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Enel

Declaration of Voting Results & Voting Rights Announcements Jun 6, 2023

4317_agm-r_2023-06-06_05911440-188d-4e4e-8ce1-73ec1d656bf1.pdf

Declaration of Voting Results & Voting Rights Announcements

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10 maggio 2023 15.23.46

ENEL S.p.A.

Assemblea Ordinaria del 10 maggio 2023

ESITO VOTAZIONE

Oggetto : Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

Hanno partecipato alla votazione:

-nº 3.540 azionisti,

portatori di nº 6.579.683.999 azioni ordinarie, tutte ammesse al voto, pari al 64,718119% del capitale sociale.

Hanno votato:

% su Azioni Ordinarie
Ammesse al voto
Favorevoli 6.553.085.686 99.595751
Contrari 4 - 645 0.000071
SubTotale 6.553.090.331 99,595822
Astenuti 26.593.668 0,404178
Totale 6.579.683.999 100,000000
Non votanti 38.400.290

Ai sensi dell'art. 135-undecies del TUF non somo computate ai fini del calcolo della maggioranza e del capitale richiesto per l'approvazione della delibera numero 0 azioni.

Pagina. 1

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE
Oggetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI
Badge Ragione Sociale Proprio Delega
0
Totale
0
୧୦୦୧
6000
SCARAMUZZO PIERPAOLO
DI PAOLO LUIGI
.250
ea
L
0 .250
9
6091 COLLEONI ANGELO .115
8
9.51
14.633
6101 FEDERICO FABIO do
C
0 290
6127 BUDA RENATO .000
C
0
9
10.32
3.000
16.194
6139
6157
BONAFACCIA FAUSTO
MONTI PASQUALE
5.868
5.000
0 5.000
RA COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO 0
0** BATTISTUTTI LORIS D
6-00
6.000
D** CAMOZZI ETTORE 0000
0
00
00
.417.

52
52.417.000
1-000
D
D
CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA FORENSE 0 0
70
10.
10.700
D** FONDO SCUOLA ESPERO - CRESCITA AZIONARIO
COLACCHIA ELISABETTA
838
16.
16.838
D** GUALTIERO
LEMMI
500
7.
રેવા સ્વાપ
7 -
D** MARCELLO DEL MAJNO LORENZO 50 50
D** PASQUALUCCI GIOVANNI MARIA 1.000 1.000
D
D
PELLEGRINO GIACOMO 750
1.743
50
1.743
L
D** RAIOLA EMANUELE
POGGI GIANNI
300
T
00E.T
D** SORBONE ALESSANDRO 1.600 1-600
6210 CATONI GIANCARLO 400 D 400
6273 RUGIERO FLORICEL 262 000 62
6275 RENDINE ERMINIO 6.531
. 400
б
9.400
31
S
6.
6278 BELLAROTO FRANCESCO PAOLO
BASILI SIMONE
. 430
б
0 . 430
б
6290
€2 à 3
BONFITTO VALENTINA 480 0 80
ਕਾ
6328 SOMASCHINI VITTORIO 3.880 0 3.880
6351 GENTILUCCI LIVIO 0 0 0
DE* AKTIV MIX ERTRAG
GENERALI
0 461
2.
2.461
DE* INVESTMENTS LUXEMBOURG SA
GENERALI
0 054
802
76.
76.802
645.054
DE+ SICAV
INVESTMENTS
GENERALI
0 30.000
645.
30.000
DE
DE
GIAM GENERALI INSURANCE ASSET MANAGEMENT
GENERALI SMART FUNDS
0 ਰੇ ਹੋ ਪੈ
210.
210.994
DE* GIE ALLEANZA OBBLIGAZIONARIO 0 551.860 551-860
DE* FONDO ALTO AMERICA AZIONARIO
GIE
0 438.402
DE* GIP GENERALI INVESTMENTS PARTNERS 0 143.628 438.402 143.628
6421 TREVISAN DARIO 0
**D MORGEN AKTIEN GLOBAL UI 0 20.000 00.030
20.000
D
D
HANNOVERSCHEMAXINVEST
UNIVERSAL IMW
0
0
51.072
80.030
51.072
**D SENTIX TOTAL RETURN OFFENSIV 0 88.000 000.88
**D MEAG FLEXCONCEPT-EUROGROWTH 0 14.547 14.547
**D MASTERINVEST KAPITALANLAGE GMBH G 138.299 б
138.29
**D SENTIX RISK RETURN -A- 0 10.400 10 - 400
D
D
HMT EURO SEASONAL LONGSHORT 0 10.000
44.712
44.712
10.000
**D TIMM INVEST EUROPA PLUS
NONI VERMOEGEN
8-571 8.571
**D VCH-UNIVERSAL-FONDS I 20.000 20.000
**D HMT GLOBAL OPTIMAL DYNAMICS 880
27.
27.880
**D SELECTION RENDITE PLUS 70.00 70.000
Pagina I
Azionisti: l'este:
3.534
ਤੇ ਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

EMARKET
SDIR certified

us Most

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 yl

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

75
6.00
I
0
0
0
0
0
0
0
0
O
Pagina 2
ਤੇ ਰੋ
3.507
ITALIA
003
1
EM
l
r
Azionisti in delega:
Teste:
каква
EURIZON
INTERNATIONAL
INTERNATIONAL
AXA
AXA
BIL
svi
BIL
3.534
27
Azionisti in proprio:
Azionisti:
0
560
0
167.000
925.000
401.000
302.383
333.967
34.376
MADE IN ITALY
SICAV
SICAV
NIEVERGELT PETER RUDOLF
DEKA INVESTMENT GMBH
ARGIMON VITAS
STOLL DANIEL
PREVINDAI
PREVINDAI
PREVINDAI
KAIROS
KAIROS
D
D
D
D
D
D
★★★

EMARKET
SDIR
GRTIFFE ﻟﻠﻤﺪﻳﻨﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤ 1920 No

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

VI

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Siniacele e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
D
*
PREVINDAI SVI EURIZON 45.138 45.138
**D KAIROS INTERNATIONAL SICAV - KEY
yo
KIMURA
000
000
472.
3 -
. 000
.000
E
472
*** CHEKALIN YURY 4.000 4.000
出次当 GABOR
SZINNA
5.400 5.400
★★★ MAXIMCHUK ALEXEY 200
23.
23.200
**D TRADING
AOR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL
240.772 240.772
**D CF (A)
W/DEKA-NACHHALTIGKEIT AKTIEN
INTERNATIONAL S.A.
DEKA
600.000 600.000
**D ਟੈਸ਼
CIE
AND
PICTET
BANQUE
572
50.
572
50.
**D និង
TRACKER EX
EX SWISS EQUITIES
EUROPEAN
l
INSTITUTIONAL
CH
PICTET
512
256.
256.512
**D SWISS EQUITIES TRACKER
WORLD EX
l
INSTITUTIONAL
CH
PICTET
201.264 201.264
**D N
FLEX
-
DZRB II
3.275.050 50
3.275.0
0
**
SL
INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX
CH
PICTET
164
86.
86 - 164
**D GMBH W/A-HECKER-FONDS I
INVESTMENT
DEKA
215.000 215.000
D
D
IMB
W/INKA
мвн
KAPITALANLAGEGESELLSCHAFT
INDEX
EUROPE
INTERNATIONALE
l
PICTET
110
812.
812-110
**D AKTIEN GLOBAL
l
FONDS
PKG
378
74.000
381.
.378
74.000
381
**D 1
ETEX
l
II
DZPB
212.190 212.190
**D ్ర
FLEX

II
DZPB
988.015 988 - 015
**D FUND - GLOBAL HIGH YIELD UTILITIES EQUITY FUND
SELECTION
GLOBAL
PICTET
ਕੇ ਖੋ ਰੋ
76.
76.949
**D U01 AKTIEN
GMBH W/DONAU-MULTI-ASSET-FUNDMASTER
INVESTMENT
DEKA
344
319-
319.344
**D PICTET-EUROLAND INDEX 460.294 460.294
**D - CHANCE
SICAV
PORTFOLIO
EXKLUSIV
73.750 73.750
**D TRACKER
EX SWISS EQUITIES
ÉUROPÉAN
l
INSTITUTIONAL
CH
PICTET
342
216.
216.342
**D PORTFOLIO SICAV-AKTIEN
EXKLUSIV
130.245 130.245
**D ULTITIES EQUITY CURRENCY HEDGED FUND
FUND - GLOBAL
SELECTION
GLOBAL
PICTET
97
601.8
601.897
**D PORTFOLIO SICAV-ERTRAG
EXKLUSIV
00
d
71
71.400
**D ENERGY TRANSITION
CLEAN
l
PICTET
11.937.089 11.937.089
**D ENERGY
RENEWABLE
l
FUND
DNE
3.311.159 3.311.159
**D SICAV-WACHSTUM
PORTFOLIO
EXKLUSIV
00
137.4
137.400
**D INCOME STOCK FUND
GLOBAL
l
FUND
SELECTION
GLOBAL
PICTET
109.347 109.347
**D UTILITIES EQUITY FUND
GLOBAL
FUND -
SELECTION
GLOBAL
PICTET
27.572.013 27.572.013
**D AS
W/DEKA-PRIVATVORSORGE
GMBH
INVESTMENT
DEKA
00
0
236.
236-000
**D w/cuyo coba
GMBH
INVESTMENT
DEKA
14.218 14-218
**D INDEX
GIOBE
l
IST
IF
264.749 264.749
**D W/NEO-FONDS AKTIEN
GMBH
INVESTMENT
DEKA
207.622 207.622
**D W/A-ALPSPITZ 2-FONDS
GMBH
INVESTMENT
DEKA
ട് റോ
90.
90.500
**D SELECTION
MEGATREND
GLOBAL
l
PICTET
2.537.931 2.537.931
**D W/DEKA-S01-FONDS W/S01-BANTLEON-LCR
GMBH
INVESTMENT
DEKA
11,740 1.740
L
**D VERMOEGENSMANAGEMENT GMBH W/KEPPLER-GLOBAL VALUE-INVEST
DEKA
50.350 50.350
**D W/A-FELD-AKTIEN-FONDS
SMBH
INVESTMENT
DEKA
68.050 68.050
**D W/DEKA-EUROPA AKTIEN STRATEGIE
GMBH
INVESTMENT
DEKA
00
130.0
130.000
**D EUROPA
AKTIEN
W/DEKA-NACHHALTIGKEIT
INTERNATIONAL S.A.
DEKA
2.256.400 2.256.400
**D LUXEMBURG W/IFM-INVEST AKTIEN EUROPA
NIEDERLASSUNG
GMBH,
VERMOEGENSMANAGEMENT
DEKA
310.000 310.000
D
D
W/KSK IVV CHANCE
URG
LUXERB
NIEDERLASSUNG
GMBH,
VERMOEGENSMANAGEMENT
DEKA
253.600 253.600
**D M/SPK MUENSTERLAND OST AKTIEN FLUS
URG
LUXEMB
NIEDERLASSUNG
GMBH,
VERMOEGENSMANAGEMENT
DEKA
794.500 794.500
**D EQUITIES
GLOBAL
l
CH
PICTET
561
78.
78.561
**D ORGANIZATION PENSION PLAN
TRADE
WORLD
391
77.
77.391
**D VERMOEGENSMANAGEMENT GMBH W/ES-DIVIDENDENSTRATEGIE
VERMOEGENSMANAGEMENT
DEKA
DEKA
375.689 б
375.68
GMBH, NIEDERTASSUNG LUXEMBURG M/INVEST EVOLUTION 48.000 00
48.0
Pagına 3
Azionisti: ਤੇਰੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

EMARKET
SDIR
GRTIFFE

Jerse (20)

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

17

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

Badge
**D
Ragione Sociale Proprio Delega Totale
SPARINVEST POOL-GLOBAL EQUITY POOL 0 67.161 67.161
D
D
INVESTMENT GMBH
DEKA
DEKA
M/SVN II-FONDS 0 0.874
L
0.874
H
**D GMBH
INVESTMENT
DEKA
KOMMUNAL
W/DEKA-NACHHALTIGKEIT
INTERNATIONAL S.A. W/DEKA-EUROPAVALUE
0 28.000 .000
28
**D CAPITAL 0 168.714 168.714
**D FUNDS
ASSET
- MULTI
QUAERO
PICTET
- ACCESSIBLE CLEAN ENERGY
OPPORTUNITIES
GLOBAL
(LUX)
539.047 539.047
**D GMBH
INVESTMENT
DEKA
W/DEKA-EURO-IST. 92.549 92.549
**D PICTET CH INSTITUTIONAL DI . +UC . ETF
SUSTAINABLE
EIN
SMISS
EX
HORID EX
-
0 .417.745
L
5
1.417.74
**D DEKA INVESTMENT EQUITIES TRACKER 0 130.727 130.727
**D DNS INVESTMENT DIVIDENDENSTRATEGIE
GMBH W/DEKA-NACHHALTIGKEIT
500.000
L
00
500.0
**D A
1
BBR
GMBH W/DEAM-FONDS
0 400
150.
50.400
T
**D RAIFFEISEN INDEX FONDS -EURO STOXX 50 0 151.648 8
151.64
**D INTERNATIONALE F100 W/S200
MBH W/INKA
KAPITALANLAGEGESELLSCHAFT
0 120.000 120.000
**D GMBH
INVESTMENT
DEKA
W/FULDA-FONDS 0 900
6 -
6.900
**D GMBH
INVESTMENT
DEKA
DEKA
L
W/DEKA STOXX EUROPE 50 UCITS ET
0 86.370 86.370
**D FUND
XUE
മു ശ്രീ
VERMOEGENSMANAGEMENT GMBH, NIEDERLASSUNG LUXEMBURG W/IFM-INVEST VERMOEGENSMANAG.AKTIEN 0 1.000.000 000.000
T
**D INVESTMENT
DEKA
RENT DEKA W/U2
GMBH W/BEROLINA
0 350.000 50.000
E
**D PICTET CH INSTITUTIONAL - MORLD EX SMISS 0 4.120 4.120
**D GMBH
INVESTMENT
DEKA
TRACKER US
EQUITIES
35
W/DEKA-BR
TE 0 8
39.56
39.568
**D GMBH
INVESTMENT
DEKA
W / DEKA-BAV-FONDS 0 537
5.
12
125.537
**D GMBH
INVESTMENT
DEKA
0 171.932 171.932
**D W / DEKA-MEGATRENDS 0 920.000 920.000
GMBH
INVESTMENT
DEKA
W/BF MASTERFONDS 03 0 110.000 0
110.00
**D GMBH
INVESTMENT
DEKA
W/PALATIA FONDS W/U3 DEKA AKTIEN 157.300 157.300
**D GMBH
INVESTMENT
DEKA
U2
W/ARGO NAVIS
0.000
I
18.000
**D GMBH
INVESTMENT
DEKA
NACHHALTIGKEIT GLOBALE AKTIEN OFFENSIV
W/HEIDELBERG
53
ਰੇ . ਕੈ
. 453
б
**D GMBH
INVESTMENT
DEKA
W/A-AMISIA-FONDS 00
6.0
1
76.000
**D GMBH
INVESTMENT
DEKA
W/CAMPUS
BREMEN 1
W/DEKA -
3 4 B
26.
26-348
**D GMBH
INVESTMENT
DEKA
W/MAGUST-FONDS 00
S
0.
.500
30
**D GMBH
INVESTMENT
DEKA
W/ARIDEKA .500.000
P
.500.000
P
**D GMBH
INVESTMENT
DEKA
W/DEKA MSCI WORLD UCITS ETF 257.408 257.408
**D GMBH
INVESTMENT
DEKA
W/DEKA-DIVIDENDENSTRATEGIE-EUROPA 640.000 . 000
୧ ବି ଠ
**D GMBH
INVESTMENT
DEKA
W/MASTER 172 W/AKTIEN 000
263.
263.000
**D GMBH
INVESTMENT
DEKA
5
W/BIA-STRATEGIEFONDS NR.
ર રે સ્
131.
ટે ર
131.5
**D GMBH
INVESTMENT
DEKA
AKTIEN
נטע/ או
w/nuITT-FONDS
00
S
9.
D
49-500
**D GMBH
INVESTMENT
DEKA
FONDS
W/S BROKER 1
000
0.
L
10.000
**D GMBH
INVESTITENT
DEKA
W/HD-PHILOSOPHENWEG 8.032
. 032
8
ರ್
**D GMBH
INVESTMENT
DEKA
W/A-DOR-FONDS W/U23 50
8
170.
170.050
**D GMBH
INVESTMENT
DEKA
FLEXIBET
W/DEKA-BASISSTRATEGIE
0.000
S
50.000
**D ਵਮਰਜ
INVESTMENT
DEKA
W/DEKA-NACHHALTIGKEIT DYNAMISCH 270.000 270.000
**D GMBH
INVESTMENT
DEKA
BANTLEON
AKTIEN
STARKENBURG U04
M / DEKA
41-218
T
141.218
**D GMBH
INVESTMENT
DEKA
W/KAL-FONDS 4.000 . 000
ਕਾ
**D GMBH
INVESTMENT
DEKA
W/A-WOLFACH-FONDS 00
0
6.
. 000
9
**D GMBH
INVESTMENT
DEKA
FULDA-FONDS
W/A-KSK
00
6.0
D
46-000
* * D GMBH
INVESTMENT
DEKA
W/EKO-FONDS 0-000
0.000
**D GABH
INVESTMENT
DEKA
W/MULDENTAL-FONDS 370
13 -
13.370
**D GMBH
INVESTMENT
DEKA
W/OBERES-SCHLOSS-U2 00
0
92.
92.000
+ + D GMBH
INVESTMENT
DEKA
2
W/SEGMENT
W/INTER-E5SEN-FONDS
42.867 42.867
* * D GMBH
INVESTMENT
DEKA
W/DEKA-BR 75 1.171
5
.171
51
**D GMBH
INVESTMENT
DEKA
W/A-DIM-WETZLAR-BALANCED-FONDS 200
5 -
N
25.200
**D GMBH
INVESTMENT
DEKA
W/A-NORDHAUSEN 2-FONDS W/U05 12.698 98
12.6
Pagina 4
Azionisti: l'este:
3.234
39
Azionisti in proprio: Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

