTMENT DWS |
0 | 0 55.00 |
5.000 S |
| **D | DAS GOTTLIEB DAIMLER AKTIENFONDS FOR GMBH INVESTMENT DWS |
0 | 307.878 | 07.878 ದ |
| **D | TOPDIVIDENDE DMS FOR ਵਮਰਮ INVESTMENT DWS |
3.087.582 ಕ |
-087.582 3 3 |
|
| **D | DHS AKTIENFONDS E ON FOR GMBH INVESTMENT DMS |
ర్ ర | 0 75.00 |
000 75. |
| **D | DWS SACHWERTE FOR GMBH INVESTMENT DWS |
0 | 231.144 | 231.144 |
| **D | ALBATROS FONDS FOR GMBH INVESTMENT ાજરી, દિવસ તાલુકામાં આવેલું એક ગામ છે. ગામના લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામનાં મુખ્યત્વે ખેત-ઉત |
0 | 25.397 | 25.397 |
| **D | FOR DWS ESGBALANCE смвн INVESTMENT DWS |
0 | 276.157 | 157 276. |
| **D | PLC VII ISHARES |
0 | 026.864 ം. T |
. 026 - 864 8 T |
| **D | COMPANY LIMITED PUBLIC VI ISHARES |
0 | 127.192 | 192 127. |
| **D | COMPANY LIMITED PUBLIC II ISHARES |
0 | .239.944 B I |
ਰੇ ਕੇ ਪੈ .239. 8 1 |
| **D | COMPANY LIMITED PUBLIC IV I SHARES |
0 | 288.551 б T |
.288.551 б 1 |
| **D | COMPANY PUBLIC LIMITED I SHARES |
0 | -755.924 L |
ਰੇ 2 4 .755. 1 |
| **D | PUBLIC LIMITED COMPANY ు ISHARES |
0 | 1.385.417 | 1.385.417 |
| **D | COMPANY SUBLIC LIMITED III ISHARES |
0 | .422.182 2 T |
12.422.182 |
| **D | (DE) 600 UCITS ETF EUROPE STOXX ISHARES |
0 | 837.605 4 . |
. 837.605 b |
| D D |
ETF DE UCITS 600 UTILITIES 50 EUROPE STOXX ISHARES ISHARES |
0 | 5.069.264 | .069.264 S |
| **D | (DE) Succe UCITS ETF (DE) 200 UCITS LARGE EUROPE EUROPE STOXX STOXX ISHARES |
0 0 |
0 178.05 |
178.050 |
| **D | ETF (DE) ucirs EURO STOXX 50 CORE ISHARES |
0 | 03.051 79.335 4 . 4 T |
335 851 ਰੇ - . 483 . 1 14 |
| **D | SCREENED UCITS ETF DE SUSTAINABILITY EUROZONE DOW JONES ISHARES |
0 | 264 01. S |
264 01. UT |
| **D | (DE) EURO STOXY UCITS ETF ISHARES |
.775.532 2 |
532 .775. 6 |
|
| **D | PLACE ETF AURORA VANECK VECTORS MSCI INTERNATIONAL VALUE |
0 | 73.353 | 353 73 - |
| **D | EUND INSIGHTS RESEARCH GLOBAL AB |
0 | 65-610 E |
610 65. ల |
| **D | RETAIL EMPLOYEES SUPERANNUATIONTRUST | 0 | 310.631 | 310.631 |
| **D | INTERNATIONAL EQUITIES SECTOR TRUST | 0 | 17.776 | 17.776 |
| D D |
FUND PERPETUAL ECONOMIC DIVERSIFICATION GLOBAL EQUITY FUND PINEBRIDGE GLOBAL DYNAMIC ASSETALLOCATION |
0 | 100.233 | 00.233 L |
| **D | AWARE SUPER | C | 114-042 1.763.755 |
114.042 1.763.755 |
| Pagina 53 3.439 |
||||
| Azionisti: | 19 Teste: |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: ਹੈ |
CFF
EMARKET
SDIR
CRIFFED
g
3
Azionisti in delega:
Azionisti in proprio:
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | |
|---|---|
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| FAVOREVOLI |
|---|
| Badge | Sociale Ragione |
||||||
|---|---|---|---|---|---|---|---|
| **D | RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES | FÜND | Proprio | Delega 118.550 |
Totale 118.550 |
||
| **D | GLOBAL LISTED INVESTMENTS RUSSELL |
HEDGED FUND INFRASTOCTORE |
1 | 9 177.18 |
177.186 | ||
| **D | EMERGENCY SERVICES SUPERANNUATION | SCHEME | C | 9 26.18 |
26.186 | ||
| **D | SUBER GROUP COMMONWEALTH BANK |
0 | 912 305. |
912 05. E |
|||
| D D |
GLOBAL SHARE FUND (SCREENED) REALINDEX |
216.072 | 216.072 | ||||
| **D | INVESTMENTS SUSTAINABLEGLOBAL SHARES RUSSELL INVESTMENTS LOW RUSSELL |
EX FOSSIL SHARES CARBON GLOBAL |
FUEL \$ FUND LVL 3 | 0 | 13.210 | 13.210 | |
| **D | SUPER GROUP COMMONWEALTH BANK |
FUND | 032 124. |
124-032 | |||
| **D | BANK OF PEOPLE, S |
93.779 | 93-779 | ||||
| **D | CHINA BANK OF CHINA PEOPLE`S |
.302.735 ণ |
.302.735 ম |
||||
| **D | FLOURISH | 0 | 617 200. 2. |
2.200.617 | |||
| INVESTMENT CORPORATION | 709 86. S |
586.709 | |||||
| D D |
SKANDINAVISKA ENSKILDA BANKEN AB (PUBL) | BRANCH LUXEMBOURG l |
.638.091 L |
.638.091 1 |
|||
| *** | MACKENZIE GLOBAL LEADERSHIP IMPACT ETF | 176 য . |
4.176 | ||||
| **D | B. HAWKES JAMES OPCO LLC RES |
160 24. |
160 24 - |
||||
| **D | GLOBAL SUSTAINABLE BALANCEDCLASS AGE |
ર ર દ | 656 | ||||
| **D | AGFIQ ENHANCED GLOBAL INFRASTRUCTURE ETF | 317 209. |
317 209. |
||||
| **D | GLOBAL ASSET ALLOCATION PRIVATE CI |
POOL | 595 39. ਟ |
ર વે રે 239. |
|||
| **D | MINDMISE ASCI | INDEX NON-LENDING, | 314.033 | 314.033 | |||
| **D | RENAISSANCE INTERNATIONAL EQUITY PRIVATE POOL EAFE |
ORG. ЕХЕМРТ FUND FOR |
271.432 | 271.432 | |||
| **D | ASSURANCE LIFE CANADA THE |
COMPANY | 48.354 89.963 |
ਤੇ ਦੇ ਪ 8. ਕਾ |
|||
| **D | FUND INDEX INTERNATIONAL CIBC |
ದ | ਰੇ ਦੇ ਤੋਂ 8 ਤੇ . C |
||||
| **D | EUROPEAN INDEX FUND CIBC |
||||||
| **D | CIBC | ||||||
| **D | EQUITY INDEXPOOL INTÉRNATIONAL |
520 10. |
520 10. |
||||
| ÉUROPEAN EQUITY FUND AGE |
111.416 | 111.416 | |||||
| **D | REAL ASSETS FUND GLOBAL AGE |
55.066 | 55.066 | ||||
| **D | FUND GLOBAL EQUITY HIGHSTREET |
77 32. |
32.772 | ||||
| **D | INTERNATIONAL EQUITYFUND HIGHSTREET |
A | 17.630 | 17.630 | |||
| **D | INTERNATIONAL EQUITY FUND | .789.134 T |
1.789.134 | ||||
| **D | EQUITY POOL MACK EAFE |
વેવે ર 204. |
ਰ 5 ర్ 04. ਟ |
||||
| **D | GLOBAL WOMAN`S LEADERSHIP FUND MACKENZIE |
б 6.38 |
389 ર. |
||||
| **D | TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX | ETF | 2.190 | 190 2. |
|||
| **D | INTERNATIONAL EQUITY POOL IMPERIAL |
206.103 | 103 06 - ਟ |
||||
| **D | CIBC PENSION PLAN | 12.046 | 12.046 | ||||
| D D |
GLOBAL CANADA LIFE |
INFRASTRUCT EQUITY FUND | 16.598 | 16.598 | |||
| **D | PURPOSE INTERNATIONAL DIVIDEND FUND EQUITY INDEXETF INTERNATIONAL CIBC |
ਕੇ ਤੋਂ ਕੋ రు |
ਰੇ ਤੇ ਰੋ ട്. തി |
||||
| **D | INTERNATIONAL EQUITYINDEX FUND TD EMERALD |
26.946 | 26.946 | ||||
| **D | GREENCHIP GLOBAL MACKENZIE |
FUND CAP ENVIRONMENTAL ALL |
.637.496 T 1 I |
. 637 . 496 L |
|||
| **D | GLOBAL LOW VOLATILITYEQUITY FUND MACKENZIE |
.743.227 18.381 |
.743.227 381 18. 11 |
||||
| **D | EQUITY INTERNATIONAL MACKENZIE |
ETF INDEX |
ਬ ਦੇ ਕੇ 201. |
859 201. |
|||
| **D | IG MACKENZIE GLOBAL | INFRASTRUCTURE CLASS | 122.638 | 122 - 630 | |||
| ** D | OVERSEAS EQUITY POOL IMPERIAL |
859 41 - |
8 ਦ ਰ 41. |
||||
| **D | GLOBAL GREENCHIP MACKENZIE |
FUND ENVIRONMENTAL EQUITY |
442.631 | 442.631 | |||
| **D | GLOBAL GREENCHIP MACKENZIE |
EQUITY POOL | .195.000 T |
-195.000 L |
|||
| **D | MACKENZIE | GREENCHIP GLOBAL ENVIRONMENTAL FUND | 250 26 |
250 26. |
|||
| **D | GLENCORE CANADIAN PENSION THE |
FUND ASSETS FUNDS TRUST-REAL |
29-65 | 55 ਰੇ ' ୧ ਟ |
|||
| **D | STRATEGIC FUNDS BLACKROCK |
183 186. 6. |
183 86. 6.1 |
||||
| **D | BLACKROCK GLOBAL INDEX FUNDS | .117 60 b |
117 60 - 0 |
||||
| **D | DNS INVEST | 3.866.923 L |
13.866.923 | ||||
| Pagina 54 | |||||||
| Azionisti: | 3.439 | Teste: | 19 | ||||
| Azionisti in proprio: | 0 | Azionisti in delega: | 3.430 | ||||
EMARKET
SDIR
SDIR
10000
1100
Azionisti in delega:
Azionisti in proprio:
Assemblea Ordinaria del 10 maggio 2023
| LISTA ESTTO DELLE VOTAZIONE | Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI |
|---|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MULTI ASSET PIR FUND DWS |
590.000 | 590.000 | |
| **D | FIXED MATURITY DWS |
0 | 184.673 | 184.673 |
| D D |
FOR DWS ESG EUROPEAN EQUITIES SA FOR ARERO DER WELTFONDS SA DWS INVESTMENT INVESTMENT DMC |
200.217 424.881 |
נגש 208.217 424 - |
|
| **D | SICAV GLOBAL ADVISORS LUKEMBOURG STATE STREET |
. 346 . 549 ਟ |
.549.346 ਟ |
|
| **D | BENSION INVESTMENTS EUROPEAN ALLIANZ |
7.421.687 | 87 .421,6 1 |
|
| **D | AZ EURO INVESTMENTS S.A. | 0 | 30 ట ഹ . 30! |
30 ర్ 5. 30 ﺎ |
| D D |
STEERS SICAV COHEN AND XTRACKERS |
0 0 |
.707 115 . 450 б S ರ ਟ |
.450.115 9.707 ച 24 |
| **D | GOLDMAN SACHS FUNDS | 0 | 311 ნ - 4 T 9 |
I 6-419-31 |
| **D | RAIF FCP PINEBRIDGE INVESTMENTS |
0 | 76 0 21 ો |
121.076 |
| **D | AXA WORLD FUNDS | 0 | 00 . O 0 .20 b |
200.000 0 |
| **D | DMS INVEST II | 0 | 0 0 S 0 .21 ﺎ |
0 8 0.5 .21 H |
| **D | ZURICH | 76 . 4 8 P |
48.476 | |
| **D | DWS INVESTMENT SA FOR DWS MULTIOPPORTUNITIES | 00 0 | ਤੇ ਕ 47.122 . B б 9 S |
47.122 569.834 |
| D D |
GLOBAL ADVANTAGE FUNDS DWS CONCEPT |
.000 0 2.50 ﺎ |
0.000 50 12. |
|
| **D | ETF ALPS INTERNATIONAL SECTOR DIVIDEND DOGS |
o o | 9 53 702 |
2.536 70 |
| **D | ABERDEEN GLOBAL INFRASTRUCTURE FUND | 0 | 500 203 |
203.500 |
| **D | MASTER TRU UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN |
0 0 | S 9 ్ 079. 2. |
079.365 2. |
| **D | INC BEAR CREEK |
ਨ 5 . O 8 ਬਾ |
0.052 -4 |
|
| D D |
ETF DIVIDEND COVERED CALL CP INTERNATIONAL PARTNERS HIGH EUROPE BNQ |
0 0 | ਕੇ ਪੈ t ತಿ - Ө ರ್ಗ ਾ 3 794 ਟ |
24.557 .794.844 ల |
| **D | COLLEGE RETIREMENT EQUITIES FUND | 0 | ದ 0.07 el 27. |
610.073 7. ਟ |
| **D | EQUITY FUND CHOICE INTERNATIONAL SOCIAL TTAACREF |
0 | б S 6.1 વે છ ไ |
ర్ 466.15 1 - |
| **D | INDEXEMP LEADERS દર્ડિ EAFE BMO MSCI |
0 | 70 6.1 ம் |
56.170 |
| **D | MASTER FUND LIMITED CAPULA TAIL RISK |
0 | ਕ .76 1~ |
7.764 |
| **D | EQUITY LLC GLOBAL SCREENED COMMONFUND |
0 | 00 . 8 9 L |
16.800 |
| **D | PUBLIC LIMITED COMPANY (IE) XTRACKERS |
o o | б ਦੇ ਪ I ਰੇ ਹ E |
6 11.54 б 1. ల్ |
| **D | STANDARD GLOBAL INFRASTRUCTURE INCOME FUND ABERDEEN |
0 L 0 б 807.9 - 2 ışı L T |
900 151.291 807 . L |
|
| D D |
COMPANY INTERNATIONAL DEVELOPED MARKETS FUND CENTRAL PROVIDENT FUND BOARD INVESTMENT RUSSELL |
00 | 5 8 . 2 2 ୧ |
S 26.28 |
| **D | OF NEW YORK CITY UNIVERSITY |
0 | 17 8.80. |
8.805 |
| **D | DE TRANSPORT DE MONTREAL SOCIETE DE LA DERETRAITE DES REGIMES FIDUCIE GLOBALE |
0 0 | 99.700 | 99.700 |
| * * D | NEI GLOBAL EQUITY POOL | 2 118.52 |
118.522 | |
| **D | COMPANY PUBLIC LIMITED FUNDS ANIMA |
9 .297.08 m |
297.086 5 |
|
| **D | MERCY HEALTH BON SECOURS |
ਟ .049.25 โ |
049.252 T |
|
| D D |
FUND FUND INVESTMENT INVESTMENT PENSION PENSION GOVERNMENT GOVERNMENT |
000000000 | ದ . 324.574 27.013.62 12 |
324.574 7.013.623 2. I N |
| **D | FUND INVESTMENT PENSION GOVERNMENT |
S 17 .431. 14 |
175 14-431. |
|
| **D | OF CALIFORNIA UNIVERSITY THE or THE REGENTS |
523 168. 1 |
રૂટરૂ .168. 1 |
|
| * * D | SOLUTIONS FUND GLOBAL ENERGY INC CALVERT FUND IMPACT CALVERT |
ಕ 179.08 |
083 ਹੈ ਹੈ ਕੇ |
|
| **D | INTERNATIONAL INDEX PORTFOLIO EAFE CALVERT VP |
362 66 - |
66.362 | |
| **D | INSTITUTIONAL TRUST EX-U.S. EQUITY INDEX GLOBAL FIDELITY |
0 | 311 ાં |
1.311 |
| **D | FUND UTILITIES VIP GLOBAL GUARDIAN |
0 | 7.011 B E |
87.011 E |
| **D | PORTFOLIO DIALDEND TANGERINE |
0 | 17 8. 8 1 |
.175 88 ﺎ |
| D D |
BALANCED INCOME PORTFOLIO FOUNDATION HEALTH COLORADO TANGERINE ાપલિટ |
0 0 |
029 621 6 - 8 - T 5 |
. 029 16.621 ம ப் |
| **D | FUND COMPANY MULTIASSET GROWTH STRATEGY INVESTMENT RUSSELL |
611 3. C |
611 33 |
|
| **D | TAXMANAGED REAL ASSETS FUND COMPANY INVESTMENT RUSSELL |
044 0. 22 |
. 044 220 |
|
| Pagina 55 | ||||
| Azionisti: | 19 l'este 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
િલ્લ
EMARKET
SDIR
CRIFFED
ಗಿದ್ದ
3
Assemblea Ordinaria del 10 maggio 2023
| Uggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLI | |
|---|---|---|
| LISTA ESITO DELLE VOTAZIONE |
| Totale 154 3. Delega 154 ਤੇ |
82 51.9 82 . ਰੋ L 9 |
435.216 435.216 |
15.330 -330 15 |
60.218 60.218 |
890 ਬੇ ਕੇ ਰੇ ਹੋ ਹੈ 90 899 - B |
124.938 38 124.9 |
45.137 45.137 |
584.048 1 .584.048 T |
188.889 L .881 583 I |
புர 984.88 1. 85 1.984.8 |
084.531 1. . 531 . 084 L |
46.894 ਰੇ ਪੋ 46.0 |
834.743 2. . 834 . 743 ਟ |
583.742 583.742 |
8 72.38 00 - 38 72 |
8 4.69 B 4 - 69 |
575.938 ਟ 8 575.93 2. |
927.290 0 - 29 927 |
19-636 19.636 |
158-212 158.212 |
67.185 S 67.18 |
926.723 1 - 926.723 1 |
8 37.80 0 37.80 |
837.981 ਟ L 837.98 ਟ |
1.706.641 .706.641 ้ H |
367.311 67.311 క |
880 086. I 0 ୧୫ 086. 1 |
80.852 80.852 |
379-852 379-852 |
32.091 58.996 9 32.091 58.99 |
86.289 б 06.28 |
86.462 6 - 462 0 |
09 - 448 L 109.448 |
35.373 ไ 135.373 |
284.058 84.058 ਟ |
319.572 572 319. |
45-549 45.549 |
671.822 671.822 |
.267 ਰੇ ਦੇ 5.267 б |
17.190 17.190 |
407 - 568 2.767 2.767 568 407 . |
29-483 9-483 ਟ |
159.615 159.615 |
5.263 ਬੇ 263 4 5 - |
415.803 415.803 |
.171 279 171 279 |
.247 212 47 . 2 212 |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio 0 |
0 | 0 | 0 | 0 | 0 | C | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | C | 0 | 0 | 0 | 0 | 0 | 0 | 0 | o o o | C | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | o a | 0 | 0 | 0 | 0 | |||||||||
| Pagina 56 | ||||||||||||||||||||||||||||||||||||||||||||||||||
| PLAN | J | PORTFOLIO | EQUITY FUND | FUND | VALUE FUN L |
ﺍﻟﻜﻠ | EQUITY HEDG | FUND | FUND | 19 | 3.430 | |||||||||||||||||||||||||||||||||||||||
| BALANCED RETIREMENT FUND | SERIESNEW WORLD FUND | FUND | COMPANY | COMPANY V PLC | PENSION FUND | INDEX PORTFOLIO Exus EQUITY CAP |
INTERNATIONAL DEVELOPED EQUILY INDEX PORTEOLIO | ASSOCIATI ENDLOYEES BELIBEMENT |
MBH FOR DC EUROLAND EQUITIES | ALLOCATION FUND | DEFERRED COMPENSATION AND THRIFT | GLOBAL INVESTORS GMBH FOR CONVEST 21 VL | INDUSTRIAL INNOVATION INDEX ETF | BENEFITS PLANS | PLACEMENT DUQUEBEC | SCHRODERS GLOBAL MULTIASSET | PLAN CORPORATION SAVINGS PLUS 401(K) |
INTERNATIONAL COMPANY TAXMANAGED |
INFRASTRUCTURE GLOBAL |
TRUST-LORD ABBETT INTERNATIONA | FTSE ITALY ET FRANKLIN l TRUST |
LIBERTYQ INT'L TRUST-FRANKLIN |
ETF | GLOBAL ALLOCATION VP | PORTFOLIO | MASTER TRUST | FUND (CANADA) |
INTERNATIONAL EQUITY | FUND | VIP | INTERNATIONALFUND | FUNDSPIC | TRUST | FOR FONDIS GMBH |
Teste: | Azionisti in delega: 6 |
||||||||||||||
| Ragione Sociale HARTFORD AARP |
HARTFORD REAL ASSET FUND | FUNDS INSURANCE AMERICAN |
JNL/JPMORGAN GLOBAL ALLOCATION FUND | INTERNATIONAL CORE EQUITY JNL/DFA |
LIMTED PUBLIC OPENWORLD |
INVESTMENT RUSSELL |
ISLANDS CHAMBER OF COMMERCE CAYMAN |
ALL GLOBAL STREET STATE |
STREET STATE |
LOS ANGELES COUNTY | KAPITALANLAGEGESELLSCHAFT INTE |
BLACKROCK GLOBAL ГЛІБ |
OF LOS ANGELES COUNTY |
PUBLIC MARKETS I LLC мвя |
ALLIANZ | TECH AND MSCI BMO |
ETF INDEX EAFE MSCI вмо |
INTERNATIONAL DIVIDEND ETF амо |
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FINREON SGKB CARBON FOCUS | RETIREMENT AND ALASKA OF STATE |
DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUS | ET DEPOT DE CAISSE |
I TRUST FUNDS BRIGHTHOUSE |
MICROSOFT | INVESTMENT RUSSELL |
COMPANY INVESTMENT RUSSELL |
LORD ABBETT SECURITIES | ETF TEMPLETON FRANKLIN |
ETF TEMPLETON FRANKLIN |
FRANKLIN INTERNATIONAL EQUITY INDEX | HAND COMPOSITE EMPLOYEE BENEFITTARDST | INTERNATIONAL STOCK MORGAN STANLEY TRANSAMERICA TRANSAMERICA |
PORTFOLIO BALANCED TANGERINE |
GROWTH BALANCED TANGERINE |
AMERICAN FUNDS INSURANCE SERIESINTL GROWTH AND INCOME | PLANS RETTREMENT ROCHE U.S. |
INTERNATIONAL EQUITY LAZARD |
T ROWE PRICE SELECT MASSMUTUAL |
BUILDER INCOME GLOBAL DWS |
BUILDER INCOME GLOBAL DMS |
INVESCO ADVANTAGE | MANAGER MÜLTI STYLE MULTI |
INSTITUTIONAL RETIREMENT FOUNDATION SYSTEMS CISCO |
INVESTORS GLOBAL ALLIANZ |
MObile INTERNATIONAL EQUITY INDEX POOL | THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | REUMBLINE INTERNATIONAL POOLED INDEX IRUST | 3.439 | ||
| 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: |