I0 maggio 2023 15.23.46 ง ใ

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

p
1
FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale
**D DEKA INVESTMENT EUROPE UCITS ETF
GMBH W/DEKA MSCI
C 256.848 256.848
D
D
GMBH
GMBH
INVESTMENT
DEKA
DEKA
W/DFM ALPHA W/U02 BANTLEON C 43.673 43.673
**D FUND-AKTIEN WELT
INVESTMENT
W/KOMMUNAL-TUT-BALANCED-FONDS C 24.050 24.050
AVADIS 2
AST
54.693
t
154.693
**D GMBH
INVESTMENT
DEKA
0
2
W/DEKA-BR
S
72
1.
725
1.
**D GMBH
INVESTMENT
DEKA
W/MV-FONDS 99.000 89.000
**D GMBH
INVESTMENT
DEKA
G
B
W/DEKA-BR
0 0
97,
65.
978
265 .
**D GMBH
INVESTMENT
DEKA
W/DEKA-DIVIDENDENSTRATEGIE 0 500-000
8
I
500.000
8
**D GMBH
INVESTMENT
DEKA
100
W/DEKA-BR
0 0
50
040.
1.
500
-040 -
H
**D GMBH
INVESTMENT
DEKA
રે રે
W/DEKA-BR
0 б
20.16
1 6 8
20.
**D GMBH
INVESTMENT
DEKA
STOXX
PURO
W/DEKA
50 UCITS ETF б
.054.53
ਦੇ ਤੇ ਰੇ
.054 -
C
**D GMBH
INVESTMENT
DEKA
W/A-BAD HERSFELD-FONDS W/U01 0 0
39.05
39.050
**D GABH
INVESTMENT
DEKA
W /MAULBRONN-STROMBERG-FONDS 0 દર્
4 4 -
650
ਕੇ ਪੈਂ "
**D GMBH
INVESTMENT
DEKA
W/A-ASD-FONDS 0
31.00
31-000
**D GMBH
INVESTMENT
DEKA
W/DEKAFONDS-RA-HH W/DWS AKTIEN 0 ടെ
84 -
ર 82
84 -
**D GMBH
INVESTMENT
DEKA
W/DEKA-UMWELTINVEST 0
00
.000.
б
00.000
. O
0
**D GMBH
INVESTMENT
DEKA
W/A-DIM-WETZLAR-FONDS 26.096 26.096
**D СМВН
INVESTMENT
DEKA
W/A-VSA-FONDS W/BALANCE 69.400 69-400
**D FUND-AKTIEN WELT
AVADIS

ESG AST
0 36.60 605
6.
3
**D INVESTMENT
DEKA
EUROPE IC UCITS ETF
GMBH W/DEKA MSCI
16.859 859
16.
**D VERMOEGENSMANAGEMENT
DEKA
GMBH W/PRIVATE BANKING STRUKTUR 000
50.
000
0.
5
**D GMBH
INVESTMENT
DEKA
W/A-LANDGRAF PHILIPP FONDS W/U01 WERTPAPIERE 18.000 18-000
**D INVESTERINGSFORENINGEN l
INVEST
NORDEA
AKTIER KL
BAEREDYGTIGE
393-425 393.425
**D F.M. KIRBY TRUST DATED 1/3/1975 F/B/O FR G 11.349 11.349
**D SICAV
SANTANDER
0 6
541.44
N
. 541 . 449
**D INVESTMENT
FIDETITY
- FIDELITY INDEX EUROPE
FUNDS
UK FUND
EX
0 662.223 662.223
**D FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND C 28.538 ਦ ਤੇ 8
28.
**D LABOR FUNDS-LABOR
OF
BUREAU
INSURANCE FUND 88.606
E
88.606
**D INVESTMENT
STANLEY
MORGAN
FUNDS 64.094 0 9 4
64 .
**D PENSIOENFORDS
STICHTING
HUISARTSEN
VOOR
0 900.264 264
00.
**D FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE FUND
INDEX
B
509.25
9
250
509
9
**D PENSION UNIVERSAL
FOVERUKA
200.375 375
200.
**D BUREAU OF LABOR FUNDS-LABOR PENSION FUND 0 . 676. 780
780
.676.
**D SPA INKA 987
77.
987
77 .
**D ROWE
T.
PRICE INTERNATIONAL EQUITY INDEX TRUST 511
48.
b
511
48.
D
**D PENSION INVESTMENT
VERMONT
COMMISSION 273
03.
I
273
03.
**D COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. 159.177
বা
177
.159.
**D PENSION INSURANCE
NATIONAL
FUND 539
87 .
ਤੇ ਰੋ
5
87.
**D INVESTMENT
FIDELITY
GLOBAL
FUNDS-FIDELITY
INCOME FUND
ENHANCED
341
.031.
L
341
.031.
L
**D VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND 900
177.
908
177.
**D TELEPHONE COMPANY
RICO
PUERTO
TRUST
MASTER
397
33.
397
33.
**D TRUST -
EQ ADVISORS
EQ/AB DYNAMIC GROWTH PORTFOLIO 3.456
ರಿ
93.456
**D MISSOURI EDUCATION PENSION TRUST 349.191 191
349 -
**D FÜND
PENSION
1934
.788
802
T
.802.788
T
D
D
PRICE GLOBAL
T. ROWE
INC.
ALLOCATION FUND,
126.295 295
26.
T
SUSTAINABLE
NORDEA
SELECTION BALANCED FUND 32.760 32.760
D
D
FUNDS
LABOR
OF
BUREAU
FUND
RETIREMENT
LABOR
l
469.886 ે દ
8
ਕ ਦਰ
UNIVERSITIES SUPERANNUATION SCHEME 080
. 404
5
80
0
84 .
. 4
C
D
D
NEW YORK STATE COMMON RETIREMENT FUND 89.79
1.8
.795
б
8
. B
H
SAMPENSION LIVSFORSIKRING A/S 747.826 826
747 .
Pagina 5
Azionisti: Teste:
3.534
ਤੇ ਰੋ
Azionisti in proprio: Azionisti in delega:
27
3.507

EMARKET
SDIR
CRTIFFED

Albodod i

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 V

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione,

FAVOREVOL
Bagge Ragione Sociale
**D LLC
JEFFREY
Proprio
0
.813
Delega
71
Totale
**D INVESTERINGSFORENINGEN PFA INVEST 0 59.223 71.813
**D SUSTAINABLE SELECTION GROWTH FUND
NORDEA
0 35.48 59.223
**D FONDS
l
- UNIVERSAL
MAIN I
0 S
0
S
.2
192
35.485
**D GLOBAL
DISCRETIONARY
NORDEA
FUND
EQUITY
0 481.041 8
192.25
**D MAIN VI-UNIVERSAL-FONDS 0 17-165 481.041
**D TAUI EQUITY MORED EX EUROPE 0 0
40.00
5
17.16
**D HALLBAR ENERGI
HANDELSBANKEN
0 18 40.000
**D PA1
VGV POOLFONDS
0 . 525
318
S
-318.52
B
1
**D NORDEA GLOBAL EQUITY ALLOCATION FUND 57
B
193.
193.857
**D TEMORGAN GLOBAL RESEARCH ENHANCED INDEX EQUITY TRUST 0
0
.292
el
1
2
761.29
**D INVESTMENT
NORDEA
FUNDS S.A / NORDER ASSET ALLOCATION FUND 0 18.740 18.740
**D INVESTERINGSFORENINGEN NORDEA INVEST GLOBAL KT
ENHANCED
б
326.80

326.80
**D KATHERINE C MOORE CHARITABLE LEAD ANNUIT 0
0
9
451.906
9
451.90
**D GENERATIONSFOND
NORDEA
90-TAL 0 б
S
1.8
9
1.65
**D INVESTMENT FUNDS
JPMORGAN
0 43.53 ರ್
43.53
**D TM FULCRUM DIVERSIFIED CORE ABSOLUTE RETURN FUND 0 57
50
.165.4


2
2.165.457
**D VERDI PAPIRFONDET EQUINOR AKSJER EUROPA 0 284.000
5
0
25.55
**D FORD PENSION UNIVERSAL 0 8.246
284.000
**D PLUS
DĒKA VALUE
0 157.824 28.246
**D TM FULCRUM DIVERSIFIED ABSOLUTE RETURN EOND 0 5.477
E
2
157.824
**D VANTAGETRUST III MASTER COLLECTIVE TRUST
INVESTMENT FUNDS
0 81 35.477
**D FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND . 509
481.509
**D T. ROWE PRICE FUNDS SICAV 0 20-125 0.125
C
**D SICAV
NORDEA 2
6
18
364 .
364 - 189
**D MAINSTAY VP FIDELITY INSTITUTIONAL AM UTILITIES PORTFOLIO 0 . 819
ﺎ ﻓﻲ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ
2
.144.819
**D TRUST
THE MASTER
FOR
BANK OF JAPAN, LTD. AS TRUSTEE
ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 03.200
P
403.200
**D SICAV
NORDEA 1
356.645 356.645
**D IVM LANDWIRTSCHAFTLICHER VERSICHERUNGSVEREIN MUENSTER A.G. . 064
262
064
. 262 .
2
**D NATIONAL
THE
SOCIETY
FARMERS UNION MUTUAL INSURANCE
TIMITED-UNIT LINKED PENSION 8 J
S
14 -
T
114-581
**D FARMERS UNION MUTUAL
NATIONAL
THE
LTD
SOCIETY
INSURANCE
846
53.
1
3.846
15
**D INFRASTRUCTURE ETF
AGFIQ GLOBAL
0 1 8 4
409.
409.184
**D FUND
MINE SUPERANNUATION
0 230
ব -
230
4 .
**D CAMBRIDGE
COLLEGE
TRINITY
347.443 7-443
ਤੇ ਕੇ
**D ICORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND 0 68.067
t
8.067
נו ב
**D SUPERANNUATION
OANTAS
LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN 0 g
92
। ਰੇ
E
ત્વે 2 ૯
319.
**D FUNDS
GROWTH
CAPITAL
ROBECO
0 ਰੇ ਦੇ ਦ
1.
ਕੇ ਕੇ ਦ
**D JPMORGAN ACTIVEBUILDERS INTERNATIONAL EQUITY ETF O 826
031
03.

3
9
5.031
826
303.
9
**D STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER TRUST 577
29.
577
**D GLOBAL
HANDELSBANKEN
INDEX CRITERIA 0 37.110
6
110
9.
937.
**D LVUI EQUITY EUROPE 270.000 270-000
**D HESTA 0 1
616.61
616.611
**D SUEBIA-FONDS 0
248.91
018
248.
**D WMC
MAINSTAY
INTERNATIONAL RESEARCH EQUITY FUND 72.522 72.522
D
D
VANGUARD
SCHRODER
FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II 0 50 - 158
8
6.
D
6.850.158
b
**D GLOBAL DIVERSIFIED INCOME FUND
SICAV
UCITS
FULCRUM
ર જ
14.
14.68
**D TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND 9
95.85
95.856
**D INTERNATIONAL HEDGED EQUITY FUND
J PMORGAN
0
128.25
L
128.250
T
**D CBRE GLOBAL INFRASTRUCTURE FUND
MAINSTAY
6
66.772
572.73
б
77
.572.73
ଚର୍ଯ୍ୟ ହେବା ପାଇଁ ବିବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହେବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହେବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହେବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହେବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ ହେବା ବିଧାନ ସଭାକୁ ନିର୍ବାଚନ
8
Azionisti: 3.534 Teste: Pagina 6
ਤੇ ਰੇ
Azionisti in proprio: 27 Azionisti in delega: 3.507

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI
Badge Ragione Sociale Proprio Totale
**D THE SAUDI SECOND INVESTMENT COMPANY 0 Delega 225.585 225.585
**D BOMBARDIER TRANSPORTATION RETIREMENT PLAN TRUST 0 300
69.
69.300
**D BETABUILDERS
JPMORGAN
Suff
INTERNATIONAL EQUITY
0 1.684.334 7.684.334
**D JPMORGAN BETABUILDERS EUROPE ETF 0 927-478
9
927.478
ર.
**D FORSTA AP - FONDEN 0 6
341.63
N
ರ್
341.63
**D JNL INTERNATIONAL INDEX FUND 0 1.065.234 1.065.234
**D VALENCIA INKA 0 б
. 52
193
191.529
**D SBB
PENSIONSKASSE
0 425.164 425.164
**D MORNINGSTAR GLOBAL FUND
LISTED INFRASTRUCTURE (HEDGED)
0 106.511 106.511
**D SCHRODER GLOBAL ACTIVE ALLOCATION FUND 0 21.344 21.344
**D VOLTAIRE HOLDINGS LLC 0 123.045 123.04
**D INVESTERINGSFORENINGEN NORDEA INVEST AKTIER KL 0 25.477 25.477
**D PF2 0 146.518 146.51
**D SHELL PENSIONS INNIGED AS TRUSTEE OF SHELT CONTRIBUTORS FENSION FOND 0 0
133.35
0
133.35
**D AUSTRALIANSUPER 0 256.664 256.664
**D DELTA MASTER TRUST 0 47-382 47.382
**D T. ROWE PRICE CONCENTRATED GLOBAL EQUITY FUND 0 6.903 6.903
* * D VANGUARD INTERNAPIONAL SHARES INDEX FUND 0 3.180.074 3.180.074
**D PTV2 0 E
464.49
464.49
**D PT-VISION C - 944
ਰੇ ਹੋਂ ਕੈ
14.944
б
**D JPMCBNA 0
6.29
б
6.29
**D CONSTRUCTION AND BUILDING UNIONS SUPERAMMUATION FUND 0 279.891
9.