Azionisti in proprio:
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESTTO DELLE VOTAZIONE |
FAVOREVOLI
| Badge | Ragione Sociale | ||||||
|---|---|---|---|---|---|---|---|
| **D | RHUMBLINE LOM CARBON INDEX EUNDLIC | Proprio | Delega | Totale | |||
| **D | PORTFORTO MSCI GLOBAL SPDR |
STOCK MARKET ETF | 0 0 |
188.609 | 188.609 | ||
| **D | FOSSIL FUEL EAFE NSCI SPDR |
FREE ETF RESERVES |
0 | 144.666 75.742 |
75.742 | ||
| **D | EAFE SPDR MSCI |
STRATEGICFACTORSETF | 0 | 224.632 | 144.666 | ||
| **D | MOUNT HATTON | INVESTMENTS LIMITED | 224.632 | ||||
| **D | COMMON UCITS MERCER |
CONTRACTUALFUND | 0 0 |
0.193 ﺎ |
18.193 | ||
| **D | OIE MERCER |
COMMON CONTRACTUAL FUND | 26.954 | 26.954 | |||
| **D | TACTICAL STRATEGIES LTD MARIGOLD |
0 0 |
715.676 2. |
2.715.676 | |||
| **D | REAL ASSETS INCOME ETF NBI GLOBAL |
8.258 ದ |
38.258 | ||||
| **D | RETIREMENT STATE MARYLAND |
SYSTEM PENSION |
0 | .140.763 2 |
140.763 ਟ |
||
| **D | TALCOTT RESOLUTION LIFE INSURANCE | COMPANY | 0 | ਉ ਧੋ 276.3 |
276.384 | ||
| **D | GRUMMAN CORPORATION VEBA NORTHROP |
TRUST | 0 | ୧୦ . 2 ਟ 1 |
72.260 | ||
| **D | PREMIA SMART MUSASHI |
I MASTER FUND |
0 | S 26.12 |
26.125 | ||
| **D | ALLIANCEBERNSTEIN EUROPEAN OPPORTUNITIES SERIES | 0 | 0 9.32 |
9.320 | |||
| **D | ROWE . Fi |
0 | 728.747 2. |
.728-747 ਟ |
|||
| **D | GROUP GLOBAL YORK PRICE OF NEW CITY |
ALLOCATIONFUND TRUST |
0 | 0 23.24 |
0 23.24 |
||
| **D | PAX | INTERNATIONAL SUSTAINABLE ECONOMY FUND | 0 | 597.143 3. 2 |
597.143 3. 2 |
||
| **D | DYNAMIC RAFI PES : PIMCO |
MULTI-FACTOR INTERNATIONAL EQUITY | ETF | 0 | 297.743 | 97.743 ਟ |
|
| **D | FUND TRUST ALASKA COMMON |
0 | 9 .74 74 |
74.746 | |||
| **D | FOR СМОН INVESTMENT DWG |
BG 2 DEAM-FONDS |
0 | 67-103 て |
67.103 ਟ |
||
| **D | FOR GMBH INVESTMENT DWS |
РМА FONDS DEAM |
0 | 5.000 L |
15.000 | ||
| **D | FOR GMBH INVESTMENT DWS |
ABFI FONDS DEAM |
0 | .800 8 |
8.800 | ||
| **D | LTD FUND INCUBATION THE |
0 | 30-000 | 30.000 | |||
| **D | FOR GMBH INVESTMENT DMS |
REBS DEAM-FONDS |
0 | 3.597 | 3.597 | ||
| **D | FOR GMBH INVESTMENT DWS |
KDE 1 FONDS DEAM |
0 | 67.225 | 67.225 | ||
| **D | FOR GMBH INVESTMENT ਸਮ ਤੇ |
2 WOP FONDS DEAM |
0 | 16.000 | 16.000 | ||
| **D | INVESTMENT ાજરી, રજકો તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં પ્રાથમિક શાળા, પંચાયતઘર, આંગણવાડી તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં પ્રાથમિક શાળા, પંચ |
0 | 105.619 | 105.619 | |||
| **D | FOR GMBH |
DEAMFONDS KGPENSIONEN | 0 | 48.546 | 48.546 | ||
| **D | THRIVENT INTERNATIONAL ALLOCATION THRIVENT INTERNATIONAL |
INDEX PORTFOLIO | 0 | 87.659 | 87.659 | ||
| **D | FUND | G | 442.464 | 442-464 | |||
| INVESTMENTS RUSSELL |
POOL EQUITY GLOBAL FOCUSED |
C | 16.992 | 16-992 | |||
| D D |
INVESTMENT GMBH DHS |
PTF FONDS FOR DEAM |
0 | 42.300 | 42.300 | ||
| GMBH DWS INVESTMENT |
SVSW FONDS FOR DEAM |
0 | 9-830 ਟ |
29.830 | |||
| **D | STOCK GLOBAL IHRIVENT |
FUND | 0 | 339.303 | 339.303 | ||
| **D | LOM VOLATILITY EQUITY THRIVENT |
FUND | 0 | 8.722 | 8.722 | ||
| **D | STOCK GLOBAL THRIVENT |
PORTFOLIO | 0 | 254-953 | 254-953 | ||
| **D | LOW VOLATILITY THRIVENT |
PORTFOLIO EQUITY |
0 | 14.846 | 4.846 L |
||
| **D | CORE INTERNATIONAL THRIVENT |
FUND EQUITY |
0 | 359.705 | 359-705 | ||
| **D | INVESTMENTS RUSSELL |
LLC INTERNATIONAL EQUIT FUNDS. INSTITUTIONAL |
0 | 328-090 | 328.090 | ||
| **D | INVESTMENTS RUSSELL |
LLC MULTI ASSET FUNDS INSTITUTIONAL |
COR E PLUS FUND | 0 | 340.099 | 340-099 | |
| D D |
INVESTMENTS RUSSELL |
LLC GLOBAL LISTED INFRA FUNDS, INSTITUTIONAL |
0 | 338-634 | 338-634 | ||
| **D | KOREA OF KOREA OE THE BANK BANK THE |
0 | 199.964 | 199.964 | |||
| **D | IRELAND UNIT STATE STREET |
TRUST | 0 | 551.744 | 551 - 744 | ||
| **D | STATE OF THE. |
0 | 776.710 | 776.710 | |||
| **D | CONNECTICUT, GROUP OF SERVICES |
THROUGH IT'S TREASURER ACTING |
0 | 7.710.642 | 710.642 7. |
||
| **D | AMERICA KONG SPECIAL HONG |
INC | 0 | 6.285 ਟ |
S 26.28 |
||
| **D | EMPLOXEES . PUBLIC |
REGION GOVERNMENTEXCHANGE FUND FUND ADMINISTRATIVE CARE LONG-TERM |
0 | . 539 10 |
б ਟ ਤੋ 10. |
||
| **D | EUROPE ETFS SPDR SSGA |
LIMITED PUBLIC I |
972.519 3. |
972-519 3. |
|||
| **D | EUROPE ETES SPDR SSGA |
COMPANY | 0 | -116.947 1 |
116.947 T |
||
| **D | LLC TJ-QUALIFIED |
COMPANY II PUBLICLINITED |
. 975 5.588 |
588.975 5. |
|||
| 0 | 224.463 | 224.463 | |||||
| Pagina 57 | |||||||
| Azionisti: | Teste: 3.439 |
। ਹੈ | |||||
| Azionisti in proprio: | Azionisti in delega: б |
3.430 |
િંદ્યા
EMARKET
SDIR
CRTIFIED
1
g
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESTTO DELLE VOTAZIONE |
|
|---|---|
| FAVOREVOLI |
|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| D D |
ETF ETF TRUST-AVANTIS INTERNATIONAL EQUITY INVESTMENT MANAGEMENT INC AMERICAN CENTURY CENTURY AMÉRICAN |
0 | 33.175 5 |
33.175 3 |
| **D | FUND EQUITY ETF TRUST-AVANTIS INTERNATIONAL CENTURY AMERICAN |
0 0 |
2.617 142 34 - |
2.617 34.142 |
| **D | FUND EQUITY INT JAPAN LIMITED INVS MTBJ FRANK RUSSELL |
0 | 182.806 | 82.806 T |
| D D |
TRUST 1 DWS-FONDS CAESAR UNIT FUNDS MULTIMANAGER GLOBAL DWS INVESTMENT GMBH FOR ARCHITAS |
0 0 |
107.000 66.040 |
66.040 107.000 |
| **D | TRUST PLAN MASTER RETIREMENT COMPANY DISNEY WALT THE |
0 | 889 247. |
247.889 |
| **D | CONCEPTKALDEMORGEN MOTHER FUND FOR DWS TRUST BANK OF JAPAN,LTD. AS TRUSTEE MASTER THE |
0 | 575 275. |
275.575 |
| **D | PORTFOLIO DYNAMIC ALLOCATION GLOBAL TRUST I AB |
0 | ਰੇ ਪੈ ਰੋ 361. |
361.949 |
| **D | FUND INTERNATIONAL EQUITY BEACON AMERICAN |
0 | 000 82. 8 |
82.000 8 |
| **D | 1 GMBH FOR DEAMFONDS WOP DWS INVESTMENT |
0 | 132.174 | 132.174 |
| *D D |
EQUITY FD SECURITIES TRUST-LORD ABBETT INTERNATIONAL LORD ABBETT |
0 | 478.350 | 478.356 |
| **D | NICOLA GLOBAL EQUITY FUND rrc FEG SELECT, |
0 0 |
82.625 ਟ |
82.625 ਟ |
| **D | INTERNATIONAL RESPONSIBLE INDEX FUND CALVERT |
0 | 687 .489.000 398. T |
98.687 -489.000 E T |
| **D | PARAMETRIC INTERNATIONAL EQUITYFUND | 0 | 988 241. |
241.988 |
| **D | RICHARD BERNSTEIN ALL ASSET STRATEGY FUND EATON VANCÉ |
G | 039 80. t |
039 180 - |
| **D | INC FOUNDATION PARKER |
0 | 73-353 | 73-353 |
| D D |
FRANKLIN FTSE EUROPE HEDGED ETF l FRANKLIN TEMPLETON ETF TRUST |
C | 10.602 | 10.602 |
| **D | MASTERCUSTODI AN OF PINEBRIDGE THEMATI AS ITS CAPACITY INTERNATIONAL EQUITYPORTFOLIO BANK CO. LT D IN FUBON COMMERCIAL TAXMANAGED TAIPET |
0 | 123 40. |
40.123 |
| * D | BCE TRACKER INDEX INTERNATIONAL EQUITY SCOTIA |
0 0 |
вод 91.174 77. |
77.809 91.174 |
| **D | EQUILY INDEX VP INTERNATIONAL TRANSAMERICA |
0 | 37.281 | 37.281 |
| **D | FUND FUNDS-INVESCO GLOBAL TARGETED RETURNS SERIES MÜLTI INVESCO |
0 | .350 | 1.350 |
| **D | INTERNATIONAL SMALL CAP GROWTH FUND BLAIR WILLIAM |
0 | 7.784 | 7.784 |
| **D | CDC PENSIOENFONDS ING STICHTING |
0 | 95.739 I |
95.739 I |
| **D | FUND SUSTAINABILITY FUNDS-ENVIRONMENTAL VANECK |
0 | 0 7.60 |
୧୦୦ 7. |
| **D | PIC RUSSELL INVESTMENT CONFANY |
0 | 075 643. |
643.075 |
| **D | INT/RELLON WSCI MORID INDEX EUND | 0 | 771 52. |
52.771 |
| **D | PORTFOLIO GROWTH EQUITY TANGERINE |
0 | 164.402 | 64.402 L |
| D D |
CHURCH OF CHRIST SCIENTIST RUSSEL FIRST FRANK |
0 | 030 19. |
19.830 |
| **D | INSTITUTIONAL FUNDS FLC INTERNATIONAL INDEX FUND ടടക്കു ГЛІБ |
0 | ਤੇ ਹੋ ਪੈ 13. |
13.394 |
| **D | FÜ DEVELOPED INTERNATIONAL 150 SSGA LVIP |
170.072 123.033 T |
.170.072 L |
|
| **D | FOND INTERNATIONAL CORE EQUITY DIMENSIONAL LVIF |
556 125. |
125.556 123.033 |
|
| * D | COMPANY COLLECTIVE TRUST PRUDENTIAL TRUST |
072 138. |
38.072 I |
|
| **D | BLC MGI FUNDS |
556.222 | 556.222 | |
| **D | MULTIASSET FACTOR EXPOSURE FUND RUSSELL INVESTMENTS |
787 72. |
72.787 | |
| **D | COMMON PENSION FUND D JERSEY NEW OF STATE |
675 . 842 . ব |
. 842. 675 য |
|
| **D | STICHTING NN CDC PENSIOENFONDS | 173 34 - |
. 173 34 |
|
| D D |
RISK PORTFOLIO I -PANAGOR A GLOBAL DIVERSIFIED TRUST FUNDS BRIGHTHOUSE |
8 4 8 41. |
41.848 | |
| **D | PIMCO DIVIDEND AND INCOME FUND PIMCO RAE INTERNATIONAL FUND SERIES: SERIES: EQUITY EQUITY PIMCO PIMCO |
0 | 253 391 6. 536. 9 ไ |
-391 66.253 536 |
| * D | LIMITED KONG HONG PRODENTIAL |
560 . 013 - ా |
.813.560 ల |
|
| *D | FONDS TOCO DEAN FOR GMBH INVESTMENT DWS |
400 88. |
8-400 8 |
|
| **D | DEAMFONDSBCA 1 GMBH FOR INVESTMENT DMS |
454 б ల |
. 454 б E |
|
| * D * |
INTEGRATIE WERK EN (RE) STICHLING PENSICENFORDS |
873 511. |
.873 511 |
|
| **D | DEUK DEAM-FONDS FOR GMBH INVESTMENT DRS |
୧୦ ଲ 37. |
37.605 | |
| **D | CA IV DEAM FONDS FOR SABH INVESTMENT DWS |
057 0. ਟ |
0.057 2 |
|
| **D | RHEIN DEAM FONDS FOR GMBH INVESTMENT DWS |
114 5. б |
- 224 S б |
|
| Pagina 58 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: б |
682
EMARKET
SDIR
CRTIFIED
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | Uggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione | FAVOREVOLT |
|---|---|---|
| ----------------------------- | ------------------------------------------------------------------------------------- | ------------ |
| 70.000 218.363 ਰੇ 2 9 978.981 140.000 389-943 60.852 9 8 47 935 Totale 170.000 70.000 1.658.463 133.612 87.100 90.000 144.576 10.507 50.000 . 126-736 132.634 .340.724 .477.852 500.000 7.042 11.702 29 995 107 711 1 E 303.16 76. ୧୧. 20. T ಗಾ T ਟ 507 Delega 9 852 6 340.724 S 140.000 7.042 ਰ ਕੇ ਦ 70.000 87.100 144.576 389.943 0 218.363 66.166 477.852 500.000 170.000 107-711 70.000 658.463 133.612 90.000 978.981 303.168 132.634 11-702 ది 2 50.00 20.126.73 47.93 eo. 176. 10. ਰੇ . ১ |
.707.650 554 ਰਵਾ 575 ו 8 e ਰੇ 8 ਰੇ ਰੇ ਪੈਂ 307.340 8 143.656 780 974 540 09.020 49.676 63.718 63.519 345.878 819.270 . 848. 614 86.730 .441.884 14.33 8 132 31. ਰੇ ਪੈ - 16 - BE . 33. 39. 203 . 12. . 1 . 6 . 0 ﺎ t L ไ ా S 8 1 ಗ ਟ I € 9 974 ਸ ਤੇ ਕੇ ਖੋ 307.340 676 718 ਪ 6 0 614 540 ਰ ਦੇ ਹ 86.186 09.020 06.730 14.338 63.519 819.270 132.554 8 8 ર ર 57 ਰੇ 8 ર ર 78 345.87 707. 143. 139. ਕ 4 . 16. 203 - 33. . 441 . 848. 12. । ਦੇ ਤੋਂ ਥੋ ਤੇ 31 . O g 1 I I 5. |
|
|---|---|---|
| ದ ਟ 1 T ไ Proprio 0 0 0 0 0 C 0 C G 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 G |
E 8 દ ਟ ไ t E 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 |
|
| Pagina 59 | ||
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET GROWTH FUND 0 POOL |
EX NORTH AMERICA HIGH DIVIDEND YIELD IND VISION ETF PROUIFONDS SAA ETF VALUE FUND |
3.430 19 |
| CO NATL ASSOCMULTIPLE COLLECTIVE INVESTMENT FOS TR ENDURING ASSETS PORTFOLI THE INTERNATIONAL EQUITY PORTFOLIO INTERNATIONAL PORTFOLIO FUND FOR DEUTSCHE BERGBURG 15 TEACHERS, RETIREMENT SYSTEM TRUST COLLECTIVE INVESTMENT TRUST GROWTH PORTFOLIO GLOBAL INFRASTRUCTURE 1 SEBWI I ો ﻟﻠ CORE 1 SLM PMF RTU 65E I HG OKA NKS FONDS DEAM FONDS LW1 KLP EFS FONDS INTERNATIONAL EFFICIENT FONDS FONDS FONDS FONDS FONDS FONDS DEAMFONDS DEAMFONDS BOARD COMPANY OMSESIDIG LIVEORSAKRING TRUST DEAN POOL DEAM DEAM DEAM DEAM DEAM DEAM DEAM FACTOR ENHANCED STATE INVESTMENT INTERNATIONAL INSURANCE FOR FOR FUNDS FOR FOR FOR FOR FOR FOR FOR FOR FOR |
VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ALL MARKET TOTAL RETURN PORTFOLIO COLLECTIVE INVESTMENT TRUST LARGE COMPANY INDEX CAP-WEIGHTED, UNHEDGED FUND MULTIFACTOR DEVELOPED INTERNATIONAL FOR RMFFONDS FUND, INC COREEQUITY FUND PLANS INC. FUND FOR INI TRUST - AB INTERNATIONAL VALUE FUND FUND, INTERNATIONAL OPPORTUNITIES UNIVERSALINVESTRENTGESELLSCHAETMBH UNIVERSALINVESTRENTGESETTSCHAETWBH TRUST FIDELITY SERIES TAX EXEMPT RETIREMENT FUND INCOME INTERNATIONAL FIOND TOTAL RETURN VIS INFRASTRUCTURE TRUSTI CARBON ENERGY ETF INFRASTRUCTURE GLOBAL STRATEGIC ALTERNATIVE TRUST COMPANY GROUP EQUITY LLC |
Azionisti in delega: Teste: 3.439 6 |
| RUSSELL OVERSEAS EQUITY લખપત ન GMBH SMBH GMBH GMBH RUSSELL INVESTMENTS GMBH GMBH GMBH GMBH GMBH GMBH CABH HC CAPITAL TRUST- THE WELLINGTON TR TRUST STATE STATE STREET CCF EMPOWER ANNUITY Ragione Sociale DWS INVESTMENT INVESTMENT DEAM-FONDS CPT INVESTMENT INVESTMENT INVESTMENT INVESTMENT INVESTMENT INVESTMENT INVESTMENT INVESTMENT INVESTMENT INVESTMENT FARGO FARGO MICN COMMON CALIFORNIA MITMINGTON WASHINGTON WISDOMTREE FOLKSAM HELLS HELLS DAS DMS DWS DWS DWS DWS DWS DMS DWS DMIS DWS Badge |
FTSE DEVELOPED THE AB PORTFOLIOS AB FÜNDAMENTAL KAISER PERMANENTE SYLVAN PARTNERS, VALUE STEERS STEERS INV HANCOCK HANCOCK ADV HANCOCK STREET HANCOCK VANECK LOW INTI CANADA VANGUARD SST GLOB FIDEL LTY ം COHEN & CAN SCHWAB SCHWAB STATE COHEN JOHN JOHN JOHN JOHN AB AB AB |
Azionisti in proprio: Azionisti: |
EMARKET
SDIR
CRIFFE
2008
100
1/1
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | ||
|---|---|---|
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
FAVOREVOLI