-279.89
б
**D FOUNDATION INC
F. M. KIRBY
0 5
б
37.5
5
37.59
**D EIDELITY INVESTMENT FUNDS - FIDELITY EUROPEAN FUND 0
126.12
б
I
б
126.12
б
T
**D TF-EQUITY 0 9
1.481.35
9
1.481.35
**D DT EQUITY 0 1.009.024 1.009.024
**D FIDELITY EUROPEAN TRUST PLC 0 9
333.23
1
9
.333.23
**D PRICE FUNDS
T. ROWE
OEIC - GLOBAL SELECT EQUITY FUND 0 7.851 7.851
**D MACQUARIE INTERNATIONAL EQUITIES FUND 0 169.986 9
169.98
**D SUSTAINABLE
NORDEA
EDINID
RETURN
SELECTION
0 8
. 24
বা
8
4.24
**D EUROPEAN PASSIVE FUND
NORDEA
0 133.792 133.792
**D MACQUARIE MULTI-FACTOR FUND 0 117.352 117.352
**D EUND
NORDEA STRATEGA 90
0 6.916 9
6.91
**D INVESTERINGSFORENINGEN SYDINVEST 0 98.953 98.953
**D STRATEGIC INTERNATIONAL EQUITY FUND 0 119.047 119.047
**D INVESTERINGSFORENINGEN GLOBALE AKTIERINDEKS KL
BANKINVEST ,
0 126.940 0
126.94
**D JPMORGAN FUND III ICVC-JPM DIVERSIFIED GROWTH FUND C 6
11.78
11.789
**D EQUITABLE FINANCIAL COMPANY
LIFE INSURANCE
0 60.305 S
60.30
**D SUEWAG G55 0 21.213 21.213
**D PFA PENSION FORSIKRINGSAKTIESELSKAB 0 1 743.520 1.743.520
**D VERDIPAPIRFONDET NORDEA GLOBAL 0 167.252 2
167.25
D
D
F55
LEW
0 б
. 24
32
б
32-24
**D KYBURG INSTITUTIONAL FUND - AKTIEN WELF g 529.416
1.
529.416
1 -
**D INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER 0 0
290.75
0
290 - 75
**D PENSJON
EQUINOR
O 0
300.00
300-000
**D STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS C 142.241 142.241
**D FULCRUM FUNDS INVESTERINGSFORENINGEN NORDER INVEST GLOBALE UDBYTTERKTIER KL G 10
269.18
269.18
**D HANDELSBANKEN EUROPA INDEX CRITERIA
l
SPC
ENERGY-INFRASTRUCTURE-RENEWABLES FUND SP
FULCRUM
9.24 9.24
**D NATIONAL SOCIETY
FARMERS UNION MUTUAL INSURANCE
LIMITED RELIBENENT BENEFILE SCHEME 0 1.862.027
29.094
1-862.027
29.094
Pagina 7
Azionisti: Teste:
3.534
ਤੇ ਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

I
FAVOREVOLI
Badge
D
D
Sociale
Ragione
T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND 0
Proprio
Delega
5 4 8
423.
Totale
548
423.
INTERNATIONAL CORE EQUITIES
WHOLESALE SRI
0 I26
8.
126
B
**D FUND
JPM MULTI-ASSET INCOME
ICVC -
EUND
J PMORGAN
0 567
31.
567
31.
**D GENERATIONSFOND SENIOR
NORDEA
169
б
9
169
9.
9
**D ENVIA 178 07
8
33.
807
33
**D FUND
INFRASTRUCTURE MEGATRENDS
GLOBAL
CBRE
MAINSTAY
084
- 884 .
2
L
2.884.084
L
**D ETUND
INCOME BUILDER
JPMORGAN
031
9.
8
6
031
989.
**D 50-TAL
GENERATIONSFOND
NORDEA
695
୧36.
636-695
**D I
BUMA-UNIVERSAL-FONDS
113
б
b
.113
б
**D PLAN VEKSTORIENTERT
VERDIPAPIRFONDET NORDÉA
16.744 16.744
**D GENERATIONSFOND 80-TAL
NORDEA
531
320.
320.531
**D UI-FONDS BAV RBI AKTIEN 6.061
9
0
866.061
**D TILT INDEX FUND
FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR
125
9.
। ୧
. 125
ਹ ਦੇ ਰੇ
**D RAGS-FUNDMASTER 65
E
70.
70.365
**D BALANSERT
VERDIPAPIRFONDET NORDEA PLAN
27
8
5.
25.827
**D FOIND
STOCK INDEX
INTERNATIONAL
TOTAL
VANGUARD
88 વ
102.033.
02.833.884
I
**D PASSIVE FUND
NORDEA GLOBAL
847
294 .
294.847
**D INDEKS KL
INVEST GLOBALE AKTIER
INVESTERINGSFORENINGEN NORDER
30
74.3
74.330
**D KT
INVĒST AKTIER II
INVESTERINGSFORENINGEN NORDEA
8 4 3
17.
17.843
**D VERDIPAPIRFONDET NORDEA PIAN KONSERVATIV NO 502
8.
502
8
**D ENHANCED EQUITY II) OF JPMORGAN CHASE BANK, N.A
RESEARCH
(INTERNATIONAL
TRUST FUND
PENSION
COMMINGLED
તે જેવી સ
726.
726.986
**D EPS 115.437 115.437
**D EMBO-FONDS 209.028 209.028
**D FUND
NORDEA WORLD
.273.676
T
.273.676
I
**D GLOBAL DIVIDEND FUND
NORDEA
254
. 902.
E
.254
3.902
**D EIDELITY INVESTMENT FUNDS - EIDELITY INDEX MORTD FUND 907.233 907.233
**D VERDIPAPIRFONDET NORDEA PLAN OFFENSIV ਕੇ ਕੋ ਕੋ
52.
52.994
מ** DYNAMIC INDEX FUND
FLEXSHARES INTERNATIONAL QUALITY DIVIDEND
259
53.

25
53.
**D 011-8 60.726 9
60.72
**D STICHTING SHELL bENSIOENFORDS 401-377 401.377
**D INDEX FUND
FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE
26.205 26.205
**D AKTIEALLOKERING
NORDEA
503
302.
302.503
**D PENSION & LIVSFORSIKRING A/S
VELLIV,
.120
17
17.120
** D 60-TAL
GENERATIONSFOND
NORDEA
.524.424
T
.524.424
t
**D INTERNATIONAL MANAGED VOLATILITY PORTFOLIO
- ATM
TRUST
ADVISORS
EQ
597
മ .
18
97
189.5
**D DAIDO LIFE FOREIGN EQUITY MOTHER FUND
BANK OF JAPAN, LTD. AS TRUSTEE FOR
THE MASTER TRUST
03
. 1
বা
m
. 10
P
**D FUND
ALLOCATIONTV4 MOTHER
GLOBAL ASSET
209
E
б
3.28
**D AKTIER
PORTEFOLJE
INVEST
NORDEA
VAERDIPAPIRFONDEN
841
877.
877.841
**D NORDEA AKSJER VERDÉN
VERDIPAPIRFONDET
22.808 22.000
**D FUNDS
J PMORGAN
138.387 138.387
**D FUND
DAIWA PAN EUROPEAN HIGH DIVIDEND YIELD STOCK MOTHER
0
б
ਰੇ ' ਰੋ
I
19.990
**D GENERATIONSFOND 70-TAL
NORDEA
933
597.
597.933
**D OF MYOMING
STATE
9
S
494 - 8
.856
ਚੇ ਰੇ ਪੈ
**D KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS 815:590 815.590
**D COUNCIL
INVESTMENT
STATE
MEXICO
NEW
OE
STATE
422.895 422.895
**D BOND
PLUS MOTHER
ASSET
GLOBAL MULTI
1.678 1.618
D
D
VALUE FUND
GLOBAL ACTIVE
QEP
SCHRODER
129.532 129.532
PORTFOLIO
DYNAMIC MODERATE GROWTH
EQ/AB
TRUST -
ADVISORS
EQ
206.446 9
206.44
D
D
DL INTERNATIONAL RESEARCH OPEN MOTHER FUND
FÜND
SHINKO GLOBAL EQUITY INDEX MOTHER
0 8
8
1.79
482-95
B
0
1.79
482.95
Azionisti: Pagina 8
ਤੇ ਰੇ
Teste:
3 534

3.507

27 Azionisti in delega:

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacele e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D JPMORGAN GLOBAL ALLOCATION FUND 0 52 - 568 52.568
**D NATIONWIDE INTERNATIONAL INDEX FUND 0 560.961 560.961
**D NEW YORK LIFE INSURANCE & ANNUITY CORPORATION 0 567
22.
22.567
**D S.A.
GERANA SICAV-SIF,
137.209 137.209
**D DATED 1/3/75 FBO JEFFFERS
F M KIRBY TRUST
0 11.033 11.833
**D SERVICE PENSION FUND
PUBLIC
BOARD
MANAGEMENT
0 17.082 17.082
**D FUND
INCOME
TM FULCRUM
0 6.003 6.003
**D PENSION SYSTEM
FIRE
DALLAS POLICE AND
136.670 136.670
**D GROWTH PORTFOLIO
TRUST - EQ/AB DYNAMIC AGGRESSIVE
ADVISORS
EQ
49.009 49.009
**D FUND
T. ROWE PRICE INTEGRATED GLOBAL EQUITY
0 3.200
L
13.200
**D EQUITIES FUND
BAILARD INTERNATIONAL
NATIONWIDE
200.000 200.000
**D D
TRUST DATED 1/3/75 F/B/O S.
F.M. KIRBY
29.179 29.179
**D INSURANCE COMPANY LIMITED
CHINA LIFE
0 160.900 160.900
**D BBP INKA 54.418 54.418
**D EQUITY FUND
ROWE PRICE FUNDS OEIC - CONTINENTAL EUROPEAN
T.
0 14.484 14.484
D
D
NORDEA LIV NORGE AS
LIVSFORSIKRINGSSELSKAPET
16.315 16.315
**D UI-PAVO-100 0 362.800 62.800
+ + D FUND
SUSTAINABLE SELECTION MODERATE
NORDEA
0 17.361 17.361
**D INVESTMENT FUND, SICAV- FIS
INSTITUTIONAL
NORDEA
84.387 ﻬﺎ ﺍﻟﻤﺴﺎﺑﻘﺎ ﺍﻟﻤﺴﺎﺑﻘﺎ ﺍﻟﻤﺴﺎﺑﻘﺔ ﺍﻟﻤﺴﺎﺑﻘﺔ ﺍﻟﻤﺴﺎﺑﻘﺔ ﺍﻟﻤﺴﺎﺑﻘﺔ ﺍﻟﻤﺴﺘﻘﻠﺔ ﺍﻟﻤﺴﺘﻘﻠﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟ
84.38
**D GLOBAL ENHANCED FUND
NORDEA
0 991.725 91.725
б
**D INVESTERINGSFORENINGEN NORDER INVEST EUROPE ENHANCED KL 0
139.79
б
39.79
L
ASSETS LIMITED
REAL
GLOBAL CORE
JPMORGAN
0 8
22.60
22.608
**D JEMOREAN FUND ICNC - JEN EUROSE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND 0 88.535 88.535
**D CO ADVISORS IROST - EQUAETTINGLON ENERGY FORTECTIO 102.498 B
102.49
+ * D FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST
VANGUARD
g 6.277.123 -277.123
0
**D MAINSTAY VP CHRE GLOBAL INFRASTRUCTURE PORTFOLIO 0 6-001
12
126.001
**D INC.
PGIM STRATEGIC INVESTMENTS,
9.521 9.521
**D POOLED FUND
CORPORATION
SAS TRUSTEE
0 16-792
16.792
0
**D TM FULCRUM DIVERSIFIED LIQUID ALTERNATIVES FUND 0 .502
1
.502
ﻟﺴ
**D BT EUROPEAN SHARE FUND 0 199.042 199.042
**D SUSTAINABLE EQUITIES GLOBAL FUND
NORDEA
345.701 345.701
**D FUND
EQUITY
ENHANCED
INTERNATIONAL RESEARCH
JPMORGAN
0 ਟ ਤੋ
620.1
620.153
2
**D SUSTAINABLE INFRASTRUCTURE FUND
JPMORGAN
0 18.993 18.993
**D ROBIN I-FONDS 0 8 J
ಗು
266.
66.581
2
**D SCHRODER INTERNATIONAL SELECTION FUND S
୧୧
8
28
t
S
. 66
288
I
**D FUND (UNHEDGED)
MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES
0 726.108 726.108
**D TRPH CORPORATION 0 98
S
4 -
8
. 59
ব্য
**D AQR FUNDS - AQR INTERNATIONAL DEFENSIVE STYLE FUND 30.046 30.046
**D INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC 7.491 7.491
D
D
ETF
JPMORGAN SUSTAINABLE INFRASTRUCTURE
INVEST,
KAPITALFORENINGEN PENSAM
8.681
28.681
**D INDEX EQUITY FUND
PSI 3 GLOBALE AKTIER 3
RESEARCH ENKANCED
GLOBAL
JPM
JPMORGAN FUND ICVC -
461.618 61.618
ರ್
**D T. ROWE PRICE AUSTRALIA LIMITED 115.669
19.073

19.073
115.66
**D ALIC
KIRBY TRUST DATED 1/3/75 F/B/O
E.M.
8.618
T
18-618
**D FUND
EQUITY
VALUE
PRICE INTERNATIONAL
ROWE
T.
0 18.278.130 278.130
8
**D STRATEGA 15
NORDEA
53.942 53.942
**D STRATEGA 70
NORDEA
336.743
336.74
**D IPTE
CALVERT INTERNATIONAL RESPONSIBLE INDEX
S
್ತಿ
8 - 4
T
S
18 - 4 6
**D QB 2 6
250.87
50.879
**D 50
NORDEA STRATEGA
2
242.39
242.392
Pagina 9
Azionisti: ਤੇ ਰੇ
Teste.
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 VI

.

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
D
D
SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS CONTRIBUTORY PENSION FUND 0 0 48.062 48.062
**D ROWE PRICE EUROPEAN STOCK FUND
HOBART FAMILY INVESTMENTS LLC
I.
0 748.563
62.172
2
62-172
48.563
L
2
**D NVIT INTERNATIONAL INDEX FUND 0 0
744.44
744.440
**D 30
STRATEGA
NORDER
00 08.130
308.130
**D FUND
PASSIVE
WORLD
NORDEA
ਦੇ ਕ

54.
T
164
54 -
1.105.481
**D
CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE C .105-481
T
**D INVESTERINGSFORENINGEN NORDEA INVEST BASIS 2 KL
**D ROWE PRICE RETIREMENT HYBRID TRUST
T.
0 0 32.250 32.250
**D ADVISORS TRUST - EQ/INTERNATIONAL
EO
37.192
. 4
I
37.192
P
t
**D EQUITY INDEX PORTFOITIO 0 445.200
0
20
-445.
1
**D INVESTERINGSFORENINGEN NORDEA INVEST
VERDIPAPIRFONDET NORDEA PLAN MODERAT
BASIS 3 KL 0 8
124.45
B
24.45
L
**D 0 313
20.
20.313
**D PROVEDA GLOBAL EQUITY LIMITED PARTNERSHI
INTERNATIONAL
PRICE
ROWE
VALUE EQUITY 0 ਰੇ ਤੋਂ ਉ
3.
ਰ ਤੋਂ ਵ
* * D EIDELITY INVESTMENT FUNDS l DIVIDEND
TRUST
GLOBAL
FIDELLAY
FUND 0
0
457
00
ਤੋਂ ਤੋਂ
Ө
17
0
457
ਤੇ ਤੇ
8
7
**D INVESTERINGSFORENINGEN NORDEA INVEST 4 KL
BASIS
0 0
102
205.
38.
05.000
102
38
.2
0
**D GLOBAL
SCHRODER
L. P .
MULTI-CAP VALUE PORTFOLIO,
0 535
20.
535
28
**D DIVERSIFIED
SCHRODER
GROWTH EUND 0 54.223 54-223
**D FOREIGN STOCK INDEX MOTHER FUND 0 57.891
E
57.991
E
**D ASSET
GLOBAL
ALLOCATION TV3 (RISK CONSTRAINED TYPE) MOTHER FUND 0 140
-
8
140
**D THE BOEING COMPANY EMELOYED RETIREMENT PLANS MASTER TRUST 0 315.468 15.468
C
**D GAMLA LIVFORSAKRINGSAKTIEBOLAGET SEB TRYGG LIV 0 9.432
9
69.432
**D NOTHER
ASSET
MORTD MULTI
FUND 0 142
6
-142
6
**D THE PUBLIC INSTITUTION FOR SOCIAL SECURITY 0 9
92
d 4 .
. O
T
94.926
. 0
T
**D ROWE PRICE FOREIGN INVESTMENT,
T.
INC. 0 0
ાર
દ્
3.060
**D AVTALSPENSIONSFOND MIDI
NORDEA

ર ર
80
553
80 -
**D AMF AKTIEFOND EUROPA o o 9
50.45

50.456
B
2
**D SUSTAINABLE INDEX FUND EQUITY EUROPE
ACTIAM
8
10
239.
B
239-10
**D DUURZAAM INDEX AANDELENFONDS EUROPA
ACTIAM
o o 89.644 . 644
89
1
**D ANIMA PICPAC VALORE GLOBALE 2028 0 0
. 40
11
11.400
**D MEAG MM-FONDS 100 0 0
13.34
13.340
**D FCP AVENIR CROISSANCE PA 0 0
ਰੋ ਹੋ

970
14.
**D ZWITSERLEVEN INSTITUTIONELE l
BELEGGINGSFONDSEN
ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA 0 S
ਦੇ ਰੋ
51
595
51 -
t
**D ERAFP ACTIONS PAB EURO I 108.414 108.414
**D CAPITAL MANAGEMENT
AZIMUT
SGR S.P.A 0 0 0
00
711
711-000
**D ANIMA VALORE GLOBALE 0 501
82
5
501
82.
S
**D RETRAITE DIVERSIFIE
IRCOM
FCP
2 0 59.600 59.600
**D BANCOPOSTA MIX G 030
48.
830
48 -
**D DEAM FONDS ATZM G 000
48.
.000
વે ક
**D KAYNE ANDERSON RENEWABLE INFRASTRUCTURE FUND 0 443.747 43.747
D
**D SMILSERTEVEN BELEGGINGSFONDSEN - ZWITSERLEVEN AANDELENFONDS
EUROPEES
C 610
325.
.325.610
N
**D SYCOMORE SELECTION RESPONSABLE 0 879.410 0
879-41
**D KLESIA K ACTIONS EURO
FCF
G 9
22.40
9
22.40
**D ASIFEN
BE
ACTIAN
0 629
31.
б
62
31.
**D FCP KLESIA K RETRAITE EURO 0 S
୧୫
છે. જેવી સ
3

94.68
E
C
**D SECULAIRE
LE
0 0
15
150
2
**D LA FRANCAISE GREEN TECH EUROPE 0 242
9.
0
2
. 242
ਹੈ ਕੇ
**D SAEV MASTERFONDS INKA . 24
02
P
. 243
02
D
**D LORENTZ POCKET CROISSANC 0 D
31.82
31.824
Pagina 10
Azionisti: 3.534 Teste: ਤੇਰੇ
Azionisti in proprio: 27 Azionisti in delega: 3-507

EMARKET
SDIR
GRTIFFE

ci ult

uprices

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

VI

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

Badge Ragione Sociale Proprio Delega Totale
D
D
MS-B HAUPFONDS
UNIVERSAL-OCO
OF
OF
BEHALF
BEHALF
ÜNIVERSAL-INVESTMENT-GESELLSCHAET WBH ON
ON
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH
o o 45.522
224.782
224.782
45.522
**D MEAG EUROERTRAG 0 370.879 370.879
**D STICHTING AHOLD DELHAISE PENSIOEN 0 188.417 88.417
I
**D STCONOBE INCLUSIVE TOBS G 217.940 217.940
**D HMT GLOBAL AKTIEN INFRASTRUKTUR
OF
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF
0 90.000 90.000
**D BANCOPOSTA AZIONARIO INTERNAZIONALE 0 500.515 00.515
S
**D ACTIAM DUURZAAM EUROPEES AANDELENFONDS 0 15.616 15.616
**D ول
HMT EURO AKTIEN PROTECT
OF
BEHALF
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON
0 134.050 134.050
**D DNCA INVEST VALUE EUROPE 0 476-911
C
476.911
3
**D ANIMA VISCONTEO 0 .798.324
-798-324
**D PRAXIS INTERNATIONAL INDEX FUND 0 194
63.
63.194
**D JANUS HENDERSON GLOBAL EQUITY INCOME FUND 0 . 495.672
95.672
P
**D MEAG PREMIUM 0 - 460
ao i
901 460
-
2
**D EPOTIF MASTERFONDS
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALL OF
0 0 4 0
344 .
344.049
**D FUND 1 AZ ALLOCATION DYNAMIC FOF
AZ
0 26.150 26.150
**D ANIMA SFORZESCO g 776
.260.
ī
1.260.776
**D HI PAMI DIVIDENDE BLUS FONDS 0 612.041 612.041
**D 2
FONDS OBJECTIF CLIMAT ACTIONS
G 514
614.
614.514
**D EUROPE
FDNC ACTIONS
g 342
43 .
43.342
**D ARSD-UNIVERSAL-FONDS
OF
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF
0 ਦੇ ਹੈ ।
57.
57.541
I
**D COMMERZBANK FLEXIBLE ALLOCATION EUROLAND
OF
BEHALF
UNIVERSAL-UNVESTMENT GESEMESCHAFT MBH ON
0 122
ਰੇ ਸ਼ੇ -
b
99.122
P
**D ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD 0 6.857
8
1
86.857
t
**D BAYERISCHER PENSIONSFONDS
OF
UNIVERSAL-INVESTMENT-GESELLECHALL MBH ON BEHALL
g 280.408 200.400
**D AZ FUND 1 AZ EQUITY EUROPÉ 0 520.000 520.000
**D 2
EUROPE
GARANCE
FCP
0 457.326 457.326
**D FCP CNP ACTIONS EUR.FID. 0 ਰ 57
. 844 .
T
1.844.957
**D ACTIONS ISR
LBPAM IRC
0 દિસ્ત
S
970.
65.915
રેરે રે
970.
**D MANDARINE EQUITY INCOME D
0
ਕ ਹੈ ਤ
5.
9
90.000
D
D
ERAFP ACTIONS EURO VIII
FCP ALBA VALEUR
0 000
0 ୧୧
90

3 d
. 066
3 4 5
2
**D SYCOMORE PARTNERS 0 000
185.
.000
85
T
**D PICPAC ESALOGO BILANCIATO 2025 III
ANIMA
0 030
15.
. 830
15
**D INIZIATIVA ITALIA
ANIMA
0 900
. 693
. 693.900
S
**D BANCOPOSTA AZIONARIO EURO 615
.763 .
763.615
T
**D I
DÉKA-MASTER-HAEK
118
217.
.118
217
**D HMT EURO AKTIEN VOLCONTROL
UNIVERSAL-INVESTMENT-GESETTSCHART MBH ON BEHALF OF
244
113.
. 244
113
+ * D CAIXABANK GLOBAL ALBUS FUND 0 000
T
B
I
181.000
**D 12 UNIVERSALFONDS
вні
OF
BEHALE
ON
мвн
UNIVERSAL-INVESTMENT-GESELLSCHAFT
045
S
.045
S
**D PHILADELPHIA GAS MORKS PENSION PLAN 0 . 354
8
.354
8
**D SYCOMORE L/S OPPORTUNITIES 0 500
g -
23
239.500
**D EQUITY ALL COUNTRY
BANCOPOSTA
0 30.405 30.405
**D FRANCAISE ACTIONS EURO CAPITAL HUMAIN
LA
0 275.740 276.740
**D WMB-UNIVERSAL-FONDS
OF
MBH ON BEHALF
UNIVERSAL-INVESTMENT-GESELLSCHAFT
0 .401

t
. 401
11
**D HENDERSON HORIZON EUROLAND FUND 0 218.175
.175
218
**D FEHO-UNIVERSAL-FONDS
UNIVERSAL-INVESTIMENT-GESELLSCHAFT MBH ON BEHATE OF
0 120.000 120.000
**D HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND
JANUS
0 78
8
0
ರಿ
.878
40
**D ANIMA EUROPA 0 u)
409.49
. 49
4 09
D
D
FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE
AVI.
0 .000
9
. 97
2
28
B
.000
28.976

B
AMERICAN HEART ASSOCIATION, INC.
Pagina 11
Azionisti: ਤੇਰੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

Azionisti in delega:

Azionisti in proprio:

റ്റാ

Assemblea Ordinaria del 10 maggio 2023

1

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale
**D L. P
KAYNE ANDERSON RENEWABLE ENERGY TRANSITION FUND,
0 500
40 -
40.500
**D ANIMA TARGET VISCONTEO 2024 0 42.673 42.673
**D UNIVERSAL-INVESTMENT-GESELLSCHAFT VSTBH-UNIVERSAL-FONDS
OF
BEHALF
ON
мвн
0 818
20 -
20.018
**D UNIVERSAL-INVESTMENT-GESELLSCHAFT COLUMBUS FONDS
OF
BEHALF
ON
мвн
0 118.661 118.661
**D 1
FUND
AZ
AZ ALLOCATION GLOBAL INCOME 0 50.000 50.000
**D FUND 1
AZ
CGM OPPORTUNISTIC GLOBAL 0 30.000
L
130.000
**D CARILLON FUND
CLARIVEST INTERNATIONAL STOCK
0 211-662 211.662
**D GLOBAL
LEMANIA
EQUITY 0 57.744 57.744
**D AZ ALLOCATION
1
AZ FUND
GLOBAL CONSERVATIVE 0 100.000. 100.000
**D MASTERFONDS BANTHUS 0 942
70.
70.942
**D MEAG EUROINVEST 0 ਰੇ ਰੋ
S
445.
ਦੇ ਕੇ ਕੇ

ਧੇ ਪੈ
**D VE-UNIVERSAL-FONDS
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF
0 780
08.
8
08.780
B
**D ANIMA ITALIA 0 615.034
5
615-034
5.
**D MEAG BENEDICT 0 80
0
10.
.080
10
**D BANCOPOSTA MIX 2 0 080
8
D
T
980
148 -
**D MEAG EUROKAPITAL 0 015
N
20
.015
202
**D VWLAKE MASTER 0 000
6.
26.000
**D MÉAG EUROBALANCE 0 023
0.

3
350.023
**D KAYNE ANDERSON RENEWABLE INFRASTRUCTURE PARTNERS. LE 0 .475.062
I
-475.062
T
**D UCITS
FAM SERIES
ICAV 0 2 ed
.661.
ાં
.264
.661
1
**D TRUESHARES EAGLE GLOBAL RENEWABLE ENERGY INCOME ETF 0 79
0
б
L
.079
। ਕੇ
**D AZ FÜND 1 CGM OPPORTUNISTIC EUROPEAN 0 DOD
5.
1
.000
75
**D HUBER CAPITAL LLC
INVESTMENTS,
0 597
2.
. 597
**D WORLD
MSCI
V-SHARES
MATERIALITY AND CARBON TRANSITION ETF
ESG
0 ୧୫ ବ
T
. 684
I
**D UNIVERSAL-INVESTMENT-GESELLSCHAFT BROCKEN-UI-FONDS
MBH ON BEHALF OF
0 000
214.
.000
214
**D BOSTON PARTNERS GLOBAL EQUITY FUND 0 365.262 .262
રૂ રક
**D UNIVERSAL-INVESTMENT-GESELLSCHAFT PSVAG MASTERFONDS
OF
BEHALF
ON
ਅਤੇ ਮ
0 379.721 379.721
**D ERGO VERMOGENSMANAGEMENT FLEXIBEL 0 10.862 10.862
**D UNIVERSAL-INVESTMENT-GESELLSCHAFT HMT EURO AKTIEN PROTECT 95
OF
ON BÉHALF
ਅੱਤੇ ਮ
0 955
53.
. 955
ਟ ਤੋ
**D VERMOGENSANLAGE
MEAG
KOMFORT 0 384
21.
21 - 384
**D ERGO VERMOGENSMANAGEMENT AUSGEWOGEN 0 016
7.1
E
37.016
* * D GENERALI INVESTMENTS SICAV - SRI EUROPEAN EQUITY 0 546.289 546.289
**D CONSERVATION INTERNATIONAL FOUNDATION, INC. 0 7.726 7.726
**D FRIENDS FIDUCIARY CORPORATION 0 6.614
ાં
. 614
ાર્ ર
**D VERMOGENSANLAGE RETURN
MEAG
0 832
6.
26.832
**D DIVIDENDE
MEAG
0 000
0.
பு
0.000
S
**D ERGO VERMOGENSMANAGEMENT ROBUST 0 5.714
L
15.714
**D UNIVERSAT-INVESTMENT-GESETTSCHAET SPM 2006-UNIVERSAL-FONDS
OF
MBH ON BEHALF
0 8 4 2
3.
33.045
**D FIDELITY SICAV EUROPE 0 97
8.0
. 13
3.138.097
**D STANDARD SICAV I
ABERDEEN
0 . 442
2
. 442
**D EXANE FUNDS 2 0 041
4 -
. 40
D
.404.041
P
D
D
LA FRANCAISE LUX - GTS REACTIF 0 રે દિવે
22.
22.565
**D INVESTO SOSTENIBILE
PICPAC
POSTE
ANIMA
MAGELLANO 2023 0
0
d d d
E
3.444
820
277.
-820
277
D
D
l
SELEZIONE
& MESTIERI
ANIMA
ARTI
FONDO PENSIONE APERTO
EUROPA
0
0
5 - 24 €
.349.911
1
T
15.246
.349.911
T
**D ALTO
ANIMA
POTENZIALE ITALIA 0 ਹੈ ਕੋ
. 904 . 4
904 . 499
T
**D ANIMA II
2025
PICPAC ESALOGO BILANCIATO
585
б
L
85
ਰੇ - 5
L
**D ANIMA ESAGONO AZIONARIO GLOBALE 67

రు
વી ટ
୧7
. 2
б
S
P
**D MAGELLANO
ANIMA
0 295.232 .232

29
Pagina 12
Azionisti: ਤੇਰੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

Assemblea Ordinaria del 10 maggio 2023

1

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

D
D
D
D
**D
Ragione Sociale 0
Propri
Delega
828
Totale
1.759.828
ANIMA CRESCITA ITALIA o
77
.75
L
AZIONARIO INTERNAZIONALE
ITALIA
OBIETIIVO
ANIMA
ANIMA
ਤੇ 2 ਵ
42

గా
8
I
326
242
E
77
19.
ESALOGO PRUDENTE
ANIMA
0 005
ਕੇ .
S
54.005
INVESTITORI PIAZŽA AFFARI 000
0.
30
300.000
**D 2026
BILANCIATO
ANIMA PICPAC ESALOGO
0 20