િક્ષ્દ્
10 maggio 2023 16.27.23
FAVOREVOLI

10 maggio 2023 16.27.23
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| FAVOREVOL |
|---|
| Badge **D |
KONSUMENTKOOPERATIONENS PENSIONSSTIFTELSE Ragione Sociale |
Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | THE BANK OF KOREA | 94-886 | 94.086 | |
| **D | EXUS ETF MSCI ACMI SPDR |
10.456 | 10.456 | |
| **D | INTERNATIONAL DIVIDENDETF 5&P SPDR |
0 | 512.738 | 512.738 |
| **D | TRUST FUNDS TRUSTINT RESEARCH EQUITY PORTFO COMMON ATCH |
861 . 628 . ﺎ |
1.628.861 | |
| **D | FUND COMMON TRUST SSB MSCI ITALY INDEX SECURITIESLENDING |
371 . 806.049 204. 9 |
6.806.049 204.371 |
|
| **D | LENDING COMMON TRUST FUND SECURITIES ENHANCED WORLD STREET STATE |
700 9 - |
9.700 | |
| **D | - ALLIANZ THEMATICA FUND ALLIAN2 INTERNATIONAL INVESTMENT FUNDS |
ਦੇ ਕੇ ਰ 41. |
41.649 | |
| * * D | CURACAO PENSIOENFONDS VAN ALGEMEEN |
968 0. E t |
130.968 | |
| **D | EQUITY FUND BERNSTEIN UK ALLIANCE ES |
400 749. |
749.400 | |
| **D | VANGUARD FTSE GLOBAL ALL CAP INDEX FUND VIE ICVC |
320.538 | 320.538 | |
| **D | FUNDS ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND INV.SOLUTIONS MIDONS SCOTTISH |
0 | 4 5 .416. L |
.416.445 |
| **D | EX UK EQUITY FUND SPW MULTI-MANAGER EUROPEAN MULTI-MANAGER ICVC - ടുംബ |
.184.445 L |
.184-445 T |
|
| *D * D |
JAMES`S PLACE MANAGED GROWTH UNIT TRUST PENSION FUNDS LIMITED ST MANAGED NATHEST |
201 235. |
235.201 | |
| **D | PHILIPS PENSICENFONDS STICHTING |
807 8. 8 . 1 ਟ |
.188.807 ਟ |
|
| **D | TRUSTEE OF ST JAMES`S PLACE GLOBAL ABSOLUTE MATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS |
0 | 177 104.422 .875. ਟ |
-875.177 ਟ |
| **D | FUND FAMILY INVESTMENTS CHILD TRUSL |
0 | 173.232 | 104.422 |
| **D | RETURNS FUND OWNIS PORTEOLIO INVESTMENTS ICAC - OWNIS DIVERSIFIED |
0 व 6 8. |
173.232 8.096 |
|
| **D | এ ASSURANCE COMPANY (SOUTH AFRICA) LT MUTUAL LIFE OLD |
g | 29.412 | .412 29 |
| **D | (PUBL) TJANSTEPENSION AB KPA |
751 0. E |
30.751 | |
| **D | TJANSTEPENSIONSFORSAKRING AB (PUBL) KPA |
0 | 84.671 2.1 |
2.184-671 |
| **D | DEAMFONDS PG EQ FOR GMBH INVESTNENT DHS |
0 | 100 207. |
207.100 |
| **D | DEAM-FONDS MASP FOR GMBH INVESTMENT DWS |
0 | 000 ୧୫ - ો |
168.000 |
| **D | FOR MIFONDS 415 MANAGEMENT GMBH METZLER ASSET |
100 253. |
253.100 | |
| **D | HFT FOR ALLIANZGIFONDS INVESTORS GMBH GLOBAL ALLIANZ |
978 26. |
26.978 | |
| D D |
GSK FOR DEAMFONDS WELLINGTON COMPOUND GROWTH, L.P. GMBH DNS INVESTMENT |
732 15. ﺎ |
115.732 | |
| **D | T TRUST RETIREMENT MERCY HEALTH |
691 93 . |
93.691 | |
| **D | INDEX NONLENDING COMMON TRUST FUND EUROPE SCREENED MSCI ssB |
0 0 |
3 a3 26. T |
126.393 |
| * * D | TRUST FUND SCREENED NONLENDING COMMON ACWI EX USA IMI MECI SSB |
0 | 867 247.043 248. |
248.867 247.043 |
| **D | ENDURING FESELS BORTEOLIO WTCN DAILY |
0 | ਰੇ ਹੈ ਕ 425. |
425.904 |
| **D | INVEST FOSTR II WELLINGTON TR CO NATL ASSOCMULTIPLE COLLECTIVE 이러()은 |
0 | ਹੈ ਕੇ ਰੋ 357 - |
357 - 199 |
| **D | INFRASTRUCTURE INDEX NONLENDING COMMON TRUST FUND GLOBAL ടുമ ssB |
0 | ୧ ୧ 9 833. 2 |
୧୧୧ 2.833. |
| **D | INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS |
0 | . 115 - 686 I |
1.115.686 |
| **D | VANGUARD ENERGY FUND | 0 | । ୧ ବ 5.297. L |
ਹ ਦੇ ਕ 5.297. ﺎ |
| **D | LLC ARKWRIGHT, |
285 6. ಗ |
285 36 - |
|
| **D | ETF DIVIDEND EQUIT Y SCHWAB INTERNATIONAL |
0 | વે ર S 28. B 5 |
ર વે દ 28. . B b |
| **D | EQUITY ETF SCHWAB INTERNATIONAL |
304 . 854 . 12 |
12.854.304 | |
| D D |
EUND INDEX STOCK WORLD TOTAL VANGUARD |
0 | 835 .101. ব |
835 .101. ರ |
| **D | FUND DEVELOPED MARKETS INDEX VANGUARD |
60.473.029 | 60.473.029 | |
| **D | SYSTEM OF THE STATE OF ILLINOIS GROWTH PORTFOLIO THE CATHOLIC SRI RETIREMENT TRUST- CAPITAL TEACHERS . HC |
848-087 | 848.087 | |
| **D | INVESTMENT TRUST OF ARLINGTON CATHOLIC |
907 ব . |
907 4. |
|
| **D | IV UTILITIES PORTFOLIO FÜND PRODUCTS INSURANCE VARIABLÉ |
927 52. |
927 52. |
|
| **D | EQUITY FUND INT TOTAL FIDELITY TRUST INV FIDELITY |
700 300 96. 20. |
96-700 | |
| **D | ALLOCATIONBALANCED FUND PUTNAM DYNAMIC ASSET |
747 208. |
20.300 208.747 |
|
| **D | ALLOCATIONCONSERVATIVE FUND ASSET PUTNAM DYNAMIC |
57.474 | 57.474 | |
| **D | GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS UNIVERSAL INVESTMENT |
913 378. |
378.913 | |
| **D | INC FUND, COHEN & STEERS REAL ASSETS |
140.094 | 140.094 | |
| Pagina 62 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| A zionicti in proprio | ク イコム A QIAMISTI In doloro: |
686

g
്ചാ
in delega:
m propi
A
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| Badge | Ragione Sociale | ||||||
|---|---|---|---|---|---|---|---|
| **D | PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | Proprio 0 |
Delega 1.832 |
Totale 1.832 |
|||
| **D | ALLIANCEBERNSTEIN VARIABLE PRODUCTS SERIES, INC. INTERNATIONAL VALUE PORTFOLIO | 0 | 720.740 | 720.740 | |||
| **D | GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO AB VPSF AB |
0 | 84.717 | 84 - 717 | |||
| **D | MEAG MUNICH ERGO | KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ATLAS | 0 | 661.131 T |
661.131 I |
||
| **D | MULTI LIFE MEAG |
0 | 33.141 6 |
33.141 6 |
|||
| **D | ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT | MASTER | 0 | 8 109.90 |
109.908 | ||
| **D | TRUST BANK OF JAPAN ITD THE MASTER |
RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 0 | 204.016 | 204.016 | ||
| **D | WORLD QUALITY MIX FUND SPDR MSCI |
D | 2.742 | 2.742 | |||
| **D | COMMONFUND STRATEGIC SOLUTIONS GLOB AT EQUITY, LLC | 163.145 | 163.145 | ||||
| **D | INC. COHEN & STEERS, |
5.040 | 5.040 | ||||
| **D | LAZARD RETIREMENT INTERNATIONALEQUITY PORTFOLIO | 272.384 | 384 272. |
||||
| **D | GOLDMAN SACHS TRUST | FUND GOLDMAN SACHS CLEAN ENERGY INCOME |
663.755 | 63.755 9 |
|||
| **D | BLC INVESTMENT GLOBAL THORNBURG |
g | 245.566 | ଚର୍ଯ୍ୟ ହେ 45. 2 |
|||
| **D | THORNBURG INTERNATIONAL EQUITY | FUND | C | 556.297 8 |
556.297 8 |
||
| **D | INFRASTRUCTURE GLOBAL S+P SPDR |
ONE 2 RF |
0 | . 897. 691 I |
97.691 B L |
||
| **D | DEVELOBED MORTD PORTFOLIO SPDR |
EXUS ETF | G | 383.062 5. |
062 83. - Э ഗ് |
||
| * * D | STANLEY MORGAN |
INSTITUTIONAL FUND TRUST - GLOBAL STRATECIST PORTFOLIO | C | 39.704 | 704 9 . ಗಾ |
||
| 68 | **D | STANLEY MORGAN |
VARIABLE INSURANCE F UND, INC. GLOBAL | STRATEGI ST PORTFOLIO | 6.590 | 590 6. |
|
| **D | EUROPE INVESTMENT FUND | 50.627 3 |
50.627 3 |
||||
| 78 | **D | EQUITY FUND TIAACREF INTERNATIONAL |
C | 081.058 | 50.180 . 8 1 |
||
| D D |
PENSION FUND MASSACHUSETTS LABORERS |
0 | 136.412 | 36.412 T |
|||
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 508.431 | 508.431 | |||||
| D D |
FRANK RUSSELL INVESTMENT CO II PLC | 0 | 466.078 | 466.078 | |||
| **D | ASSET PRINCIPAL DIVERSIFIED REAL |
CIT | 0 | 818.887 | 18.887 B |
||
| **D | INFLATIONHEDGES M INTERNATIONAL EQUITY WELLINGTON DIVERSIFED |
FUND | 74.487 | 74.487 | |||
| **D | FUND INTERNATIONAL |
C | 43.401 | 43-401 | |||
| **D | COMPANY INTERNATIONAL EQUITY PAPER LAZARD |
COMMINGLED INVESTMENT GROUP TRUST PORTFOLIO |
0 | б 75 69. |
759 69. |
||
| **D | SOCIAL FOR PUBLIC AUTHORITY |
INSURANCE | 0 | 2.716-910 | .716.910 ਟ |
||
| **D | LTD ASSURANÇE ZURICH |
0 0 |
71.402 2 |
71.402 | |||
| **D | ES ALLIANCEBERNSTEIN UK LOW VOLATILITY GLOBAL EQUITY | FOND | 0 | a 989.05 |
99.058 б |
||
| **D | GLOBAL FUNDS PINEBRIDGE |
0 | 7.852 | 7.852 | |||
| **D | INTERNATIONAL EQUITY INDEX FUND TIAACREF |
0 | 175.933 | 175.933 | |||
| **D | LIFE FUNDS INTERNATIONAL EQUITY TIAACREF |
FUND | 0 | 2 627.52 0 |
627.522 O 1 |
||
| **D | STATE OF MINNESOTA | 0 | 151.595 .439.532 E |
151.595 | |||
| **D | EMPLOYEES . COUNTY ALAMEDA |
RETIREMENT ASSOCIATION | 0 | 692 009. ల |
439.532 009.692 ల E |
||
| **D | FIXED AMERICAN AIRLINES INC MASTER |
BENEFIT BENSION TRUST | 919-440 | 919.440 | |||
| **D | AL WATAN INVESTMENTS SANDOOQ |
LTD (RESTRICTED) |
0 | 1.162 | 1.162 | ||
| **D | GLOBAL l STANLEY FUNDS (UK) MORGAN |
SUSTAINABLE FUND BALANCED |
0 | 9 ਟ ਰੇ |
596 | ||
| **D | INVESTMENTS GLOBAL FAMILY |
ICVC FAMILY BALANCED INTERNATIONALFUND | 0 | -825 111 |
111.825 | ||
| **D | OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS | EUROPEAN EQUITY LEADERS | FUND | .495.423 1 |
.495.423 T |
||
| **D | SINGAPORE OF THE MONETARY AUTHORITY |
MAS | 37.000 | 37.000 | |||
| **D | HSBC BANK SSB AUT EU SCREEN | EX CONTROVERSIES CW INDEX EQ FND | 315.622 S |
315.622 5 |
|||
| **D | TRUSTEE AND DEPOSITARY NATRIST |
TRUSTEE OF LIMITED AS SERVICES |
PLACE STRATEGIC MANAGE 57. JAMES S |
0 | 200-571 | 200.571 | |
| **D | SOCIAL DO SÉGURANCA DE FÜNDO |
REGIAO ADMINISTRATIVA DA GOVERNO |
MACAU ESPECIAL DE |
0 | 239.303 | 39.303 ਟ |
|
| **D | FUND INTERNATIONAL MONETARY |
267-354 | 67.354 ਟ |
||||
| D D |
INTERNATIONAL MONETARY FUND | 261.758 | 261.758 | ||||
| **D | THE NOMURA ASSET MANAGEMENT SPDR PORTFOLIO EUROPE ETF |
INSTITUTIONAL GLOBAL TRUSTS | 146-414 | 146.414 | |||
| **D | EURO STOXX 50 ETF SPDR |
6.186.990 287.143 |
.186.990 87.143 9 |
||||
| Pagina 63 | |||||||
| Azionisti: | Teste: 3.439 |
19 | |||||
| Azionisti in proprio: | б | 3.430 | |||||
| Azionisti in delega: | ( |

್ನಲ್ಲಿ ನವಿರು
। তে
from 1
10 maggio 2023 16.27.23
| Badge | INVESTMENT GMBH FOR DEAM FONDS DKS Ragione Sociale |
1 | Proprio | Delega 68.000 |
68.000 Totale |
|
|---|---|---|---|---|---|---|
| D D |
DWS INVESTMENT DWS |
GMBH FOR DEUTSCHE INIM | 0 | 60.000 | 60.000 | |
| **D | LTD FUND PARTBARA |
0 | 629 | 629 | ||
| **D | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 381 62. |
62.381 | |||
| **D | INVESTORS FUND GLOBAL ALLIANZ |
ਟ ਤੇ ਕ 220. 10. |
10-220.534 | |||
| **D | СОМРАКУ INVESTMENT RUSSELL |
FUND INCOME MULTISTRATEGY |
335 46. |
46.335 | ||
| **D | RUSSELL INVESTMENT | COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND | 747 ব . S |
54.747 | ||
| D D |
ASSET DEUTSC HE LONDON ROYAL sta |
FUND GLOBAL HIGH DIVIDEND EQUITY MOTHER PLC FUNDS MANAGEMENT |
324 51 E 0. 5. L E |
75.351 30.324 |
||
| **D | GARANT DMS |
208 62. |
62.608 | |||
| **D | ASSET ESG MULTI DHS |
INCOME KONTROLLIERT | 670.242 | 670.242 | ||
| **D | RICHARD EATON VANCE |
STRATEGY FUND BERNSTEIN EQUILY |
0 | 589.511 | 589.511 | |
| **D | FRANKLIN TEMPLETON | ETF FTSE EUROPE ETF TRUST - FRANKLIN |
0 | 83 - 622 | 83.622 | |
| **D | PRINCIPAL | EXCHANGE-TRADED FUNDS-PRINCIPAL | INTERNATIONAL ADAPTIVE MULTI-FACTOR ETF | 0 | 4.086 | 4.086 |
| **D | FUND -PD SELECT PACIFIC |
INTERNATIONAL LARGE-CAP INDEX PORTFOLIO | 0 | 300 292. |
292-300 | |
| **D | FUNDS AMERICAN |
INTERNATIONAL VANTAGE FUND | C | 317.930 | 317.930 | |
| D D |
STIFTUNGSFONDS ALLIANZ |
NACHHALTIGKEIT | 0 0 |
27.605 9.149 |
27 605 9.149 |
|
| **D | OF SHIPPING AMERICAN BUREAU MTBJ PINEBRIDGE |
GLOBAL TECHNOLOGY INFRASTRUCTURE MOTHER FAD | 220.000 | 220-000 | ||
| **D | STRATEGY l sursse ALLIANZ |
FUND | 0 | 22.808 | 22.000 | |
| **D | INVESTORS FUND GLOBAL ALLIANZ |
0 | 565.657 | 565.657 | ||
| **D | INTERNATIONAL STREET STATE |
EQUITIES INDEX TRUST LEVEL 15 | 0 | 540 143. |
143.540 | |
| **D | (UK) FUNDS STANLEY MORGAN |
FUND - GLOBAL BALANCED INCOME |
0 | 272 | 272 | |
| **D | INVESTMENTS VANGUARD |
FUNDS ICVC-VANGUARD FTSE DEVEL | U.K. EQUITY INDEX FUND l OPED WOR LD EX |
0 | .233.412 ਟ |
2-233.412 |
| **D | FISE VANGUARD ICVC VIF |
EQUITY INDEX FUND EXUK EUROPÉ DEVELOPED |
0 | .119.225 D |
4.119.225 | |
| **D | PLACE JAMES S ട് പ NATWEST |
UNIT TRUST INCOME STRATEGIC |
0 | 353.077 | 353.077 | |
| **D | JAMES ` S ડા NATWEST |
PLACE GLOBALEQUITY UNIT TRUST | 0 | 6.254.258 | B . 25 6.254 |
|
| 6457 | ALESSIO GABRIELI |
ਹੋ ਪੋ | 6 ರ |
|||
| 6578 | GIANCARLO PESCINI |
10 | 15.000 | 15.010 | ||
| 6832 | VISCONTI DI MODRONE RAIMONDO | 00 146.5 |
0 | 146.500 | ||
| DE* | FINANZIARIA GOLD | - FINGOLD SPA | 0 0 |
300-000 | 300.000 0 |
|
| 6823 | ROSICA MASSIMO | 0 | 169,436 | 69.436 L |
||
| **D | SEGUROS SA COMPANHIA ZÜRICH |
0 | 2.500 | |||
| NILSSON URBAN | 0 | 0 2.500 70 |
0 70 |
|||
| GALETTA ILARDO ROSANNA | 0 | 255.746 | ||||
| D D |
INSTITUTIONAL FUND - AKTIEN GLOBAL FONDS INSTITUTIONNEL AEIS RP - |
DEVELOPPES LARGE CAP - ACTIONS MARCHES |
0 | 255.746 63.671 |
63.671 | |
| **D | ACTIONS EUROPE (EX-CH) syn |
B-UBS | 0 | б 97 ਰੇ ਰੇ ਹੋ டி |
99.979 S |
|
| **D | EX-CH-A-AMUNDI EUROPE ACT SYN |
930 72. S |
930 572. |
|||
| **D | FONDS l CAPACITY |
ETRANGERES - ACTIONS INSTITUTIONNEL |
RENDEMENT ABSOLU | 81.227 L |
81.227 L |
|
| **D | FONDS INSTITUTIONNEL l CAPACITY |
S - ACTIONS ETRANGERE |
76.000 | 76.000 | ||
| **D | ZERO NET TARGÉT SYN |
EQUITIES GLOBAL |
0 | 30.766 | 30.766 | |
| **D | UNIGE - DE PLACEMENT FONDS |
ACTIONS ETRANGERES | 72.698 | 72.698 | ||
| **D | CAISSE l CIEPP |
DE PREVOYANCE PROFESSIONNÉLLÉ INTER-ENTREPRISES |
754.103 | 754.103 | ||
| **D | SIEMENS-RENTE SIEMENS-FONDS |
958.409 | 958.409 | |||
| **D | LD, KAPITALFORENINGEN |
- MANDAT BBTA SMART |
597 20 |
20.597 | ||
| **D | INSTITUTIONAL ana |
BUB EQUITIES EUROPE FUND UMBRELLA- |
1 ( EX SWITZERIAND) |
203.675 | 203.675 | |
| D D |
TEACHERS RETIREMENT SYSTEM OF GEORGIA RETIREMENT PLAN CHASE J PMORGAN |
778 .151.004 .031. ব I ﺎ |
.031-778 004 . 151 . 14 |
|||
| **D | PENSIONSKASSE DES | BUNDES PUBLICA | 502 228 |
502 228 |
||
| Pagina 64 | ||||||
| Azionisti: | Teste: 3.439 |
। ਰੇ | ||||
| 6 | 3.430 | |||||
| Azionisti in proprio: | Azionisti in delega: |
EMARKET
SDIR
GRTIFFE
ﻟﻠﻘﻀﺎﺀ
conce
السان

Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 0 | 2.765.477 | 2.765.477 | |
| **D | TRUST THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT |
0 | .251-746 T |
.251.746 T |
|
| **D | HC RENTE | 0 | 9 47.22 |
47.226 | |
| **D | KAPITALFORENINGEN ID, GLOBAL QUANT - MANDAT | 0 | 260.275 | 260.275 | |
| **D | AVENIR INFRASTRUCTURE AXA |
0 | ర 422.40 |
422.409 | |
| **D | oi ACT CARBON OFFSET EUROBLOC EQUITY AXA |
0 | 625.583 | 625.583 | |
| **D | INDICE EURO AXA |
0 | 423.167 | 423.167 | |
| **D | DIVERSIFIE INDICIEL 1 AXA AA |
0 | 502.289 | 502.289 | |
| **D | FUND GREENMICH INY LONG-SHORT |
0 | |||
| **D | INSURANCE COMPANY LTD - BRANCH ITALIANA ZURICH |
0 | 21.406 | 21.406 | |
| **D | PLC INSURANCE ZURICH |
0 | 69.325 | 69.325 | |
| **D | ZURICH VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 0 | 143.682 | 143.682 | |
| **D | BANCO SABADELL | 0 | 29-274 168-273 |
29.274 | |
| **D | PIR EQUITY AXA ASSICURAZIONI | 0 | 168.273 | ||
| **D | FUND VALUE EQUITY GLOBAL MONDRIAN |
0 | 557.000 | 557.000 | |
| **D | EQUITY FUND VALUE INTERNATIONAL MONDRIAN |
0 | 690.237 990-745 ri |
690.237 3.990.745 |
|
| **D | INVESTMENT TRUST EX-U.S. EQUITY COLLECTIVE WORLD ALL COUNTRIES MONDRIAN |
0 | |||
| **D | MASTER TRUST BANK OF JAPAN LTD. RE: AXA ROSENBERG EUROPEAN EQUITY MOTHER FUND | 0 | 1.991.923 27.109 |
923 27.109 991. |
|
| 0 | **D | દ્ EQUILI COLLECTIVE INVESTMENT LEAS INTERNATIONAL MONDRIAN |
0 | 723.020 | 723.020 |
| **D | FOND INFRASTRUCTURE LISTED GLOBAL MONDRIAN |
0 | 13.620 | 620 13. |
|
| **D | PENSIONSKASSE BPK RUBR E5 AKTIEN EUROPA BERNISCHE |
0 | 1.000.000 | .000.000 L |
|
| **D | LEHRERVERSICHERUNGSKASSE BERNISCHE |
0 | 232.575 | 232.575 | |
| **D | FUND SUPERANNUATION GOVERNMENT |
0 | 399.237 | 9.237 ರ ಷ |
|
| **D | CHASE 401(K) SAVINGS PLAN JPMORGAN |
0 | 032.244 2 |
.032.244 ਟ |
|
| **D | FUND VALUE INTERNATIONAL PZENA |
0 | 159.051 | 59.051 1 |
|
| **D | INC. - WILSHIRE INTERNATIONAL EQUITY FUND FUNDS, MUTUAL WILSHIRE |
0 | 147.172 | 147.172 | |
| **D | INVESTMENT TRUST COVENANT HEALTH |
0 | 208.323 | 208.323 | |
| * * D | SATELITE II EQUITY - GLOBAL ROMA FONDAZIONE |
0 | 272.559 | 272.559 | |
| **D | ST. LOUIS OF OF THE CITY SYSTEM RETIREMENT SCHOOL PUBLIC |
0 | 279.097 | 279.097 | |
| **D | US RETIREMENT INCOME PLAN TRUST ARAMCO |
0 | 129.178 | 178 129. |
|
| **D | PLNS OF AIRLINES, INC., US AIRWAYS, INC. AND AFF DEFINED CONTRIBUTN MASTER TR FOR |
0 | 967 .379. I |
.379.967 T |
|
| **D | NFS LIMITED | 0 | ടക ല 1.490. |
586 1.490. |
|
| **D | PRUDENTIAL PENSIONS LIMITED | 100.005 | 005 100. |
||
| **D | (AUS) LIMITED GLOBAL X MANAGEMENT |
0 | 127.442 | 127.442 | |
| **D | DE PENSIONS DU PERSONNEL COMMUNAL DE LAUSANNE (CPCT) CAISSE |
71.804 | 71.804 | ||
| **D | FUND MFS UTILITIES |
ਰੇ ਟੈ ਕ .837. I T |
ਕੇ ਦੇ ਪੈ 11.837. |
||
| **D | EQ/MFS UTILITIES SERIES PORTEOLIO l EQ ADVISORS TRUST |
562 841 |
62 S 841. |
||
| **D | FAM SERIES UCITS ICAV - GLOBAL LISTED INFRASTRUCTURE FAM FUND | 32 S 3.220. |
3.220.532 | ||
| **D | INTERNATIO l SPECIALIST INVESTMENT STRATEGIES IPAC |
084 299 |
084 299. |
||
| **D | MJP INTERNATIONAL FUND LLC | 379 1. |
379 1. |
||
| **D | R-CO WM RDT-DBI | 23.334 | 23.334 | ||
| **D | ASSET MANAGEMENT LIFE LTD 085 |
2.564.327 | 2.564.327 | ||
| **D | FUND HEDGED INTERNATIONAL EQUITY INDEX AMP |
53.974 | 53.974 | ||
| **D | FUND INTERNATIONAL EQUITY INDEX AMP |
38 . З 781 |
781.338 | ||
| **D | FUNDS MACQUARIE WHOLESALE |
30.134 | 30.134 | ||
| **D | UBS FISE RAFI DEVELOPED 1000 INDEX FUND | 340.182 | 348.182 | ||
| **D | GLOBAL EQUITY CLIMATE TRANSITION FUND ubs |
97.199 | 97.199 | ||
| **D | SHIBEF - IN LINITED | 195.000 | 5.000 ਹੈ ਕੇ |
||
| **D | LEGACY IN LP | 195.000 | 195.000 | ||
| **D | NXG GLOBAL CLEAN EQUITY FUND | 37.809 | 37.809 | ||
| Pagina 65 | |||||
| Azionisti: | 19 Teste: 3.439 |
||||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
||||
EMARKET
SDIR
CRTIFIED
g
3
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| LISTA ESITO DELLE VOTAZIONE | Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministra |
|---|---|
FAVOREVOLI trazione
| Badge | Sociale Ragione |
Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| ** D | WILSHIRE SOLUTIONSFUNDS TRUST | ||||
| 0 | 29.975 | 29.975 | |||
| **D | CONCENTRATED EQUITY FUND CAUSEWAY |
0 | 38.477 | 38.477 | |
| **D | UNISYS MASTER TRUST | 0 | 657.333 | 657.333 | |
| **D | UCITS FUND GLOBAL VALUE CAUSEWAY |
0 | 161.132 | 161.132 | |
| **D | MASTER TRUST AUTOMATION ROCKWELL |
0 | 205.013 | 205.013 | |
| **D | LTD OIL INVESTMENT CORP |
0 | 709-860 | 709.860 | |
| **D | INTERNATIONAL EQUITY COMMON TRUST FUND TRUST COMPANY DIVERSIFIED |
0 | 526-967 | 526.967 | |
| **D | FDN MELLON KING RICHARD |
C | 445.668 | 445.668 | |
| **D | FOUNDATION MELLON KING RICHARD |
G | 128.556 | ર ર દ 128 . ! |
|
| **D | MELLON INTERNATIONAL FUND R K |
335.619 | 335.619 | ||
| **D | PLAN WELLS FARGO AND COMPANY CASH BALANCE |
498.717 | 498.717 | ||
| **D | FUND CAUSEWAY INTERNATIONAL OPPORTUNITIES |
0 | ਦੇ ਦੇ ਤੋ 929. |
929.553 | |
| **D | DIVERSIFIED GROWTH SIEMENS |
0 | 139.188 | 198 139. |
|
| **D | EMU EQUITIES SIEMENS |
913 586. |
586.913 | ||
| **D | PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 0 | 2.620.000 | 2.620.000 | |
| **D | MANAGERS PORTFOLIO I ERISA NON US EQUITY |
0 | 168 271. |
271.168 | |
| **D | VANGUARD GLOBAL EQUITY FUND | 0 | 91.680 B 5. |
. 891.680 S |
|
| **D | PENSION PLAN ENPLOYEES PUBLIC |
0 | 629 1.366. |
1.366.629 | |
| 0 | **D | EMPLOYEES PENSION PLAN MUNICIPAL |
0 | 236 б B € |
89.236 E |
| 8 | **D | INTERNATIONAL VALUE FUND CAUSEWAY |
0 | 900 486 ट C |
.486.900 2 E |
| **D | GLOBAL VALUE FUND CAUSEWAY |
0 | 253.000 | 253.000 | |
| 0 | 0 t * |
FUND OVERSEAS |
0 | 466 5 104. |
-104 466 S |
| **D | ABSOLUTE RETURN SIEMENS |
0 | 151 6. 7 |
76.151 | |
| **D | FINANCIAL DESIGNATED ACTIVITY CO ખ્યત્વે ઘઉં, જીરુ, મગફળી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, તલ, બાજરી, ચણાવતા, રજકો તેમ જ દૂધની ડેરી જેવી સવ AXA |
0 | . 400 . 000 ਟ |
000 . 400 . ਟ |
|
| **D | SYSTEM HEALTHCARE OSE |
0 | ਦੇ 8 ਕ 919. |
919.584 | |
| **D | PENSION PLAN THIRD ORDER ST FRANCIS EMPLOYEE THE OF SISTÈRS |
0 | 688 526. |
526.688 | |
| **D | CITY OF BALTIMORE THE RETIREMENT SYSTEM OF EMPLOYEES POLICE AND FIRE |
0 | 655 902. |
902.655 | |
| **D | TUCSON SUPPLEMENTAL RETIREMENT SYSTEM | 0 | ਹ ਕੇ ਰੋ 366. |
366.199 | |
| **D | EQUITY CIT VALUE INTERNATIONAL CAUSEWAY |
0 | ਰੇ ਚੇ () 9.904 - |
9.904.940 | |
| **D | EUROINVEST AKTIEN SIEMENS |
0 | 120.498 | 120.498 | |
| **D | BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES THE |
0 | 2.065.638 | ୧38 .065. ट |
|
| **D | INC 401 K SAVINGS PLAN GROUP FARMERS |
0 | 755 51. ರ |
951.755 | |
| **D | FUND STOCK WHEATON |
698 83 - L |
183.698 | ||
| **D | TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 014 11.697. |
11.697.014 | ||
| **D | FUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 3.070.338 | 3.070-338 | ||
| **D | SIEMENS BALANCED | 0 | el d 37. ไ |
137.619 | |
| **D | IN AMERICA EVANGELICAL LUTHERAN CHURCH THE BOARD OF PENSIONS OF |
328 9. б |
99.328 | ||
| **D | ETF VALUE GLOBAL CAMBRIA |
574 96. દ |
574 196. |
||
| **D | TRUS CHERRY TREE FUND A SERIES |
1.783.411 | 1.783-411 | ||
| **D | EQUITY FUND INTERNATIONAL |
215 1.810. |
1.810.515 | ||
| **D | FUND INT EQUITY BRIDGE BUILDER |
010 33.632. |
33.632-010 | ||
| **D | ETF INTERNATIONAL INSPIRE |
148.153 | 148.153 | ||
| **D | IV TRUST FUND LIGHTS NORTHERN |
54 60.31 |
60.354 | ||
| **D | EQ INV PLAT ICAV-GR QIAIF DMS |
1 8 4 158. |
158.194 | ||
| **D | PASSIVE II CH) (EX EQUITIES EUROPE INSTITUTIONAL FUND - (LUX) ubs |
92 B . 418 E |
.418.892 E |
||
| D D |
PASSIVE CH) (EX EUROPE EQUITIES l FUND INSTITUTIONAL (LUX) ubs |
ਰੇ 5 .071.4 ไ |
.071.495 L |
||
| EQUITY (USD) PTF SYSTEMATIC ALLOCAT l SICAV SELECTION KEY (LUX) ubs |
726 m য |
3.726 ರ |
|||
| **D | SA FUND MANAGEMENT (LUXEMBOURC) sal |
.569.624 ໄ |
1.569.624 | ||
| **D | MIGROS BANK (LUX) FONDS 40 (EUR) | 50 - 4 21 |
. 450 21 |
||
| **D | (USD) UBS (LUX) STRATEGY SICAV SAP DYNAMIC |
5.872 2 |
25.872 | ||
| Pagina 66 | |||||
| AZIONISTI: | 1 ਰੇ Teste: 3.439 |
||||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
||||

Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
| Uggetto: Veterminazione del compenso dei componenti il Consiglio di Amministrazione | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE |
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MIGROS BANK (LUX) FONDS 30 | 0 | 13.438 | 13.438 |
| **D | DEFENSIVE (USD) PF - ALLOCATION SICAV-SYSTEMATIC STRATÉGY (LUX) olas |
0 | 220 14. |
14 220 |
| D D |
MEDIUM (USD) PF ALLOCATION SICAV-SYSTEMATIC - STRATEGY (LUX) sali |
0 0 |
8-458 பு |
8.456 5 |
| **D | SICAV GLOBAL DEFENSIVE (USD) EQUITY SICAV UBS (LUX) STRATEGY |
0 | 845 44.221 21. |
44.221 21.845 |
| **D | INTERSTOCK FONDS MIGROS BANK (LUX) |
0 | 880 20. |
20 880 |
| **D | 50 FONDS MIGROS BANK (LUX) |
0 | 009 23. |
23.009 |
| **D | UBS (LUX) SICAV | 0 | ਰ 91 8. 5 |
58.981 |
| **D | MTAA SUPERANNUATION FUND | 0 | .486.213 I |
.466.213 |
| **D | MLC LIMITED MLC INVESTMENTS, |
0 | .289.090 2 |
2.289.090 |
| **D | BASEL-STADT PENSIONSKASSE |
0 | 514 824. |
824.514 |
| D D |
ON AG (SWITZERLAND) FUND MANAGEMENT ubs |
0 0 |
.738.171 453.613 E |
453.613 3.738.171 |
| **D | FAZY GLOBAL ASSET ALLOCATION - DEVELOPED MARKETS EQUITIES PROFOND GAVIA FUND-AKTIEN WELT OF OF BEHALF BEHALF ON AG AG (SWITZERLAND) (SWITZERLAND) UBS FUND MANAGEMENT FUND MANAGEMENT urss |
0 | 88 0 ર્વ ૧ |
64.088 |
| **D | PENSIONSKASSE POST | 0 | .306.780 L |
306.780 L |
| **D | ECC OFFSHORE HTV COMPASS |
0 | 3.268.372 | 3.268.372 |
| **D | HTV LLC. COMPASS |
0 | as a -144. S |
5-144.920 |
| **D | GLOBAL OPPORTUNITIES LP средв |
0 | 85 .867.8 18 |
18.867.885 |
| ** D | C/O SANNE PLC FUNDS PZENA VALUE |
0 | 607-254 | 607.254 |
| **D | PUBLIC LIMITED COMPANY PUBLIC LIMITED COMPANY MONDRIAN FUNDS MONDRIAN FUNDS |
g 0 |
572 9 . 0 T |
109.572 |
| *D * D |
NT PLAN MASTER TRUST RETREME PLANS MASTER TRUST TRUST GANNETT CORPORATION RETIREMENT PLAN MASTER RETIREMENT DANAHER GANNETT |
0 | 967 135.632 676. |
676.967 135-632 |
| **D | TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL MASTER |
0 | 163.108 | 163.108 |
| **D | INC. MASTER TRUST PFI ZER |
0 | 939 505. |
505.939 |
| **D | L.P EQUITY ESG FUND INTERNATIONAL MONDRIAN |
5.313 d 8 |
485.313 | |
| **D | FUND LP ESG EQUITY GLOBAL MONDRIAN |
o o | 8.343 b |
48.343 |
| **D | L. P. ECIND FOCUSED EQUITY INTERNATIONAL MONDRIAN |
0 | 338.432 | 338.432 |
| **D | FUND LP. EQUITY COUNTRIES MORID ALL GLOBAL MONDRIAN |
0 | 969.180 | 969 - 180 |
| **D | MULTI-FUND LLC-INTERNATIONAL VALUE INSTITUTIONAL SE CAUSEWAY |
0 | 229.544 3 - |
229.544 3. |
| **D | MS FUND LP | 0 | 508.620 | 508.620 |
| **D | DST FUND 2 GLOBAL VALUE PZENA |
0 | 334.128 | 334.128 |
| **D | 0 INTERNATIONAL EX-US FOCUSED VALUE FUND DST A SERIES PZENA |
0 | 277.730 | 277.730 |
| **D | TRUST PZENA VALUE |
0 | 26.592 | 26.592 |
| **D | OF THE UNITED NATIONS AGRICULTURE ORGANIZATION AND FOOD |
0 0 |
31.154 | 31.154 |
| **D | FOND L.P GLOBAL EQUITY MONDRIAN |
497.417 | 497.417 | |
| D D |
LP FUND EQUITY L. P. EQUITY FUND EX-US WORLD INTERNATIONAL COUNTRIES ALL MONDRIAN MONDRIAN |
0 0 |
4.242.831 .602.922 16 |
242.831 602.922 4 . ର ไ |
| **D | VALUE FUND FOCUSED PZENA GLOBAL |
0 | 141-450 | - 458 141 |
| **D | SUPERANNUATION BOARD. EMPLOYEES GOVERNMENT |
G | 513.413 2 |
13-413 S 2 |
| **D | OF WESTERN AUSTRALIA COMMISSION INSURANCE |
0 | 1.453.062 | 453.062 1. |
| **D | COMPANY EMPLOYEE BENEFIT MASTER TRUST HALLIBURTON |
0 | 9 947.19 |
47.196 б |
| **D | INVESTMENT TRUST. CATERPILLAR |
0 | S 579.30 |
79.305 S |
| **D | MASTER RETIREMENT TRUST INC. CATERPILLAR |
0 | ट 498-18 |
98.182 b |
| **D | RETIREMENT MASTER TRUST со EMERSON ELECTRIC |
0 | 339.49 | 39.498 E |
| **D | FUND EAST SUSSEX PENSION |
0 | 43.99 | ਰੇ ਰੋ ਰੋ 4 3 - |
| **D | PENSION SCHEME. THE MOTOROLA |
0 0 |
105.00 | 9 105.00 |
| D D |
THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST |
C | 710 0 283-68 15 2 |
680 0 15.71 83 - ਟ N |
| **D | SYSTEM OXLAHOMA PUBLIC EMPLOYEES RETIREMENT |
. 870 . 272 2 |
-870.272 N |
|
| **D | SAN MATEO COUNTY EMPLOYEES, RETIREMENT ASSOCIATION | .541.37 H |
.541.372 t |
|
| Pagına 67 | ||||
| Azionisti: | 19 Teste: .439 చ |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: б |
|||
6Pul
EMARKET
SDIR
GRTIFFED
g
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
FAVOREVOLI
| Badge | Ragione Sociale | Delega | Totale | |
|---|---|---|---|---|
| **D | THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS TRUS | Proprio | 217.334 | 217.334 |
| **D | ILLINOIS MUNICIPAL RETIREMENT FUND | 0 | 923.280 2 |
. 923 - 280 2 |
| **D | BAPTIST FOUNDATION OF TEXAS. | 0 | 383.572 | 383.572 |
| **D | SYSTEM OF OKLAHOMA RETIREMENT TEACHERS . |
0 | 527.628 て |
-527-628 2 |
| **D | UBS COMMON CONTRACTUAL FUND. | 0 | 026 86 . |
86.026 |
| **D | QUEST PARTNERS LLC - EUROPEAN FOCUSED VALUE VALUE |
0 | 43.160 | 160 43. |
| **D | MANAGEMENT LLC INVESTMENT PZENA |
0 | өөдө 5. |
893 ഗ |
| **D | AMERICAN FRIENDS OF THE HEBREW UNIVERSITY INC | 36.510 | 36-510 | |
| **D | VALUE EUROPE EX-UK FOCUSED PZENA INVESTMENT MANAGEMENT LLC |
0 | 6.353 | 6.353 |
| **D | -GLOBAL VALUEQUEST PARTNERS LLC |
0 | 158 97. |
851 97. |
| **D | TD AMERITRADE CLEARING INC. | 500 | 500 | |
| **D | SURICH LIFE ASSURANCE PLC | 0 | 5.186.139 | 5.186.139 |
| **D | LATVIJAS BANKA | 0 | 976 341. |
976 341. |
| **D | UNITED CORPORATIONS LIMITED | 0 | 352.811 | 811 352. |
| **D | EUROPAC FUND HEXAVEST INC HEXAVEST |
|||
| **D | ACWI FUND HEXAVEST |
0 | ||
| **D | DESJARDINS GLOBAL ASSET MANAGEMENT INC. | 0 | 1.514 | 1.514 |
| **D | PENSION PLAN CIVIC ENDIOXEES. THE WINNIPEG |
0 | 174.417 | 174.417 |
| **D | LETKO BROSSEAU INFRASTRUCTURE EQUITY FUND | 0 | 38.750 | 750 38. |
| D D |
INSTITUTIONAL SICAV ENDÉAVOUR II FUND. THE |
0 | 21.154 | 154 21. |
| **D | EUROAGENTES UNIVERSAL FL (LUX) വ്യജ |
0 | 34.300 | 34.300 |
| **D | SID QE/IT MKT AIF |
0 0 |
18.000 498.476 |
000 10. |
| **D | UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 498.476 | ||
| **D | PEOPLE`S BANK OF CHINA | 0 | 7.967 | 7.967 |
| **D | CANADA PENSION PLAN вмо |
0 0 |
.422.717 N 1 |
.422.717 N |
| **D | LUX FUND SOLUTIONS ubs |
0 | 119.985 909.048 |
ਰ 8 ਵ .119. L |
| **D | (LUX) INVESIMENT FUNDS I M&G |
0 | ୧୫୦ 6. |
.909.048 9 N |
| **D | 0 921. ਟ |
.921.680 0 |
||
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND WORLD FUNDS AXA |
0 0 |
525 621 236. 383. |
525 621 "GBG 236. |
| **D | MFS INVESTMENT FUNDS | 0 | 5-067 | 5.067 |
| **D | VIE SECURITE FINANCIERE COMPAGNIE D'ASSURANCE DESJARDINS |
0 | 828 50. |
50.028 |
| **D | - SA INTERNATIONAL INDEX PORTFOLIO SERIES TRUST SUNAMERICA |
366.601 | 366.601 | |
| **D | TRUST SA TEMPLETON FOREIGN VALUE PORTFOLIO SERIES SUNAMERICA |
1.295.711 | 1.295.711 | |
| **D | ІБ FUND EQUITY GLOBAL Cis |
57.595 | 595 57. |
|
| **D | CONTRACTUAL FUND COMMON MERCER QIF |
.255.611 ਧਾ |
4.255.611 | |
| **D | CAUSEWAY INTERNATIONAL OPPORTUNITIES GROUP TRUST | 898.432 | 898.432 | |
| **D | SYSTEM RETIREMENT CONSOLIDATED TENNESSEE |
.461.755 8 |
8.461.755 | |
| **D | (ENGLISH) ETF BIC - SEP 200 ESG UCITS ETF UBS (IRL) |
2.160.318 | -160.318 2 |
|
| **D | AMERICAN BEACON INTERNATIONAL EQUITY FUND | .778.012 ไ |
.778.012 T |
|
| **D | DESJARDINS RENTES DU MOUVEMENT DE REGIME |
515 ర |
515 ਰੇ - |
|
| **D | PUTNAM ASSET ALLOCATION DIVERSIFIED GROW SERIES TRUST SA SEASONS |
5.639 ರ |
45.639 | |
| **D | JPM DIVERSIFIED BALANCED PORTFOLIO SA SUNAMERICA SERIES TRUST |
160 17. |
17.160 | |
| D D |
FUND VALUE SELECT JNI/CAUSEMAY INTERNATIONAL |
.380-873 B |
0-380.873 | |
| **D | SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF SEASONS |
52.070 | 52.070 | |
| **D | ASSET PORT GLOBAL ALLOCATION PORT SA BIACKROCK VCP GLOBAL MULTI SCHRODERS VCP SERIES TRUST- SA SERIES TRUST SUNAMERICA SUNAMERICA |
106.776 | 106.776 | |
| **D | LVIP MONDRIAN INTERNATIONAL VALUE FUND | 921 4 . |
4.921 | |
| **D | SANJAY GHEMAWAT LIVING TRUST | 5.636.040 . 962 4 ਤੋ |
5.636.040 962 43 - |
|
| **D | WELLS FARGO BK DECL OF TRUST ESTABL INVEST FUNDS EMPLOYEE BEN TR | 361.309 | ਤੇ ਹੋਰ 361. |
|
| Pagina 68 | ||||
| Azionisti: | 19 Teste: 3.439 |
|||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
|||