47.
47.320
**D EQUITY ESG
INVESTITORI FLEXIBLE
0 21.430 21.430
**D LTE
ANIMA AZIONARIO PAESI SVILUPPATI
.676
ਰੇ
5
59.676
**D BANCOPOSTA MIX 3 0 069.182 90
. ୧
81
**D ANIMA PICPAC ESALOGO BIL 2023 0 3.700 3.700
**D UNIVERSAT-INVESTMENT-GESEFTSCHAEL MBH ON BEHATE OF HMT WERTSICHERUNG 94 ESG 0 17.190 0
17.19
**D ANIMA SELEZIONE GLOBALE 0 930
239.
066.66
**D 2
SGD RS 2015
0 S
300.79
ம்
00.79.
E
**D HI-172915-FONDS 0 39.325 பு
39.32
**D BPI GLOBAL INVESTMENT FUND- MAVERICK GLOBAL FUND 0 8
54
16.
8
16.54
**D MERCER UNHEDGED QVERSEAS SHARES TRUST 0 8
165.83
165.838
**D ABERDEEN STANDARD CAPITAL INTERNATIONAL LIMITED 0 696-917 696.917
**D ATCP-UI-FONDS g 8
27.27
27.278
**D UNISUPER 0 172.244
T
-172-244
-
**D SEM 2006-UNIVERSAL-FONDS 0
7 4
21
21-740
**D OF
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF
PSVAG AKTIENFONDS 000 0
0
C
93.
93.000
2
**D AZ FUND 1 AZ ALLOCATION GLOBAL 0
24.44
24.440
**D BEYOND CLIMATE
DNCA INVEST
0 790.000 0
90.00
L
**D AZ FUND 1 AZ ALLOCATION INTERNATIONAL 00 0
00
50.
I
0
50.00
**D INDEX INTERNATIONAL SHARE FUND
ENHANCED
710.351 710.351
**D LTD
STRATEGY FUND
OFFSHORE
STANDARD CAPITAL
ABERDEEN
0 531.797 531-797
**D DEVELOPMENT AUTHORITY
INFO-COMMUNICATIONS MEDIA
0 511
22.
22.511
**D E
LA FRANCAISE SYSTEMATIC GLOBAL LISTED INFRASTRUCTUR
0 69.996 8 9 €
ਦ ਰੇ - ।
**D NEUTRAL
EUROPE MARKET
l
UBAM
G
0
28.132 132
28.
**D SICAV - EQUITY- EURO EQUITY
NELFARE UCITS
FONDACO OBIETTIVO
0 . 442
145.457
e J
1.442
145.457
9
**D EURO
LA FRANCAISE LUX - INFLÉCTION POINT CARBON IMPACT
G 11.147
**D INCOME FUNDS LIMITED
RHFS GROWTH AND
0 11.147
**D EQUILIBRADO
WINTERTHUR EPSV
12.80 12.005
**D DNCA INVEST EURO SMART CITIÉS 0 83.317
9
83.317
9
**D INFRASTRUCTURE
EQUITY GLOBAL
AZ
FUND 1
AZ
0
0
500.000
T
500.000
1
++D GLOBAL EQUITIES ENHANCED INDEX FUND 17
54 .
54.175
র্ব
**D WINTERTHUR XI FP 53.116
000
53-116
625-000
**D EMPLEQ
EPSV DE
LAGUN ARO
0 000
80 -
25.
9
S
000
500.
D
D
AZ FUND 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES
ESALOGO BILANCIATO 2025
ANIMA PICPAC
51.240 51.240
**D PRO ITALIA
GESTIELLE
214.000 214.000
**D GLOBAL EQUITY - VALUE FUND
WHOLESALE
202.060 060
202.
**D ANIMA OBIETTIVO INTERNAZIONALE 50.000
150.000
**D PEGASUS-UI-FONDS 736-890 ਰੇ 0
B
736.
**D AZ MULTI ASSET WORLD TRADING 000
60.
T
000
160 .
**D MINTERTHUS EPSV PRUDENTE 21.730 21.730
**D ALLOCATION TREND
AZ FÜND 1 AZ
000
.725.
3
000
3.725.
**D MERCER PROPERTY AND INFRASTRUCTURE TRUST 383
B
б
б
383
a -
ਕੇ ਰੋ
**D FUND
GLOBAL
KIWI INVESTMENT MANAGEMENT WHOLESALE CORE
ਤੇ ਰੇ
S
1
ਰੇ ਦ


ﻟﺴ
**D ANIMA PICPAC VALORE GLOBALE 2027 . 000
0
বা
00
0
0
P
Pagina 13
Azionisti: Teste:
3.534
ਤੇਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 V

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
r * D BLV-SF-AKTIEN 571V02 0 750.941 750.941
**D AZ FUND 1 AZ ALTERNATIVE SMART RISK PREMIA 0 00
. 1
51
51.100
**D ANIMA VISCONTEO PLUS 0 542.635 542.635
**D ELTIF
ANIMA
ITALIA 2026 0 41.000 41.000
**D DNCA INVEST-EURO DIVIDEND GROWER 9 నేన
163.9
T
163-952
L
**D DEE STREET GLOBAL EQUITY FOND 0 .403
8
9
68.403
**D SYCOMORE FUND -SYCOMORE GLOBAL EDUCATION
SICAV
0 .161
ਤੇ ਕੇ ਤੋ
L
343.16
**D BANCOPOSTA RINASCIMENTO O . 546
ਟ ਤੇ ਕ
9
534.54
**D BIDEPENSION EPSV 0 . 328
S
B
5.32
**D GLOBAL
BANCOPOSTA
EQUITY HEDGED LTE 0 .471
E
3.471
**D ЕБ
II
WINTERTHUR
0 57.101 57.101
**D IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIO 0 12.119 12.119
**D AMP CAPITAL FUND
GLOBAL QUALITY
0 20-645 20.645
* * D DYNAMIC
AZ FUND 1 AZ ALLOCATION EUROPEAN
0 127.500 127.500
**D ANIMA ALTO POTENZIALE EUROPA 0 825.000
825.000
**D EQUILIBRADO
AUROFONDO
0 110.802 110.802
**D AZ MULTI ASSET AZ MULTI ASSET AZ ALLOCATION FLEXIBLE EQUITY 0 0
45.00
45.000
**D ANIMA ESAGONO BILANCIATO 0 618.613 618.613
**D BUSS (QUEENSLAND) POOLED SUPERANNUATION TRUST 0 12.872 12.872
**D SELECT
PINEBRIDGE
FUNDS VCC 0 64.010 64.010
**D AZ FUND 1 - AZ EQUITY WATER AND RENEWABLE RESOURCES 0 310.000 310-000
**D EPSV
WINTERTHUR
0 16-361 16-361
**D RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND 0 41.421 41.421
**D KIWI INVESTMENT MANAGEMENT SCREENED GLOBAL EQUITY INDEX FUND 0 6
25.44
25.448
**D INVESTMENTS
RUSSELL
LISTED INFRASTRUCTURE FUND
GLOBAL
0 122.245 122-24
**D CRESCITA ITALIA NEW
ANIMA
0 141.321 141.321
D
D
AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 0
0
568.000 568-000
200.00
**D ABSOLUTE
DIVERSIFIED
ANIMA
PORTFORTOS FUND LTD
RETURN
0 200.000
8.750
8-750
C
**D FIRST IN FRASTRUCTURE FUND
SENTIER RESPONSIBLE LISTED
0 879.059 879.059
**D SFORZESCO
ANIMA
Prus 0 218.78
7 0
210.
**D INVESTITORI ELESSIBILE 0 000.000 00.000
8
**D EUROPA
INVESTITORI
0 85-000 95.000
**D FUND 1 AZ ALLOCATION PIR
AZ
30
ITALIAN EXCELLENCE
0 25.000 25.000
**D BANCOPOSTA EQUITY COUNTRIES
DEVELOPED
0 072
70.
70.072
**D AZIMUT TRADING 0 20
3.
205
3.
**D TREND
AZIMUT
0 .130.000
T
1.130.000
**D - AKTIEN
TURICUM
IMMOBILIENWERTSCHRIFTEN
- UND
448.947 448.947
**D AZIMUT STRATEGIC TREND 0 ୧୦ ବି ହିଁ
2.
2.695
**D ACM ACTIONS 0 926
16.
16.926
D
D
GOLDMAN SACHS FUNDS III Q സ്
.607.607
92
6
5
5.607.607
ਰੇ 2
6
**D ACM VIE S A COMPARTIMENT MC LEADERS DURABLES
CM CIC RETRAITE
06.075
6.
106.075
રું.
**D CM-AM ALIZES DYNAMIQUE 549
ର ୧ .
N
266.549
**D SA
ACM IARD
ਹੇ ਹ

163 -
1
-163-891
L
**D CM-AM EUROPE DIVIDENDES ਦ ਕੇ ਤ
699.
699.693
**D ENGAGE
DNCA BEYOND
000
eed.
660.000
**D SCHMIDT GROUPE FUND 000
5.
25.000
**D PIPELINE SUD-EUROPEEN 362
d .
4.362
**D CAPSUGEL 17.630 17.630
Pagina 14
Azıonıştı: Teste:
3.534
ਤਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

VI

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale
D
D
CM-AM SUSTAINABLE PLANET
LEXMARK DYNAMIQUE
0 1.636.390 1.636.390
**D S ACTIVE ACTIONS ISR 0
0
549
720.000
6.
- 5 4 9
720.000
9
**D CM-AM ALIZES TEMPERE 0 187.566 187.566
**D PACTE RETRAITE EURO
SA
ACM VIE
871.260 871.268
**D GERARD PERRIER INDUSTRIE 0 11.335 11.335
**D EURO
DNCA OPPORTUNITES ZONE
387.800 387.800
**D MUTUEL
50 50 CREDIT
STAUBLI
10.028 18.828 2.088.195
**D ACM MUT FONDS GENERAL 2.088.195
D
D
ADVANCED
PARTAGE
CM-AM
CH-AM
20.000 20.000
**D PIANA
SICAV
0 500
1.411
72.
72-500
1.411
**D SA FONDS GENERAL
ACM VIE
8-896.395 896-395
8 -
**D SELR EURO
SA
ACM VIE
0 1.075.210 075.210
1 -
**D EUROPE
DNCA VALUE
0 1.499.473 1.499.473
**D CM-AM CONVICTIONS EURO 0 939.976 939.976
D
D
ACTIONS ZONE EURO
HENKEL DIVERSIFIE N I
ORANO
0
0
94.049
8.751
94.049
8.751
**D EPSON FRANCE EURO ACTIONS 0 3.003 3.003
**D CH RIVER LABORAT FRANCE 0 4.325 4.325
**D GROUPE ROCHE 0 98.032 8.032
б
**D FONCIL 362
5.
2
-362
25
**D CMI MEDIA 0 1.042 1.042
*D
* D
S ACTIVE DIVERSIFIE ISR 0 52.298 52.298
**D CARGILL ACTIONS
FERTILSODEBO
0
0
9.879
8.682
8.682
9.879
**D THE MASTER TRUST BANK OF JAPAN, ITD. RE: NISSAY FOREIGN EQUITY PASSIVE MOTHER FUND (ONLY FOR PENSION) 0 59.954 59.954
**D FEDEX 0 9.024 9.024
**D CUSTODY BANK OF JAPAN, ITD. RE: MATB NEW RESOURCE TECHNOLOGY MOTHER FUND 0 41.276 41.276
**D BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND
TRUST
THE MASTER
751.556 751.556
**D SOLIDAIRE
OTIS MOYEN TERME
0 40.704 40.704
D
D
DIVERSIELE
EUROP ASSISTANCE
2.360 2.360
**D AMORA MAILLE DIVERSIFIE
PYRENEES GLOBAL
0 5.226 5.226
**D JAPAN, LTD. RE: MATB NEW RESOURCES MOTHER FUND
CUSTODY BANK OF
0 10.421
261.551
261.551
10.421
**D COFACE N 1 0 16.796 16.796
**D HAITOU KABU MOTHER FUND
DAIWA OUSHU KOU-
STB
LTD. RE:
JAPAN,
CUSTODY BANK OF
50.001 50.001
**D STABILIZED INCOME MOTHER FUND
LTD. RE: NISSAY
OF JAPAN,
THE MASTER TRUST BANK
0 37.769 37.769
**D TRUST
KOKUSAI
SERIES OF
FUND,
EQUITY
EUROPEAN
19.849 19.849
D
D
STB FOREIGN STOCK INDEX MOTHER FUND (CURRENCY HEDGED)
CUSTODY BANK OF JAPAN, LTD. RE:
U
95.439 95.439
**D CONVERGENCE EQUI
ET A
2.771 2.771
**D ETF
S&P CATHOLIC VALUES DEVELOPED EX-U.S.
SOCI RESP
GLOBAL X
590.118
8.644
590.118
8-644
**D POOL
- ABSOLUTE RETURN GLOBAL EQUITY
FUNDS
FIDELITY
52.104 52.104
**D LIMITED COMPANY
FUNDS PUBLIC
VANGUARD
285
0.393.
0-393.205
**D PLANS
EMPLOYEE BENEFIT
FOR
FIAM GROUP TRUST
929.400 929.400
D
D
IES FUND
ADVISOR UTILITY
FIDELITY
SERIES VII:
ADVISOR
FIDELITY
338.700 330.700
**D ENHANCED IN EQ (ESG) UCITS ETF
MOTHER FUND
SEKAI KOUHAITOU
RESEARCH
BANK OF JAPAN, LTD. RE: RTB
ICAV-GLOBAL
ETFS (IRELAND)
JPMORGAN
CUSTODY
201 - 262
53.300
53.300
201.262
**D MIXLE
CARGILL
0 3-085 n
3.08
Pagina 15
Azionisti: ਤੇ ਰੇ
l'este:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

વધ

10 maggio 2023 15.23.46

M

-

Oggetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D FIDELILY FUNDS - SUSTAINABLE GLOBAL DIVIDEND PLUS POOL 0 1.011.699 1.011.699
**D RE: RB TOKKIN 18420-7105
JAPAN, LTD.
OF
BANK
CUSTODY
0 801
5.
в
5
585.801
**D FUND
EUROPE INDEX
ASCI
ICAV/FIDELITY
II
FIDEFITY UCITS
0 6.873
26.873
**D FUND
MULTI-STRATEGY
ASSETS
REAL
STEERS

COHEN
0 833
4 .
. 833
34
**D FUND
EX-US
EQUITY
TRUST-WORLD
INSTITUTIONAL INVESTMENTS
SEI
0 622.727
m
.727
3.622
**D ENHAN INDEX EQ (ESG) UCITS ETT
RESEARCH
EUROŽONE
l
ICAV
(IRELAND)
કો દિવે
J PMORGAN
0 567
151 -
567
151
**D FOND II
EQUITY
THORNBURG INTERNATIONAL
0 527
28.
.527
28
**D EQUITY FUND
INTERNATIONAL
TRUST
INSTITUTIONAL INTERNATIONAL
SEI
0 .132.468
B
. 468
. 132
B
**D FUND
LTD. RE: GIM INTERNATIONAL EQUITY MOTHER
JAPAN,
OF
BANK
TRUST
MASTER
THE
0 .250
41
.250
ਕੇ ਹ
**D (LUX)
FUND
INDEX
SUISSE
CREDIT
0 .433.753
B
.433.753
B
**D MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND
RE:
LTD.
JAPAN
OF
BANK
TRUST
MASTER
19:12
380
e
L
80
. 3
g
**D VANCUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY 0 .156.670
8
. 670
156
8
**D ISR
SOLIDAIRE TEMPERE
CM-AM
0 00
S
8.
17
.500
178
**D EQUITY INDEX MOTHER FUND
TMA GLOBAL
RE:
LTD.
JAPAN,
BANK OF
TRUST
MASTER
피워 왕(조
0 136.330 136.330
**D STOXX 50 EX BANKS (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST
NZAM EURO
RE:
LTD.
JAPAN,
OF
BANK
TRUST
MASTER
THE
0 8
8
ਦਰ - ਰੇ
69.988
**D
**D
TRUST
GLOBAL DIVIDEND POOL
INTERNATIONAL
INSTITUTIONAL
FIDERITY FONDS -
SEI
0 24.450.000 24.450.000
**D EQUITY
INTERNATIONAL
0 ਟ ਕੋ