100
ﺎﺕ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟ
EMARKET
SDIR
CRIFFE
10 maggio 2023 16.27.23
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| ** D | EMPOWER ANNUITY INSURANCE COMPANY | 0 | 126.829 | 126.829 | |
| **D | INT FUND STRATEGIC ADVISERS FIDELITY RUTLAND SQUARE TRUST II |
0 | .631.257 ഹ |
.631.257 ம |
|
| **D | INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST | 0 | 117.520 1. |
.117.520 ﺎ |
|
| **D | БРС ਤੇ LSAM SE |
878.681 | 878.681 | ||
| D D |
ALTERNATIVE GOLDMAN SACHS TRUST II - GOLDMAN SACHS MULTI-MANAGER SASKATCHEWAN HEALTHCARE EMPLOYEES. PENSION PLAN |
0 | S 737.38 1 |
385 .737. L |
|
| * * D | FUND DIVIDEND GLOBAL DESJARDINS |
0 | 281.791 | 791 281. |
|
| **D | EMPLOYMENT SAVINGS TRUST NATIONAL |
0 0 |
4.183.563 50.862 |
. 183.563 862 50. ব |
|
| **D | PLACE GLOBALVALUE UNIT TRUST NATWEST ST JAMES'S |
0 | 961.567 7. T |
567 -961 - 17 |
|
| **D | (CH) STRATEGY FUND - GLOBAL EQUITY CHF MANAGERS SCHWEIZAG ON BEHALF OF AXA INVESTMENT AXA |
24-761 | 24.761 | ||
| **D | STATE OF ILLINOIS SYSTEM OF THE RETIREMENT TEACHERS * |
0 | 707.356 € |
.707-356 E |
|
| **D | MFS UTILITIES SERIES MFS VARIABLE INSURANCE TRUST |
0 | 633.240 ব |
240 - 633 - 0 |
|
| **D | EQUITY FUND INTERNATIONAL SACHS TRUST II MULTIMANAGER GOLDMAN |
G | 820.660 1 - |
. 820 - 660 H |
|
| **D | CORPORATION OF SEVENTH DAY ADVENTISTS CONFERENCE GENERAL |
C | 217.031 | 831 217. |
|
| **D | PACE INTERNATIONAL EQUITY INVESTMENTS | 0 | 594.137 1. |
137 594 - T |
|
| **D | FUND REAL ASSET HARTFORD |
J | 984.834 | 8 3 4 84 . б |
|
| ** D | TRUST AIRLINES INC MASTER FIXED BENEFIT PENSION AMERICAN |
0 | 1-775.205 | .775-205 T |
|
| 0 | **D | EMPLOYMENT SAVINGS TRUST NATIONAL |
0 | 1.295.640 | .295.640 T |
| **D | PENSION SCHEME LIMITED CHEMICAL SUN |
0 | 53.058 | 058 53. |
|
| 8 | **D | (1) - M+G GLOBAL THEMES FUND FUNDS INVESTMENT M+G |
4.506.665 | ୧୧୧ .506. ব |
|
| () | **D | (10) MG GLOBAL LISTED INFRASTRUCTURE FUND FONDS INVESTMENT MG |
C | 531.636 4 . |
.531.636 ਾ |
| **D | FUND TRACKER INDEX EUROPEAN AG (1) FUNDS INVESTMENT MG |
0 | 112.838 | 838 112. |
|
| **D | FOR DEFINED BENEFIT PLANS TRUST GROUP CAPITAL HARBOR |
0 | 23.500 | ടവല 23. |
|
| **D | ICAV ETF AXA IM |
0 | 726.752 | 726.752 | |
| **D | INTERNATIONAL PASTORAL INVESTMENT TRUST OBLATE |
0 | 12.974 | 12.974 | |
| 6926 | DRIGO FRANCESCO | 0 | 0 | ||
| DE* | ASSICURAZIONI SPA ALLEANZA |
G | 5.227.000 | .227.000 S |
|
| DE* | E DE SEGUROS Y REASEG PENSION S.A. ESPANA GENERALI |
0 | 196.151 | 196.151 | |
| DE* | REASEGUROS SA DE SEGUROS Y ESPANA GENERALI |
0 | ਕੇ ਤੇ ਤੇ | 933 | |
| DE* | 5 PA ITALIA GENERALI |
836.275 1. |
1.836.275 | ||
| DE* | GENERTELLIFE SPA | J | 252.265 T |
265 -252 - T |
|
| DE* | GF A CARAIBES | 0 | 23.858 | өгөө 23. |
|
| DE* | EQUITE ASSURANCES ET DE REA. L |
57.752 | 752 57. |
||
| DE* | SOCIETA CATTOLICA DI ASSICURAZIONE SPA | 0 | 814.000 | 814.000 | |
| 7024 | GENOVESE STEFANO | 0 | |||
| DE * | S.P.A. ASSICURAZIONI ARCA |
260.000 | 000 260. |
||
| DE * | ARCA VITA S.P.A. | 53.000 | 000 53. |
||
| DE* | S.P.A. COMPAGNIA ASSICURATRICE LINEAR |
281.000 | 000 B1 - ਟ |
||
| DE* | GRUPPO S.P.A. UNIPOL |
500.000 | 000 00. UT |
||
| DE* | S.P.A. INVESTMENT UNI POL |
1.390.000 | 000 .390. ી |
||
| DE DE |
S.P.A. ASSICURAZIONI UNIPOLSAI |
4.760.380 | 066 .760 . P |
||
| 7280 | S.P.A. MAURO UNI SALUTE TABELLINI |
275.000 | 000 275. |
||
| DE* | 2,237.161 | .237.161 ਟ |
|||
| DE* | ਵਿ P ČERAMIČA CASTELLARANO S PER AŽIONI FINANZIARIA |
1.125.711 | . 125. 711 L |
||
| DE * | IRIS CERAMICA GROUP SOCIETA, PER AZIONI GRANITIFIANDRE SOCIETA. |
6.523.920 .167.161 E |
920 161 . 167 . ய |
||
| 7317 | STEFANO STEFANO DI |
D 6.523 - |
|||
| DE * | MINISTERO DELL.ECONOMIA E DELLE EINANZE | 2.397.856-331 | 2.397.856.331 | ||
| 7437 | LO GIUDICE ENRICO | 0 | |||
| DE* | COVALIS CAPITAL ENHANCED MASTER FUND IJD | 21-290-623 | 21.290.623 | ||
| Pagina 69 | |||||
| Azionisti: | I d Teste: 3.439 |
||||
| Azionisti in proprio: | 3.430 Azionisti in delega: 6 |
EMARKET
SDIR certified
್ನಾ
OP
5
Azionisti in proprio:
10 maggio 2023 16.27.23
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| DE * | COVALIS CAPITAL MASTER FUND ITD | 29-206.109 | 29.206.109 | |
| DE* | SPI COVALIS CAPITAL STRATEGIC OPPORTUNITIES MASTER FUND |
6.094.950 | 6.094.950 | |
| DE* | COVALIS CAPITAL TACTICAL OPPORTUNITIES MASTER FUND | 20.324.31 | 20.324.314 | |
| 7613 | AROSSA FABRIZIO | |||
| DE * | COVALIS CAPITIAL TACTICAL OPPORTUNITIES MASTER FUND LT | 654.362 | 654 . 362 | |
| 768 | TIBERTI SERGIO | |||
| RL* | S.M.A. SERVIZI MEDICI AZIENDALISTSTEMI SANITARI S. | . 260 | ||
| Totale voti | 6.522.300.807 | |||
| Percentuale votanti % | 99.132672 |
64,153695
Percentuale Capitale %
Teste:
Azionisti in delega: 3.439 ಳು Azionisti in proprio. Azionisti:
Pagina 70
19 3.430
ನ್ನು Capp g
EMARKET
SDIR
CRIFFED
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.27.23
LISTA ESITO DELLE VOTAZIONE
Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| 14.633 Totale |
290 | 3.000 6.531 |
108.414 | 22.406 | 345.066 2.394.685 |
-698.770 P |
42.232 | 245.000 | .540.000 554.773 1. L |
250.000 | 4.389 | 704-045 | 630.000 411.108 |
444.698 | 180.166 | 30.087 | 369.112 | 374.315 રજુ - 964 |
8.426 | 996.296 | 343.498 | 9.630 7.804 3.78 |
19.636 | 11.034 | 88 S 5. |
118.885 | 510.000 479.540 |
10 | 43.776 | 10.750.000 | 922.008 T |
1.876.086 .377.864 T |
2.647 B |
422.958 | 55 - 138 | 781.767 | 843-804 389.795 3. |
353.734 | 421.302 | ||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 9.518 |
O | 000 | 108.414 | 22.406 | 2.394.685 345-066 |
-698.770 4 |
42.232 | 245.000 | -554.773 .540.000 L T |
250.000 | 4-389 | 704.045 | 630.000 8 411.10 |
444 - 698 | 180-166 | 30.087 | 369.112 69.964 |
374.315 | 8.426 | 896.296 | 343.498 | 7-804 3.789.630 |
19.636 | 11.834 | 588 u |
885 118. |
479-540 | 10 510.000 |
43.776 | 10.750.000 | 8 1.922.00 |
1.876-086 1-377.864 |
.647 82 |
ട ഒ 422.9 |
55.138 | 781-767 | 3.389.795 843-804 |
353.734 | 421.302 | ||||
| Proprio 5.115 |
ਰੇ 0 2 |
3.000 31 9 6. |
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 |
|||||
| CONTRARI | Pagina 71 | ||||||||||||||||||||||||||||||||||||||||||
| 11 | 71 | ||||||||||||||||||||||||||||||||||||||||||
| I | B | l'este: 19 |
Azionisti in delega: 8 |
||||||||||||||||||||||||||||||||||||||||
| Ragione Sociale COLLEONI ANGELO |
FEDERICO FABIO | BASILI SIMONE BUDA RENATO |
TREVISAN DARIO | ERAFP ACTIONS PAB EURO I | FCP KLESIA K RETRAITE EURO FCP KLESIA K ACTIONS EURO |
ERAFF ACTIONS EURO VIII | SWISSCANTO FONDSLEITUNG AG | LBPAM ISR AVENIR EURO | OFI INVEST | EQUITY CLIMATE EURO EQUITY ESC ESG INVEST INVEST OFI OFI |
ES OFI INVEST ESG ACTIONS CROI | OFI INVEST ACTIONS CROISSANCE | SOGECAP PROTECTED EQUITIES | ACTIONS CROISSA DYNAMIQUE EURO ESG ESG INVEST INVEST OFI OFI |
EQUILIBRE EURO ESG INVEST OFI |
PRUDENT EURO ESG INVEST OFI |
ISR ACTIONS EURO EUROPE INVEST INVEST OFI OFI |
INVEST PATRIMOINE OFI |
ACTIONS MONDE FER |
INVEST DIVERSIFIE OFI |
DYNAMIQUE MONDE M INVEST OFI |
OFI INVEST ISR VALEURS EURO | AFER ACTIONS EURO ISR AFER PATRIMOINE |
PERFORMANCE OFI INVEST |
ISR PATRIMOINE MOND INVEST OFI |
REBOND INVEST OFI |
INVEST ISR VALEURS EUROPE OFI |
GLOBAL FUND-OFI INVEST ACTA OFI INVEST EQUILIBRE MONDE |
STOK ERIK | CNP RETRAITE | 270. POSTE AVENIR | LBPAM ISR ACTIONS FOCUS EURO VIVACCIO ISR ACTIONS |
LBPAM ACTIONS DIVIDENDES EUROP | LBPAM ISR STRATEGIE PEA 2 | TONI ACTIONS ISR 100 | LBPAM ISR STRADEGIE PEA 1 | CNP TOCQUEVILLE VALUE EUROPE LBPAM ISR ACTIONS EUROPE 50 |
3 MOIS LBPAN |
FGV - ACTIONS EUROPE L'A LBPAM ISR ACTIONS 80 |
||||
| Badge 100000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 |
sioi | 6127 6278 |
6421 | D D |
**D | **D | **D | **D | **D | D D |
**D | **D | D D |
**D | **D | **D | D D |
**D | **D | **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: |

い 69
Assemblea Ordinaria del 10 maggio 2023
| (((annita) (logomento del commonents del commonenti ( amorginale di Ameraliano | |
|---|---|
| LISTA ESITO DELLE VOTAZIONE |
CONTRARI Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LEPAM ISR ACTIONS MONDE | 323.000 | 323.000 | |
| **D | OFI AF DYNAMIQUE | œ 52.19 |
52.197 | |
| **D | OBJECTIF NEUTRE CARBONE 2050 AEMA |
75-819 | 75.819 | |
| **D | A.A. CANDRIAM DIVERSIFIE | 1.102.370 | 1.102.370 | |
| **D | APICIL ACTIONS EURO | 45.870 | 45.870 | |
| **D | API RETRAITE DIVERSIFIE | 243.452 | 243.452 | |
| **D | FRUCTI CHOIX SOLIDAIRE | 131-121 | 131.121 | |
| **D | CAP ISR ACTIONS EURO LARGE LBPAM |
436.932 | 436.932 | |
| **D | ISR EURO TOCOUEVILLE VALUE |
5.106.835 | 5.106.835 | |
| **D | EURO MIN VOL ISR ACTIONS LBPAM |
13.283 | 13.283 | |
| **D | OBLIG 3-5 FOCUS DIVERSIFIE LBPAM |
34.591 | 34.591 | |
| **D | TOCQUEVILLE VALUE EUROPE ISR | 660 - 359 | 660 - 359 | |
| **D | ISR DIVIDENDE JOCQUEATITE |
0 1.880.00 |
1.880.000 | |
| **D | EURO LEPAM ISR PRO ACTIONS |
178.159 | 178.159 | |
| *** | GLOBAL ALLOCATION M | 140.904 | 140.904 | |
| **D | M RENDEMENT DIVERSIFIE |
41.409 | 41.409 | |
| **D | EURO VALEUR ISR M | 1.137.849 | 1-137.849 | |
| **D | AMPLEGEST LONG/SHORT | 0 0 . O 198 |
198.000 | |
| **D | ADARA | 75.000 | 75-000 | |
| **D | ECOFI OPTIM VARIANCE | 64.332 | 64.332 | |
| **D | EPARGNE ETHIQUE FLEXIBLE | .317 13 |
13.317 | |
| 6475 | D`AGNILLO GIULIANA | 1.000 | 1.000 | |
| 6576 | GAZZONI EMANUEL | 300 | 300 | |
| 6728 | DE MARIA COSIMO | 00 0 1. |
1.000 | |
| 6853 | ROSÍCA MASSÍMO | 0 | ||
| **D | WFA WF CLEARING SVCS FBO CUST 320043 | 79 | 79 | |
| **D | NATIONAL BANK FINANCIAL INC | 000 54 |
54-800 | |
| **D | TRIUM UCITS PLATFORM PLC | 3 ਰੇ โ |
193 | |
| **D | DE L`UNIVE MAISON OMER-GINGRAS FONDS COMMUN DE PLACEMENT DES REGIMES DE RETRAITE |
8 ব 49.2 |
49-284 | |
| 6966 | VIGNOLI CLAUDIO | 2.700 | 0 | 2.700 |
Teste:
Azionisti în delega: റ്റും -
55.019.865 0,836249 0,541178
Percentuale Capitale % Percentuale votanti %
Totale voti
686
Pagina 72
EMARKET
SDIR
GRTIFFE
ర్యాల
UND
ដែលប្រជាជនជាតិ និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និង និ
10 maggio 2023 16.27.23
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| eache | SCARAMUZZO PIERPAOLO | ec | ୧୯ | |
| ୧I ਤੇ ਰ | BONAFACCIA FAUSTO | 5.868 | ਟ ﻟﺴﺎ 10 |
16.194 |
| * RA* | 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART |
|||
| D** | LEMMI GUALTIERO | 5 | 7.500 | |
| D** | POGGI GIANNI | S 1 |
75 | |
| 6273 | RUGUERO FLORICEL | 262 | 262 | |
| 6275 | RENDINE ERMINIO | 9.400 | 9.400 | |
| 6328 | SOMASCHINI VITTORIO | 3.880 | 3.880 | |
| ર્વ ચ | TREVISAN DARIO | |||
| *** | ADAMI SERGIO | 1.262 | 1.262 | |
| **D | CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 2.000.000 | 2.000.000 | |
| 679. | SALOMONI STEFANO | 555 | 555 | |
| ୧୫୦୧ | CINOUINI ALESSIO | 3 2 |
||
| 6853 | ROSICA MASSIMO | |||
| *** | DREYFUSS FREDERIC | 500 2 |
500 2. |
|
| **D | HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 2.456 | . 4 5 | |
Percentuale Capitale % Percentuale votanti %
2.044.844 0,031080 0,020113
Totale voti
Azionisti in delega:
Teste:
l # r
Azionisti in proprio:
Azionisti:
Pagina 73