E
28
б
S
. 5
283
**D MORLD INDEX FUND
II ICAV/FIDELITY MSCI
FIDELITY UCITS
0 61.454 b
. 45
୧ T
CIT
INFRASTRUCTURE
LISTED
GLOBAL
MACQUARIE
0 509
29.
.509
ਣ ਰੋ
**D MANAGED VOLATILITY FUND
MANAGED INTL
TAX-
l
MANAGED TRUST
SEI INSTITUTIONAL
0 61.229 61.229
**D ICAV
23 F
(IE)
FUND
INDEX
SUISSE
CREDIT
0 261.975 261.975
**D FICINID
EUROPE ALPHADEX
FIRST TRUST
0 151.248 .248
151
**D RE: MSCI-KOKUSAI INDEX MOTHER FUND
JAPAN, LTD.
OF
TRUST BANK
THE MASTER
0 3.800 .800
E
**D CONTINENTAL 0 d . 64 4 و - 644
**D CCFF
VANGUARD INVESTMENTS II CCE/VANGUARD SRI FISE DEVELOPED EUROPE II
5.120
2 g
.120
295
**D RE: RB TOKKIN 18420-7106
LTD.
OF JAPAN.
BANK
CUSTODY
5.787
0
S
-787
S
58
**D FIDELITY FONDS EUROPEAN DIVIDEND POOL 0 233
0.
8
ડા
280.533
T
**D RENSWARDE ENERGY INCOME EQUITY ME
TMAM GLOBAL
RE:
ITD.
JAPAN,
OF
BANK
TRUST
MASTER
11:11 P
0 81.260 260
8 J
**D ETF
RESEARCH ENHANCED IN EQ (ESG) UCITS
(IRELAND) ICAV-EUROPE
ETFS
JPMORGAN
336-821 336.821
**D FOND
MOTHER
BALANCE
CONTROLLED
NISSAY RISK
RE:
LTD.
JAPAN,
OF
BANK
TRUST
MASTER
THE
823
231.
. 823
231
**D SOLUTIONS POOL
SUSTAINABLE CLIMATE
l
FUNDS
FIDELITY
0 ево
458.
. 680
4 5 8
**D EUND
DEVELOBED EQUILY INDEX
GLOBAL
GENERAL
LEGAL &
0 525
3.
. 525
**D DEVELOBED MORID II CCF
SRI FTSE
CCF-VANGUARD
İl
INVESTMENTS
VANGUARD
0 139.519 39.519
L
**D GLOBAL MACRO FUND
DWS
166.384 166.384
**D EQUITY EX-US FUND
INVESTMENTS TRUST - SCREENED WORLD
INSTITUTIONAL
SEI
0 15.641 .641
15
**D PLC
FUNDS
SANLAM UNIVERSAL
0 107.624 - 624
107
**D BUILDER CIT
- WEALTH
MORID EQUITY
LACM
0 370 370
**D GLOBAL EQUITY MOTHER FUND
TMA
RE:
LTD.
JAPAN
OF
BANK
rrust
MASTER
0 0.000
10
100.000
**D RE: MTBJ400021913
LTD.
JAPAN .
OF
BANK
TRUST
MASTER
THE
0 9.260
б
99.260
**D MOTHER FUND (LDN)
KOKUSAI REI
JPM
RE:
JAPAN LTD.
OE
BANK
TRUST
MASTER
0 37.032 37.032
**D INTERNATIONAL FUND
DEMOCRACY
4.683 - 683
ਧੋ
**D SERIES INTERNATIONAL INDEX FUND
FIDELITY
TRUST:
STREET
CONCORD
FIDELITY
171.105 171.105
**D RE: STB EUROPE EQUITY MOTHER FUND II
BANK OF JAPAN, LTD.
CUSTODY
0 27.283 E
27.28
**D ED
CMN CNT
પ્રાર
EX
DVLPD WRID
FD/VANG FTSE
CONTRACTUAL
INVESTMENTS COMMON
VANGUARD
0 153.692 153.692
**D (PRIVATELY PLACED INVESTMENT TRUST)
OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED)
BANK
TRUST
THE MASTER
0 830.807 830.807
**D PLC
FUNDS
INVESTMENT
BERMAN
NEÜBERGER
0 307 307
**D MUTUEL
CREDIT
20
80
STAUBLI
0 6.293
t
E
.29
16
**D DYNAMIC ASSET ALLOCATION FUND
PINEBRIDGE
0 109.156 9
109.15
**D DEV EUR EX UK CCF
INVESTMENTS COMMON CONTR FD- VANGUARD FTSE
VANGOARD
0 0
ਰੇ 2
258
0
.92
258

Pagina 16

39
3.507

27 Azionisti in delega: 3.534

Azionisti in proprio:

Azionisti:

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale
**D POOL
FIDELITY FUNDS - SUSTAINABLE EUROPEAN DIVIDEND FLUS
0 23.051 051
23 -
**D SCHUCO 0 5.458 8
5 - 4 5
**D STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND
CONCORD
FIDELITY
O 978.691 . 691
978
D
D
ENHANCED EUROPE EQUITY POOL
SUSTAINABLE RESEARCH
l
FUNDS
FIDELITY
0 538.111 11
38
S
**D ETF
SELECT
INTERNATIONAL EQUITY
DEVELOPED
0 3.016 3.016
**D INTERNATIONAL EQUITY FUND
INVESTMENTS
RESPONSIBLE
CATHOLIC
g 8 2 4
91.
. 4
.491.824
**D CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD
COMMON
INVESTMENTS
VANGUARD
0 992
68.
160.992
**D POOL
- CLEAN ÉNERGY
FUNDS
FIDELITY
0 827
50.
P
450.827
- DIVERSIFIED EQUITY FUND
MANAGED TRUST
ADVISER
0 739
20.
20.739
**D INDEX FUND
U.S
GLOBAL EX
TRUST: FIDELITY
SALEM STREET
FIDELITY
0 -054.203
3.054.203
D
D
TROST
EQUITY
MULTI-CAP
INTERNATIONAL
SCHRODER
0 ર તે દ
65.
б
965.596
ENHANCED GLOBAL EQUITY UCITS ETF
FIDELITY SUSTAINABLE RESEARCH
ICAV -
ucits
FIDELITY
0 329
20.
20.329
**D FUND
INFRASTRUCTURE
GLOBAL
NUVEEN
0 .653.005
L
1.653.005
**D 2
CLIMATE SOLUTIONS POOL
- SUSTAINABLE
FUNDS
FIDELITY
0 7 4 9
3.
. 749
33
**D FIDELITY TOTAL INTERNATIONAL INDEX FUND
STREET TRUST:
SALEM
FIDELITY
0 886
.774 .
-774.886
2
D
D
DEVELOPED MARKETS EX-US ALPHADEX FUND
TRUST
FIRST
0 285
176.
285
176.
**D DYNAMIC EUROPE EQUITY INCOME FUND
TRUST
FIRST
0 343.678 8
343.67
**D FUND
POOL
50
THORNBURG INTERNATIONAL EQUITY
FIDELITY FUNDS - EURO STOKY
0 131
60 -
9
660.131
**D (Q-P.), LIC 0 292
ਕੇ ਪੈ -
94.292
**D - VANGUARD SRI
II CCF
POOL
FUNDS - ITALY
INVESTMENTS
FIDELITY
VANGUARD
0 918
a18.
P
4.918.918
**D DEVELOPED MORLD II (B) CCF
FTSE
FIDELITY
0 119
53.
N
53.119
**D POOL
FUNDS - SUSTAINABLE EUROPE EQUITY
0 . 194 . 427
.194.427
L
**D FIRST TRUST EUROŽONE ALPHADEX ETF 0 12.641 12-641
**D ENHANCED EUROPE EQUITY UCITS ETF
RESEARCH
FIDELITY SUSTAINABLE
l
ICAV
ucits
FIDERITY
0 253
315.
. 253
315
ELIOR EPARGNE DIVERSIFIE 0 745
ડ .
5.745
D
D
SOLIDAIRE
ISR
ORANO
0 587
37.
37.587
AVS FRANCE
THALES
0 380
5.
080
**D PHÉLPS GLOBAL LISTED INFRASTRUCTURE CIT
DOFF &
0 300
112.
112.300
**D INDEX PORTFOLIO
INTERNATIONAL
VARIABLE INSURANCE PRODUCTS FUND II:
0 124.111 124.111
D
D
MTBJ400021914
RE:
ITD.
BANK OF JAPAN,
MASTER TRUST
THE
0 28.202 28.202
POOL
INCOME
ENHANCED
GLOBAL
-
FUNDS
FIDELITY
0 465
88.
8
88.465
8
**D SUSTAINABLE EQUITY FUND
- LACK GLOBAL
BLC
LOS ANGELES CAPITAL GLOBAL FUNDS
0 218
16.
. 618
16
**D EUROPE
BALL PACKAGING
0 4.013 4.013
**D 30-70
MILLEIS BANQUE
0 8 5 5
9.
855
9.
**D ост 0 ਤੇ ਰੇ ਪੈ
27.
27.394
**D CONVERGENCE ACTIONS EUROPE 0 ਕੇ ਤੋਂ ਦੇ
400.
400.935
D
D
GLOBAL RESOURCES SOLUTIONS CIT
DYNAMIQUE
кві
CGI
0 102
148 -
140.102
**D INTERNATIONAL EQUITIES FUND
LIFE
AMP
0 ਦ ਤੇ ਕੇ
87.
87.539
**D NON
ABS
TAX ADVANTGD
AQR
0 161
85 -
85.161
**D PORTFOLIO FUND GROWIN USD
FLIP
LUX
CREDIT SUISSE
CSIF12
0 ਰੇ ਤੇ ਰੋ
837.
ਰ ਤੇ ਭੇ
837.
**D PORTFOLIO FUND BALANCED EUR
ארו
SUISSE
CREDIT
CSIFI2
0
0
104
71.200
ల్ -
6.104
**D HIGH INCOME FUND USD
CSIFA CREDIT SUISSE LUX GLOBAL
0 56.000 71.200
56.000
**D FUND CREDIT SUISSE FUNDS AG
VALUE MEIGHTED PENSION
CH
EX
EQUITY WORLD
CH III
CSIF
୧ ବଟ
46.
46.698
**D ITALY EQUITY FUND
2 CREDIT SUISSE LUX
CSIF
862
252 -
862
52
**D IS CREDIT SUISSE TOX BORLEOTIO EUND XIEFD CHE
CSIF
0 17.680 17.680
**D CHE
GROWTH
FUND
PORTFOLIO
LUX
SUISSE
CSIF12 CREDIT
0 120
5.
120
**D FUNDS AG
SUISSE
CSIE CH EQUITY END CREDIT
0 531
532
532.531
**D S CREDIT SUISSE INX EUROPEAN DIVIDEND BIUS EDULTY ED
CSIF
057
02.
S
. 057
502
**D AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS AG 0 817.634 817.634
Pagina 17
Azionisti: ਤਰੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI

Totale
1.189.727
849.758
32.616
49.668
.764.000
320.000
235.632
2
9.293
350
117.025
987
770.796
120.934
148.025
4.192
10.375
4 .
.337
1.830.313
993
03 4
574,195
338.338
752.997
330.765
139.482
83.
ਕ 0 ਰ
82
S
805
570
108
306
4.270.847
57
-832.548
ਟੇਡ ਪੈ
97.697
830-212
505.038
301.711
100.6
641.
.774.
101.
173
82
9
বা
N
.317
2.724.549
.615
.105
0.000
ਰ ਦੇ ਪ
521.977
48.023
6.005
.102.020
22 - 400
19.544
556.958
67.
ਦੇ ਰੋ
22
102
S
. 615
1.189.727
Delega
B
320.000
235.632
2.764.000
49.668
849.75
ਰ ਨ
148.025
770.796
120.934
9-293
5-350
117.025
4.192
10-375
4.987
ਕੇ 8 ਤੋ
1.030.313
195
752.997
92.337
38.338
330.765
139.482
409.034
574.
83.
3
5
805
306
日47
212
657
570
248
57 d
038
301.711
173.108
97.697
00.
4.270.
6.832.
101.
641.
4.774.
830 -
505.
82
L
2
317
020
105
ਰੇ ୧ ব
રે વે વ
958
977
48.023
549
50.000
22.400
6.005
102-615
556.
67.
69.
22.
19.
521.
.724.
1.102.
2
Proprio
0
G
g
0
0
SCHWEIZ PASSIV CREDIT SUISSE FUNDS AG
KOLUMBAN BALANCED CREDIT SUISSE FUNDS AG USS ASSET MANAGEMENT SCHWEIZ AG
PENSION CREDIT SUISSE FUNDS AG
CAP ALPHA LONG SHORT FUND
FUND
EUND
PLUS EQUITY
INFRASTRUCTURE EQUITY
EX
AG
DIVIDEND
WELT
FUNDS
EXPOSURE
SMALL MID
AKTIEN
CREDIT SUISSE
GLOBAL
ECONOMIC
LUX
IF
CH
SUISSE LUX
2 cs
LUX
2
SUISSE
EQUITY
FUNDS
INVEST
EQUITY
Ragione Sociale
WORLD
CREDIT
FUND
CSG WORLD
EURO - ACCUMULATING KL
EQUITY MORED EX CH CLIMALE CHANGE BITC FENSION LOND FINE CREDIT SUISSE FOUDS AS
- ACCUMULATING
INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER
NORGE
ASSET ALLOCATION
ASSET ALLOCATION
SUISSE FUNDS AG
6
RE: MTBJ40003112
TACTICAL
EQUITIES GLOBAL MARKETS CREDIT
TACTICAL
SELECT
SELECT
ITD.
INVEST
INVEST
KAPITALFORENINGEN DANSKE INVEST
JAPAN,
INVESTERINGSFORENINGEN DANSKE
DANSKE
FUND
MIF-EUROPE DISCOVERY FUND
THE MASTER TRUST BANK OF
INVESTERINGSFORENINGEN
GLOBAL VALUE
FONDS II
NMM5-WIE0-CN5-ACCOUNT
KT
DANMARK AKKUMULERENDE
AKTIER
INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJI UDBYTTE - AKKOMULERENDE KL
l
l
ASSET ALLOCATION
INSTITUTIONAL AFDELING DANICA PENSION
CAP (UNHEDGED) INDEXPOOL
INDEKS KL
TACTICAL
GLOBAL
SELECT
DANSKE INVEST EUROPE HIGH DIVIDEND FUND
INVEST
INVEST
KAPITALFORENINGEN DANSKE INVEST
DANSKE
DANSKE
SHARES - LARGE
ISR
EUROPE
INVESTERINGSFORENINGEN
INVESTERINGSFORENINGEN
FONDO PENSIONE COMÉTA
EURO
ACTIONS
ONEPATH GLOBAL
ACTIONS
AKKUMULERENDE KL
BAYVK G2-FONDS
HOJT UDBYTTE KL
BNP KL
INTERNATIONAL FUND MANAGERS IOM LIMITED
KI
l
PORTFOLIO-PARTNERS INTERNATIONAL VALUE FUND
BEHALF OF
INDEKS
INDEKS
STRATEGIES FUND
INDEKS
EUROPA
EUROPA
GLOBAL
EUROPA
MBH ON
INVEST
INVEST
INVEST
INVEST
MULTI-MANAGER INTERNATIONAL EQUITY
UNIVERSAL-INVESTMENT- GESBLISCHAFT
MINISTRY OF ECONOMY AND FINANCE
DANSKE
DANSKE
DANSKE
DANSKE
ISR
INVESTERINGS FORENINGEN
INVESTERINGSFORENINGEN
INVESTERINGSFORENINGEN
INVESTERINGSFORENINGEN
ALM ACTIONS ZONE EURO
CHARLES TAYLOR
392
21
FUND TRUST NUMBER
FUND TRUST NUMBER
Pagina 18
INVEST 2 CH IF AKTIEN WELT EX SCHWEIZ CREDIT SUISSE FUNDS AG
PENSION INVESTMENT
PENSION INVESTMENT
ਤਰੇ
MBH W/VECO (AKTIEN)
FONDS
MBH W/WEBI- FONDS
n/ligi-
FOR
FOR
MBH
TRUSTEE
LTD AS TRUSTEE
KAPITALVERWALTUNGSGESELLSCHAFT
KAPITALVERWALTUNGSGESELLSCHAFT
KAPITALVERWATTÜNGSGESELLSCHAFT
LIVSFORSIKRINGSAKTIESELSKAB
PORTE
INTERNATIONAL PORTFOLIO
PENSION LIVSFORSIKRINGSAKTIESELSKAB
ಡಿವೆ
LTD
TMA UMBRELLA FD-TMA ACWI EX-JAPAN
Teste:
BANK
BANK
SUPERANNUATION SCHEME
BEST INVESTMENT CORPORATION
CORPORATION
3.534
SERVICES
SERVICES
CUSTODY
DANICA PENSION,
& CUSTODY
INVESTMENT
тв
FUND
AG
ﺑﮭ
3.507
Azionisti in delega:
27
CSIF 2 CREDIT
CS INVESTMENT
FINREON
BALOISE
CSIF 2
EK
Badge
D
D
D
D
D
D
**D
AXA VORSORGE
CSIF CH III
SCHRODER
D
D
D
D
D
D
D
D
**D
FCP ALM
ALM
D
D
D
D
D
D
D
D
**D
MI-FONDS 391
VARIABLE
MI-FONDS
D
D
D
D
D
D
D
D
D
D
D
D
BAYERNINVEST
BAYERNINVEST
BAYERNINVEST
FUNDS
BALOISE
TELSTRA
TRUST
TRUST
BEST
បា ប
AP
Azionisti:
D
D
D
D
D
D
D
D
D
D
D
D
**D
Azionisti in proprio:

EMARKET
SDIR
GRTIFFE

ان ترڪي ويوري ڪري

ENEL S.p.A

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D TMA UMBRELLA FUND - GLOBAL EQUITY PORTFOLIO 0 28.000 28.000
**D FONDSFINANS FORNYBAR ENERGI
VERDI PAPIRFONDET
0 85.000 85-000
**D 10
PENSION INVESTMENT FUND TRUST NUMBER
FOR
SERVICES BANK LTD AS TRUSTEE
CUSTODY
டக
TRUST
0 359-424 359.424
**D FUND
INCOME
JPM MULTI
0 544.557 544.557
**D FOND
INCOME
PROPERTY
GLOBAL
JPMORGAN
0 190-070 190.070
**D BEST STYLES EUROPE
CHOICE
ALLIANZ
C 60.732 60-732
**D FUNDS - ADVANCED GLOBAL EQUITY FUND
POOLED
INSTITUTIONAL
SCHRODER
0 118.476 118.476
**D ਰਿ
LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER
SERVICES BANK
CUSTODY

TRUST
0 26.907 26.907
**D FUND
BALANCED
MULTI
JPMORGAN
0 19.295 S
19.29
**D FUND
PENSION
ENPLOYEES
SERVICE
CIVIL
0 102.379 102.379
**D 2
MULTI ASSET
HANWHA KBIZ
0 79.906 79.906
**D SOSIAL
KESELAMATAN
PERTOBUHAN
0 190.446 190.446
**D LTD
BANK
COMERCIAL
FUBON
TAIPEI
0 350-000 0
50.00
3
**D DIVIDEND
EUROPEAN EQUITY
SELECTION
ALLIANZ
0 48-201 48.201
**D FUND
CONSERVATIVE
GLOBAL
ਸ਼ਮ
NIKKO
0 1.502 1.502
**D EUROPEAN EQUITY INDEX FUND
AI CONTINENTAL
l
ACS
SUNDS
PASSIVE
INVESTORS
AVIVA
0 65.615
ರ್
65.615
. 4
T
**D EQUITY FUND
BUROPEAN
POOLED
-HSBC
FUND
INVESTMENT
POOLED
HSBC
0 58.728 58.728
**D UITY INDEX TRACKING FUND
POOLED EUROPE EQ
HEBC
l
FUND
INVESTMENT
POOLED
навс
0 142-27 142.278
**D LIMITED
(ASIA)
INSTITUTIONAL TRUST SERVICE
HSBC
0 54 - 48 ಗು
54 - 48
**D INDEX FUND
FTSE ALL-WORLD
l
FUNDS
INVESTMENT
TRACKER
INDEX
Dash
0 23.973 973
23.
**D & PENSIONS UK LIMITED
LIFE
AVIVA
0 5.233.36 .233.365
**D ICAV
FUNDS
GLOBAL
HSBC
0 467.358 467.358
**D - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND
INVESTORS PASSIVE FUNDS ACS
AVIVA
0 8
ਰੇ 8
62.
S
T
8
ਰੇ ਸ਼
562.
T
**D LIMITED
REASSURE
349.139
.349.139
**D SCHEME - PUTM ACS EUROPEAN EX UK FUND
CONTRACTUAL
AUTHORISED
Боты
o o .034.70
T
703
. 034 -
T
**D FUND PUBLIC LINITED COMPANY
GLOBAL UMBRELLA
STATE
FIRST
0 8
135.01
135.018
**D COMPANY
LIMITED
PUBLIC
ETFS
HSBC
0 9
379.85
379.856
**D MANAGERS LIMITED
UNIT TRUST
PHOENIX
0 14.456.027 .456.027

t
**D CHARITIES
FUNDS FOR
INVESTMENT
EPWORTH
0 37.700 37.700
**D FUNDS - DEVELOPED WORLD SUSTAINABLE EQUITY INDEX FUND
I NVESTMENT
TRACKER
INDEX
навс
0 419
92.
6
2
92.419
9
**D EX UK INDEX FUND
FCP - M&G (LUX) EUROPE
2
FUNDS
INVESTMENT
(TUX)
M&G
0 ర్
85.06
8
m
85.069
0
గా
**D LLP
INVESTMENTS
POTENTIAL
TRUE
0 91-812
5
91-812
S
**D CLIMATE PARIS ALIGNED UCITS ETF
- HSBC MSCI EUROPE
COMPANY
PUBLIC LIMITED
ETFS
HSBC
0 4.161 4.161
**D EMO EQUITY FOND
MULTI-FACTOR
l
ICAV
FONDS
GLOBAL
HSBC
0 88.679
288 - 679
**D CORPORATION LIMITED
BANKING
CHIYU
0 240.560 240.560
**D EQUITY INDEX FUND
GLOBAL
50.50
AI
l
ACS
FUNDS
PASSIVE
INVESTORS
AVIVA
0 87.290
8
87.290
8
**D EQUITY (CURRENCY HEDGED) INDEX FUND
GLOBAL
30:70
AI
l
ACS
FUNDS
PASSIVE
INVESTORS
AVIVA
0 67.553 67.553
D
D
INABLE INDEX EUROPEAN EQUITY FUND
- PUTM ACS SUSTA.
CONTRACTUAL SCHEME
PUTM AUTHORISED
0 .245.426
-245-426
**D l
ICAV
INVESTORS
ETF
AMUNDI
AVIVA
0
0
537
19.
19.537
**D ALD EX UK EQUITY INDEX FUND
EQUITY INDEX FUND
DEVELOPED MO
60:40 GLOBAL
AI
AI
-
ACS
FUNDS ACS
FUNDS
PASSIVE
PASSIVE
INVESTORS
AVIVA
716
B
୧ ।
58.
557.
58.716
**D UCITS ETF
UTILITIES ESG
S&P GLOBAL
AMUNDI
l
ICAV
ETF
AMUNDI
0 313.450 313.450
557.618
**D FUND
EUROPEAN INDEX
l
INVESTMENT FUNDS
HSBC INDEX TRACKER
0 34-076
B
34-076
0
**D LIMITED
SERVICES
FUND
UK
INVESTORS
AVIVA
0 880
374
880
374.
**D UK LIMITED
MANAGERS
INVESTMENT
AXA
0 25.142
S
142
525.
**D RE
SERVICES IRELAND LIMITED
INSTITUTIONAL TRUST
HSBC
0 207.481
I
.207.481
T
**D INVESTORS LIMITED
GLOBAL
HENDERSON
045
801
801-045
**D GLOBAL INVESTMENT FUNDS
H&BC
225.683 683
225.
**D UCITS ETF
- HSBC MSCI EUROPE
LIMITED COMPANY
PUBLIC
ETFS
HSBC
111.692 111.692
**D BTC
ETFS
ASBC
876.011 876.811
Pagina 19

39 3.507

3.534 Teste:

Azionisti in proprio: Azionisti:

10 maggio 2023 15.23.46

y

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Amministrazione, del Collegio Sindacale e della Società di revisione. FA

1
VOREVOLI
Badge
**D
Ragione Sociale
SOCIETY
OF JESUS TRUST OF 1929 FOR ROMAN CATHOLIC PURPOSES Proprio
0
Delega Totale
**D SWISSCANTO FONDSLEITUNG AG 0 84.404
.698.770
0
84.404
.698.770
P
**D PUBLIC LIMITED COMPANY
ETFS
HSBC
FACTOR
- HSBC MULTI
MORIDWIDE EQUITY UCITS ETF 0 691
270.
270.691
**D EQUITY FUNDS ICVC
ROYAL LONDON
EUROPE
ROYAL LONDON
l
EX UK EQUITY TILT FUND 0 .022.691 .022.691
T
D
D
INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH 0 .952.051
3.952.051
**D GLOBAL INVESTORS
ALLIANZ
GMBH 0 .864.294
S
.864.294
ഗാ
**D ERGO
INTERNATIONALE
MUNICH
MEAG
KAPITALANLAGEGESEL LSCHAFT MBH
KAPITALANLAGEGESELLSCHAFT MBH
0
0
.126.651
2
2.126.651
**D FONDS AGI
VKA
ALLIANZ
CASS
INSURANCE DEDICATED LARGE
610
357.
357.610
**D SUBFORDS EQUITIES
CGI
ALLIANS
0 392
547.
547.392
**D PV-WS
ALLIANZ
EUROPE
RCM SYSPRO VALUE
0
0
514
100 .
108.514
**D UNIINSTITUTIONAL EUROPEAN BONDS & EQUITIES 0 249.362 249.362
**D UNIMARKTFUEHRER 0 110-043
391.000
118.843
**D DIVIDENDE
UNIGLOBAL
0 3.024.709 .000
391
**D FUNDS SELECTION
QUONIAM
EUROPEAN EQUITIES
l
SICAV
0 109
98.
3.024.709
98.109
**D ONIDIVIDENDENASS 0 057
963.
.963.057
N
**D SELECTION
QUONIAM FUNDS
- EQUITIES CLIMATE TRANSFORMATION
SICAV
0 10.327 10.327
**D INC.
FUND,
NEW WORLD
0 557
.747.
9
.747.557
9
**D FUND
GROWTH
EUROPACIFIC
0 ୧୧
4 - 4

. O
. 024 - 466
P
**D GLOBAL
GROUP
CAPITAL
(ประ
EQUITY COMMON TRUST
0 259
121.
111.259
**D GLOBAL
GROUP
CAPITAL
FUND (AU)
EQUITY
0 37
64.6
64.637
**D GROWTH
INTERNATIONAL
INCOME FUND
AND
0 75.645

3.
.175.645
ਤੇ
**D JPMCBNA 0 291
13.
13.291
**D INTERNATIONAL
CAPITAL
FUND 0 00 €
б
59.006
**D PENSIONS

LIFE
AVIVA
DAC
IRELAND
0 752
80.
2
-
.280.752
4
**D CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST 0 338.028 338.028
**D ILC
CGMPV,
0 540
4.
4 - 540
**D INVESTORS
AVIVA
0 ਦੇ ਹੋ ਹ
37.
L
137.541
**D INVESTORS
AVIVA
INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND 0 115.270 115.270
**D PORTFOLIO
INVESTORS
AVIVA
INVESTORS
ICVC AVIVA
FONDS
II
MULTI-ASSET CORE FUND
0 001
7.
7.001
**D INVESTMENT
INVESTORS
AVIVA
FUNDS ICVC AVIVA INVESTORS FUND
GLOBAL EQUITY INCOME
0 149
.467.
T
-467.149
**D PORTFOLIO
INVESTORS
AVIVA
INVESTORS
AVIVA
ICVC
FUNDS
III
FUND
CORE
MULTI-ASSET
0 e 4 8
14.
14.648
**D PORTFOLIO
INVESTORS
AVIVA
INVESTORS
AVIVA
ICVC
FUNDS
FUND
CORE
MULTI-ASSET
0 IEB
1.
168
**D PORTFOLIO
INVESTORS
AVIVA
INVESTORS
AVIVA
ICVC
FUNDS
V
FUND
CORE
MULTI-ASSET
0 570
4 .
4.570
**D PORTFOLIO
INVESTORS
AVIVA
INVESTORS
AVIVA
ICVC
FUNDS
IV
FUND
CORE
MULTI-ASSET
0 9.455 9.455
**D FP
2000
BANSABADELL
0 1.65B . 658
T
**D FP
18
BANSABADELL
0 E.EII 6.611
**D SABADELL PLANIFICACION 25, FI 0 905
3.
8
83.905
D
D
FI
50.
INVERSABADELL
0 01.965
C
201.965
**D 13 S
PENSIONES
SAFRAN
CASTELLANA
FCPE
0 2.609 2.609
**D ETHIQUE SOLIDAIRE
FCP HUMANIS
ACTIONS 0 19.431 19.431
**D RETRAITE
EPSENS OFFENSIF ISR
0 630.009 630.009
**D INVERSABADELL 25, FI 0
0
235.997 ਰੇ ਰੇ ਹ
235 -
**D ISR
FCP HGA ACTIONS
0 957
715.
316.
316.957
**D FERROATLANTICA 92 FP 0 882
62
. ર
. 662
715-882
**D EMPRESAS
BS PREVISION
EBSV DE EMPLEO 0 6.242 - 242
9
**D I
FCP SODIUM
0 889
375.
- 889
375
**D E.P.
BANSABADELL 36,
ਰੇ 7

б
597
б
**D FONS
FONECONOMISTES,
PENSIONS
DE
3.272 3.272
Pagina 20
AZIONISTI: Teste:
3.534
ਤੇ ਹੋ
Azionisti in proprio: Azionisti in delega:
27
3.507

10 maggio 2023 15.23.46

71

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale
**D COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, E.P 0 3.425 3.425
**D FONSOLBANK FP 0 20.936 B
ਕੇ ਤੋ
20.
**D BS PENTAPENSION EMPRESA 0 527
- 527
**D INVERSABADELL 70. ਦੇ ਮ 0 54.419 54.419
**D FCPE EPARGNE SOLIDAIRE DYNAMIQ THALES 0 194-291 194.291
**D FCP HUMANIS RETRAITE ACTIONS BAS CARBONE 0 565-243 565.243
**D QUANT
CALCIUM
0 298-435 298.435
**D FCP HGA ACTIONS SOLIDAIRE EMPLOI SANTE 0 346.840 346.840
**D HUMANIS RETRAITE ACTIONS EMPLOI SANTE 0 0
912.63
912.630
**D KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER TR
DEVLEOPED NATION MULTI FACTOR PRIVATELY PLACED MASTER INVESTMENT
0 44.457
44.457
**D AFIR HOLDING AND MANAGEMENT COMPANY б
485.31
485-319
**D DPAM GLOBAL STRATEGY L 0 830
135 -
6 -
135.830
6
**D INSTITUTIONAL
BLACKROCK
TRUST COMPANY, N.A. INVESTMENT FUNDFOR EMPLOYEE BENEFIT TRUSTS t 8
317.16
8
317.16
D
D
ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWLCO-AKTIEN 0 S
9-13
б
9
C
99.1
**D CUSTODY BANK OF
BLACKROCK
INVESTMENT FUNDS
JAPAN SCIENCE AND
N.A.
FOR
AS TRUSTEE
COMPANY ,
INSTITUTIONAL TRUST
JAPAN, LTD.
16619-9962
FOR EMPLOYEE BENEFIT TRUSTS
TECHNOLOGY AGENCY
0
0
0
0
8
570.14
64 .
570.140
64 .
**D FUND OF BLACKROCK FUNDS C C
. ਤੇ
641
б
- 98
641
**D BLACKROCK
BLACKROCK
OF BLACKROCK
SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY
SUSTAINABLE BALANCED PORTFOLIO
SERIES 0 . 42
S
.427
S
**D BLACKROCK PORTFOLIO OF
STRATEGIC INCOME OPPORTUNITIES
BLACKROCK FUNDS V
FUND, INC.
0 C
85.144
056.03
1
б
85.144
.056.03
1
**D BRUNEI SHELL RETIREMENT BENEFIT FUND 0 6.410 . 410
9
**D FUNDS I
BLACKROCK
ICAV C
**D 0