10 maggio 2023 16.27.23
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
NON VOTANTI E, PERTANTO ESCLUSI DAL QUORUM DELIBERATIVO Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione
| Badge | Ragione Sociale | Proprio | Delega | Totale | ||
|---|---|---|---|---|---|---|
| 6421 **D |
MEDIOBANCA SICAV TREVISAN DARIO |
334.000 | 000 334 . |
|||
| **D | FONDO PENSIONE | BANCHE NAZIONALE PER IL PERSONALE DELLE |
DI CREDITO COOPERATIVO CASSE RURALI ED ARTIGIANE | 0 | 335 8 - |
8-335 |
| **D | ន ចន MEDIOBANCA |
- MEDIOBANCA ESG EUROPEAN EQUITY | 300 50. S |
300 450 - |
||
| **D | EPSILON 1 SGR EPSILON |
INDEX EUROPEAN EQUITY LARGE CAP |
27.145 | 145 27. |
||
| **D | EPSILON - SGR EPSILON |
QRETURN QVALUE |
421 838 II. ਰੇ 9 |
838 11-421 ਰੇ - 9 |
||
| D D |
EPSILON EPSILON - SGR SGR EPSILON EPSILON |
DLONGRUN | ਕੇ ਰੋ ਰੋ I. |
ਰੇ ਰੋ ਰੋ 1. |
||
| **D | EPSILON l SGR EPSILON |
OEQUITY | .058 10 |
10.058 | ||
| **D | EURING LIALSCR-EURICONGLOBALDIVIDENDESG 5010GLIO2025 | . 809 રેન્ડ રેક્ટ |
576.809 | |||
| **D | 2027 EURIZONCAPITALSGR- EURIZON STEP 70 PIR ITALIA GIUGNO |
70.000 | 000 70. |
|||
| **D | 25 EURISONCAPITALSGR-EURIZONGLOBALDIVIDENDESG50-OTTOBRESO |
607.311 | 607.311 | |||
| **D | l SGR CAPITAL EURIZON |
TRILOGY FLEXIBLE ਮਮ EURI ZON |
30.719 | 30.719 | ||
| **D | l SGR CAPITAL EURIZON |
30 MULTIASSET GLOBAL AM EURIZON |
13.722 | 13.722 | ||
| **D | ട്ടിവ CAPITAL EURIZON |
II MÜLTTASSET GLOBAL ਸਮ EURI ZON |
-941 7 |
7.941 | ||
| * * D | I SGR CAPITAL EURIZON |
OBIETTIVO CONTROLLO દ્વાન EURIZON |
12.001 | 12.001 | ||
| **D | l SGR CAPITAL EURIZON |
STABILITA OBIETYQ AM EURIZON |
222 3.803 54 |
3.803 54.222 |
||
| D D |
EURILONCAPITALSGR-EURIZONTHEMATICOPPORTUNITIESESG5007/2026 EURIZONCAPITALSGR-EURIZONSTEPSOOBIETTIVONETZERO12/202 |
13.934 | 13.934 | |||
| **D | l કહિંદ CAPITAL EURIZON |
MEGATREND TR EURIZON AM |
202.957 | 957 202. |
||
| **D | l રહેર CAPITAL EURIZON |
IT MEGATREND TR AM EURI ZON |
33.043 | 33.043 | ||
| **D | EURIZONCAPITALSGR-EURI | SONTOPSELECTIONEQUILIBRIOMAGGIO2025 | 0 | 298 | 298 | |
| **D | l SGR CAPITAL EURIZON |
EURIZON GLOBAL DIVIDEND | 63.651 | 63.651 | ||
| **D | EURIZONCAPITALSGR-EURI | S ZONGLOBALDIVIDENDESG50-MAGGIO202 |
0 | 0 4 5 - 6 б |
95.604 | |
| **D | - ડિલે CAPITAL EURIZON |
PIR ITALIA AZIONI EURIZON |
C | 446-690 | 446.690 | |
| **D | - SGR CAPITAL EURIZON |
EUROPA AZIONI EURIZON |
0 | 798.216 | 798-216 | |
| **D | l SGR CAPITAL EURIZON |
ITALIA AZIONI EURIZON |
0 | 8.571.433 | 571.433 8. |
|
| **D | SGR CAPITAL EURIZON |
INTERNAZIONALI AZIONI EURI ZON |
0 | 617.103 | 617.103 | |
| **D | l SGR CAPITAL EURIZON |
RENDITA EURIZON |
0 | 25.924 | 25.924 | |
| **D | કલત CAPITAL EURIZON |
ETICO AZIONARIO INTERNAZIONALE -EURIZON |
0 | 425.000 | 425.000 | |
| **D | l SGR CAPITAL EURIZON |
EURO AREA AZIONI EURI ZON |
0 | . 640 778 |
778.640 | |
| **D | l કલશ CAPITAL EURIZON |
PMI ITALIA AZIONI EURIZON |
0 | 260.000 | 60.000 N |
|
| **D | EURIZONCAPITALSGR-EURIZONTOPSELECTIONCRESCITADICEMBRE2023 | 0 | 8 0 P |
408 | ||
| **D | EURIZONCAPITALSGR | -EURIZONTOPSELECTIONEQUILIBRIOMARZO2024 | 0 | L d I |
all | |
| **D | V EURIZONCAPITALSGR-EURIZONTOPSELECTIONCRESCITAMARZO202 |
0 0 |
931 .261 |
ਕੇ ਤੇ ਹ 1.267 |
||
| **D | SGR EURIZONCAPITAL |
TRENDDICEMBRE2022 -EURIZONMÜLTIASSET |
0 | て 78 T |
ਟ 78 |
|
| D D |
EURIZONCAPITALSGR EURIZONCAPITALSGR |
-EURISONIOSSELECTIONEOU111BR10CIUCINGNO2024 -EURIZONTOPSELECTIONEQUILIBRIOMAGGIO2024 |
0 | б 28 L |
1.289 | |
| **D | EURICONCAPITALSGR-EURIZONTOPSELECTIONEQUILIBRIO09/202 | 0 | - 543 ﺎ |
1.543 | ||
| **D | EURIZONCAPITALSGR | 24 -EURIZONTOPSELECTIONEQUILIBRI012/20. |
0 | 1.133 | 1 133 | |
| **D | EURIZONCAPITALSGR | 025 EURISONTOSSELECTIONEQUIITIBRIONARYO2 |
C | 1.540 | 1 - 540 | |
| **D | l SGR CAPITAL EURIZON |
70 ITALIA EURIZON PROGETTO |
9 | 98.949 - 4 N |
98.94 বু 2 |
|
| **D | ト ടഭു CAPITAL EURIZON |
40 EURIZON PROGETTO ITALIA |
0 | .144.60 ਟ |
.144.685 ਟ |
|
| **D | EURI ZONCAPITALSGR | 2028 -EURIZONSTEP500BIETTIVONETZER003/ |
0 | 24.426 | 24 - 426 | |
| **D | TOP l FUND EURIZON |
RÉSÉARCH EUROPEAN |
0 | .222.022 5 |
.222.022 S |
|
| **D | P - FOND EPSILON |
ENHANCED CONSTANT RISK CONTRIB | 32.631 50-000 ದ ਟ |
350.000 32.631 2 |
||
| D D |
1 FUND FUND EPSILON EÜRIZON |
ITALIAN EQUITY OPPORTUNITIES EUROPEAN Q-EQUITY |
16.733 చా |
16-733 V |
||
| **D | Q-FLEXIBLE EUND EPSILON |
205 110 . - |
10.205 . 1 |
|||
| **D | EQUITY l FUND EURIZON |
EUROPE LTE | ਟੇ ਪੈ 0.2 63 |
-254 630 |
||
| Pagina 74 | ||||||
| Teste: 76 |
ಕ | |||||
| Azionisti; | ||||||
| Azionisti in proprio: | Azionisti in delega: | 5 L |
688

Azionisti in proprio:
10 maggio 2023 16.27.23
| Badge | Sociale Ragione |
Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | EURO LTE EQUITY l FUND EURIZON |
341-155 | 341.155 | |
| **D | ITALY SMART VOLATILITY EQUITY l FUND EURIZON |
0 58 729. |
729.580 | |
| **D | ALLOCATION ACTIVE l FUND EURIZON |
1.800.000 | 1-800.000 | |
| **D | STRATEGIA MEGATREND l NEXT EURIZON |
ಷ 67.59 б |
E 967.59 |
|
| **D | EUROPE ESG LTE EQUITY l FUND EURIZON |
8 ਾ 417.6 |
8 417.64 |
|
| **D | ITE ESG LEADERS MORID EX-EUROPE EQUITY l FUND EURIZON |
0 9 94.1 |
94.160 | |
| **D | PEOPLE EQUITY - EUF |
2.047.227 | 2.047.227 | |
| * * D | - STRATEGIA AZIONARIA DINAMICA ENEXI |
3 43.79 |
43-793 | |
| **D | -MONTECUCC. DIVERSIEIEDMULTI-ASSETEUND-SLEEVEIMAMUNDI ISESIF |
31.730 | 31.730 | |
| **D | DIVIDEND HIGH EQUITY l EUF |
438.624 | 438.624 | |
| **D | ITALIAN EQUITY l SICAV EURIZON AM |
400.000 1. |
1.400.000 | |
| **D | LOW CARBON EURO l SICAV AM EURIZON |
б ਵ ਰੇ 205. |
б 285.59 |
|
| **D | CONTROLLO OBIETTIVO l 0 SICA AM EURIZON |
S ਰੇ ਰੋ 55. |
55.995 | |
| **D | EQUILIBRIC OBIETTIVO P SICAV AM EURIZON |
0 111-15 |
111.154 | |
| **D | STABILITA OBIETTIVO l SICAV AM EURIZON |
6.652 | 6.652 | |
| **D | SVILUPPO OBIETTIVO l SICAV AM EURIZON |
8 57 8 . |
578 8. |
|
| **D | EQUITY EUROPEAN l SICAV BM EURIZON |
S 24.42 |
24.425 | |
| **D | GLOBAL DYNAMIC ALLOCATION l SICAV AM EURIZON |
201.501 | 201.501 | |
| **D | EQUITY GLOBAL l SICAV ам EURIZON |
40.801 | 40.801 | |
| **D | 15 MULTIASSET GLOBAL l SICAV AM EURIZON |
S 43.28 |
285 4 3 - |
|
| **D | 30 MULTIASSET GLOBAL l SICAV AM EURIZON |
48.562 | 562 48 - |
|
| **D | EURICONINVESTMENTSICAV-EUROPEEQUITY NSURANCECAPITALLIGHT | 73.172 | 73.172 | |
| **D | MULTIASSET RISK OVERLAY l SICAV EURIZON INVESTMENT |
897 67. |
67.897 | |
| **D | OVERLAY MODERATO RISK MULTIASS l SICAV EURIZON INVESTMENT |
7.174 | 7.174 | |
| **D | 2 DONATELLO l 515 |
0 35.00 |
35.000 | |
| **D | 421MUT IM SLEEVE ISFSIF - DIVERSIFIED ALLOCATION FUND 4 - |
5 . 6 17.1 |
17.165 | |
| 6934 | MATTEO FORLANI |
ਨ ਕੇ ਕੇ 1. |
0 | 1.992 |
| Totale voti | 38.402.282 | |||
| 0,583678 Percentuale votanti % |
||||
್ಳ ಸ

Azionisti in delega:
Teste:
Azionisti:


EMARKET
SDIR
CRIFF

0,377727
Percentuale Capitale %
| ENEL S.p.A. | Assemblea Ordinaria del 10 maggio 2023 | 10 maggio 2023 16.27.23 | ||||
|---|---|---|---|---|---|---|
| Oggetto: Determinazione del compenso dei componenti il Consiglio di Amministrazione LISTA ESITO DELLE VOTAZIONE |
VOTI NON COMPUTATI (Non Votati) | |||||
| Badge RA D** |
BATTISTUTTI LORIS Ragione Sociale |
COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART 135 UNDECIES | TUF NELLA PERSONA DI CARUSO ENRICO | Brobzio | Delega 0 6.000 |
Totale 6.000 |
| Percentuale Capitale % Percentuale votanti % Totale voti |
0,000059 0,000091 6.000 |
|||||
| Azionisti: | Teste: I |
Pagina 76 | ||||
| Azionisti in proprio: | Azionisti in delega: 0 |
Q | colici in alle | |||
ಕ್ಕಿಂದ
EMARKET
SDIR
CRIFF

| AUTENTICA NOTARILE DI DICHIARAZIONE RESA AI SENSI DELL'ART. | AILANIE - GERAJI 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 conseguenti 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 | |
| persona giuridica. NO |
|
| And May | |
| P.le di Porta Pia, 121 00198 Roma Tol 44250157 Fax 44250130 |
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