64.50
б
6
64.50
**D EX-U.S.
MSCI ACWI
B2
IMI INDEX FUND
409.83 09.83
**D MANAGED
BLACKROCK
BLACKROCK
VOLATILITY V.I. FUND OF
PLC
VARIABLE SERIES FUNDS, INC. 0
0
19.774 19.774
**D INSTITUTIONAL
MSCI ACWI
BLACKROCK
(MSXFFESGB)
B
FUND
FOCUS INDEX
POOLED FUNDS
EX-FOSSIL FUELS ESC
0
. 442.64
I
E
166.170
442.64
L
**D 0 166.170
**D CDN MSCI
BLACKROCK
FUND
INDEX
EQUITY
EAFE
0 180.729
రా
б
180.72
**D GLOBAL
ALI TANZ
W/VBDK
GMBH
INVESTORS
B
13.35
0
35
13
**D GLOBAL
ALLIANŽ
INVESTORS GABH M/TIPCO III 0
0
B
22.42
8
. 42
22
**D TACTICAL
BLACKROCK
BLACKROCK
FUNDS
INTERNATIONAL INDEX V.I. FUND OF BLACKROCK
OF BLACKROCK
FUND
OPPORTUNITIES
VARIABLE SERIES FUNDS, INC 0 143.673 143.673
**D ESG INSIGHTS WORLD EX USA FUND B 0 103.984
135.368
3 ୧୫
ਨੇ 8 ਕ
135.
103 .
**D THEAM QUANT- MULTI ASSET DIVERSIFIED DEFENSIVE 0 817.147 817.147
**D ALLIANZGI-FONDS PFD 0 931
5.931
**D BNP PARIBAS EASY - ECPI GLOBAL ESG INFRASTRUCTURE 0 488.547 88.547
**D ALLIANZGI-FONDS WERT g 0
20
7 -
200
7 -
**D SUPERANNUATION
THU
FUND J 62.663 ୧୧३
62.
**D G-A-FUND-B WORLD EQUITIES
- SUSTAINABLE
0 L
29.31
311
29.
**D THEAM QUANT 90% PROTECTED
FUNDS - WORLD CLIMATE WAVIGATOR
0 15.141
85.141
**D PARIBAS
BNP
EUROPE
EASY - ESG QUALITY
C 1.214.857 .214.857
T
**D THEAM QUANT FOCUS
HIGH
- CROSS ASSET
4.113 113
ਹੈ -
**D EASY - MSCI
BNP PARIBAS
SRI S-SERIES 5 CAPPED
SMALL CAPS
EUROPE
.520
ਦਿੱਤਾ ਹੈ। ਉਹ ਕਿ ਇਕ ਵਿੱਚ ਇੱਕ ਸਿੰਘ ਦੇ ਇੱਕ ਵਿੱਚ ਇੱਕ ਸਿੰਘ ਦੇ ਇੱਕ ਵਿੱਚ ਇੱਕ ਸਿੰਘ ਦੇ ਇੱਕ ਵਿੱਚ ਇੱਕ ਸਿੰਘ ਦੇ ਇੱਕ ਵਿੱਚ ਇੱਕ ਸਿੰਘ ਦੇ ਇੱਕ ਵਿੱਚ ਇੱਕ ਵਿੱਚ ਇੱਕ ਵਿੱਚ ਇੱਕ ਵਿੱਚ ਇੱਕ ਵਿੱਚ ਇੱਕ ਵਿੱਚ
I
520
8 9 -
9
T
**D LITHIUM RENDEMENT 6
610.06
T
.610.069
T
**D LBPAM ISR AVENIR EURO G
42.23
42-232
D
D
ZEPHYR - EUROPE EQUITY ESG OPTIMIZED 40.340 40-340
**D FONDAZIONE ROMA - GLOBAL PASSIVE
INVESTORS SHOPESSTE GLOBAL
TRUST
EQUITY (INDEX)
EQUITIES
559
545.315
32
545.315
ਦ ਦੇ ਰ
32
**D EOUITY
QUANT-
THEAM
GOALS
WORLD GLOBAL
55.36
9
655.369
**D THEAM QUANT- EQUITY IESG EUROZONE INCOME DEFENSIVE 573.433 573-433
**D ZEPHYR - OPTIMISED PLUS S 0 54.663 54.663
Pagina 21
AZ10A1stı: Teste:
3.534
ਤੇ ਹੋ
Azionisti in proprio: Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D G.A. - FUND-B - WORLD EQUITIES 0 108.713 100.713
* * D BNP S BETA/LOT133/FRR10E 0 161.640 161.640
**D A/C
BRI
NMF5-GIEP
0 25.771 25.771
**D l
AMSÉLECT
SYCOMORE EURO EQUITY GROWTH C 178.464 178.464
**D EQUITY
PARIBAS
BNB
- FOCUS ITALIA Car 145.052 145.052
**D EASY
PARIBAS
BNP
ESC HADROGEN ECONOMY
ECPI GLOBAL
-
g 244.059 244.059
**D -
EASY
PARIBAS
BNE
EUROPE
EQUITY LOW VOL
C 399.360
T
399.360
1
**D EASY
PARIBAS
BNB
FILTERED MIN TE
MSCI MORID ESG
l
0 10.746 10.746
**D FUNDS
PARIBAS
BNP
SOLUTIONS
- GLOBAL CLIMATE
0 . 884
ਹੋ ਪੈ
94-884
**D l
THEAM OUANT
EQUITY EUROPE DEFI 0 . 084
e I
61.084
**D LHCO-FONDS 0 0
100.00
100.000
**D l
G.A. - FUND-B
EQUITY BROAD EURO P 0 238.893 238.893
**D WHOLESALE
AMP
FUND
GLOBAL EQUITIES
C 836.514 36.514
B
**D EASY -
PARIBAS
BNP
ESG GROWTH EUROPE 0 6.845 6.845
**D - BOND
THEAM QUANT
PLAN
EUROPE CLIMATE CARBON OFFSET
0 B
3.68
3.688
**D STICHLING PENSIOENFONDS MEDISCH SPECIALISTEN 0 65.261 65.261
**D ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO 0 25.530 25.530
**D HORIZON EPARGNE ACTIONS 0 186.568 186.568
**D THEAM QUANT III
- EQUITY MORID EMPLOYEE SCHEME
0 2.466 2.456
**D BNP PARIBAS EASY - MSCI EUROPE EX CW 0 745.437 745.437
**D ALLIANZGI-FONDS AVP 0 4.019 4.019
**D ALLIANZGI-FONDS MAF1 0 5.278
t
15,278
**D ALLIANZGI-FONDS TOSCA 0 71.137 71.137
**D FONDS
ALLIANZGI
AFE 0 121.634 121.634
**D FONDS
ALLIANZGI
OB PENSION 0 43.291 43-291
**D ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND 0 93.224
9
93.224
g
**D BNP PARIBAS DEEP VALUE 0 653.206 653-286
**D BLACKROCK INDEX SELECTION FUND 0 041.602
.041.602
5
**D ALLIANZGI-FONDS 2
GANO
C 32.975 32.975
**D ALLIANZGI-FONDS GANO 0 710
5 .
0
5.71
**D ALLIANZGI-SUBFONDS TOB -NEU- 0 21.932 932
21.
**D EQ ADVISORS TRUST - EQ/INTERNATIONAL VALUE MANAGED VOLATILITY PORTFOLIO 0 87.292
5
87.292
**D ALLIANZGI-FONDS SIV 0 8.025 025
0.
**D THEAM QUANT - LFIS SELECTION 0 5.771 5.771
**D DBI-STIFTUNGSFONDS MISSENSCHAFT 0 ב 3 מ
8.
163.8
**D EADS INVEST
FONDS
AGI
AKTIENFONDS
FOR LIFE
0 47.700 47.700
**D ALLIANZGI-FONDS VSBW 0 164
06.
1
06.164
**D ALLIANZGI-FONDS SHI 7-000 7.000
**D ALLIANZGI-FONDS MF
DEE DITTINGER BENSIONSFORDS
84.748 84.748
**D ALLIANZGI-FONDS DUNHILL 0 700
8 .
8.700
**D SUME-COFONDS 100.000 .000
100
**D ALLIANZGI-FONDS REINVEST 4.420 4.420
**D PARIBAS RENDACTIS
вив
260.795 260.795
**D ACTIONS
PARIBAS
BNB
PATRIMOINE RESPONSABLE 512.654 . 654
512
**D ALL-COUNTRY
ISHARES
EQUITY INDEX FUND 24.184 24 - 184
**D TRUST
ADVISORS
EQ
EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO
l
0 325.699 325.699
**D TRUST
ADVISORS
ao
MANAGED VOLATILITY PORTFOLIO
EQ/INTERNATIONAL
l
971.497 971.497
**D CIRCLES
SIX
INTERNATIONAL UNCONSTRAINED EQUITY FUND .049.843
L
7.049.843
**D SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND 2.753.749 2.753.749
**D - FIDELITY EUROPE EX-UK EQUITY FUND (INVESCO)
FIDELITY COMMON CONTRACTUAL FUND II
470 178 . 178
470
Pagina 22
Azionisti: Teste:
3.534
ਤੇਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

10 maggio 2023 15.23.46

1

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
D
D
CUSTODY BANK OF
ALLIANZGI-FONDS
JAPAN, LTD. RE: STB BNP PARIBAS
PF1 SEGMENT PF1-AA2-E EUA
EUROPE EQUITY INCOME AND GROWTH MOTHER FUND 0
0
479.068
11.391
479.068
ਤੇ ਕੇ ਹ
11.
**D INVEST
OFI
0 245.000 245.000
**D PARIBAS
вир
RENDEMENT
ACTIONS
0 341.195 5
341.19
**D PARIBAS
BND
EUROPE VALUE
l
FUNDS
0 95-047
8
Z
895.047
2
**D BNP PARIBAS EUROPE DIVIDEND
SUSTAINABLE FUNDS
0 107.903 107.903
**D EO ADVISORS EQUITY MANAGED VOLATILITY PORTFOLIO
EQ/GLOBAL
l
TRUST
0 б
233.72
33-729
**D JNL/BLACKROCK GLOBAL ALLOCATION FUND 0
70
65 -
702
રક .
**D EASY
SICAV BNP
STOXX 50
EURO
0 б
134.49
1.
.134.499
L
**D ALLIANZGI-FONDS DIN 0 0
15.00
15.000
**D BNP PARIBAS VALEURS EURO ISR C 030
59.
E
58.030
3
N
**D ALLIANZGI-FONDS SVKK 0 942
1.
942
1.
**D KREBSHILF-2-FONDS 0 30-000 30-000
**D ALLIANZGI-FONDS DSPT 0 63.206 206
3.
б
**D B
BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND
0 914.764
1.
.914.764
T
**D MSCI EURODE EQUITY INDEX EUND B (EUROSECB 0 1.077.07 .077.075
I
**D FUND B (EURXCWB)
EUROPE EQUITY INDEX ESG SCREENED
0 199.233 99.233
**D CDN ACWI ALPHA TILTS FUND 0 39.904 ਰੇ 0 4
ਤੇ ਕੇ "
**D CDN MSCI FOCUS INDEX FUND A
EAFE EXTENDED ESG
626.345 345
626 -
**D ISHARES WHOLESALE INDEX
INTERNATIONAL EQUITY
SCREENED
FOND S
55.19
55.195
**D BANCO CENTRAL DE TIMOR-LESTE (BCTL) 320.717 20.717
E
**D THE MASTER TRUST FOR
BANK OF JAPAN, LTD. AS TRUSTEE
FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI 20-673
20.673
**D MSCI EMU INI INDEX FUND B (EMUINIB) 0 0 171
5.
5.171
**D CONNECTICUT GENERAL LIFE INSURANCE COMPANY
03
151.
51-039
T
**D CDN
BLACKROCK
FUND
INDEX
EX-CANADA
ACWI
MSCI
ਰੇ 1 ਦ
52 -
ਰ ਹੈ ਦ
52 -
**D MSCI EQUITY INDEX B - ITALY (MSITE)
FUND
0
90
327.
3.
902
.327.
m
**D BLACKROCK CDN WORLD INDEX FUND 0 ਹੈ ਤੇ ਕ
ടട.
5
55.134
S
**D ALPHA
GLOBAL
в
FUND
ESC NON-LENDABLE
TILTS
O ರಿ
31
2.
2.310
**D WORLD ALPHA B
TILTS - ENHANCED FUND
O 7 ਤੇ
33.
790
33 -
**D GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLE) G
30.28
289
30 -
**D RUSSELL DEVELOPED CAP EM GEOEXPOSURE INDEX FUND
LARGE
B (REMGEOB) 32.574 32.574
**D THRIFT SAVINGS PLAN 417.314

.417.314
27
**D STANDARD LIFE INTERNATIONAL DESIGNATED ACTIVITY COMPANY 093.754
I
93.754
. O
L
**D SAS
CRYOSTAR
1.265 1.265
**D CM-AM ALIZES EQUILIBRE 0 85.142
I
142
85.
I
**D ENTE NAZIONALE DI PREVIDENZA ED ASSISTENZA MEDICI (E.N.P.A M 500
52.
6
500
વેટર જેટર
**D ED ASSISTENZA DEI MEDICI
ENTE NAZIONALE DI PREVIDENZA
E DEGLI ODONTOIATRI .021.003
2
5
.021.003
ਤੇ ਨ
D
D
LARARFOND BALANSERAD INVESTMENT FUND SERVICES LIMITED 340.463
222.357
340.463
**D ohman Marknad GLOBAL 000 357
222 .
**D OHMAN MARKNAD EUROPA 000
226 -
000
226.000
244 -
**D OFFENSIV
LARARFOND
639.233
244 -
639.233
**D FUND
APEX
SERVICES PLY LTD 60.570 570
୧୦ .
**D LARARFOND FORSIKTIG 579
23.
579
23 -
**D GLOBAL
OHMAN
891.672
Z
.891.672
2
**D SWISS NATIONAL BANK 6.598.137
137
8 -
26.59
**D CREDIT
CSIF12
BALANCED CHF
FUND
PORTFOLIO
אנדו
SUISSE
880
0
00
8
0.
**D CREDIT
CSIE12
BALANCED USD
FUND
PORTFOLIO
LUX
SUISSE
80
9
б
80
9
ర్
* * D CREDIT
CSIF12
FUND GROWTH EUR
PORTFOLIO
LUX
SUISSE
37.120 37.120
Pagina 23
Azionisti: Teste:
3 534
ਤੇਰੇ
Azionisti in delega:
27
3.507
Azionisti in proprio:

EMARKET
SDIR
GRTIFFE

See

( (200

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 ฟ

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Sociale
Ragione
**D CSIE 12 CHEDIT SUISSE INX BORTEONIO EUND VIETD USD Proprio
0
Delega
512
.512
Totale
**D CREDIT
CSIF 12
EUR
XIETD
SUISSE LUX PORTFOLIO FUND
0 . 160
ટે વૈ
54.160
D
D
FULCRUM LIQUID REAL ASSETS FUND 0 . 744
14
14 - 744
**D CARDIÉ ASSURANCE VIE C 602.740
1.
602.740
1.
**D DP
ARGENTA
FUND
DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO
0
0
000-200
53.330
600.200
**D ARVESTAR ASSET REPRESENTING ARGENTA
SA
MANAGEMENT
PENSIOENSPAARFONDS DEFENSIVE 53.330
**D ASSET
ARVESTAR
REPRESENTING ARGENTA
SA
MANAGEMENT
PENS IOENSPAARFONDS 0
0
550
1.696.700
124
550
1.696.700
124.
★★★ ADAMI SERGIO 0 .262
T
1.262
*** GIORGIANNI FRANCESCO C . 367
1.367
*** VENTURINI FRANCESCO 0 9.467 9.467
**D GLOBAL INFRASTRUCTURE
CENTRE
FUND 0 141.146 141.146
**D SANLAM UNIVERSAL FUNDS PLC O 210
0
பர
50.210
**D TOPS
MACCE WORLD
AC
FUND
30
130
C 1.247 1.247
**D TOPS
WORLD
MACCE
AC
FUND
50
150
0 2-449 2-449
**D SIJOITUSRAHASTO SECURA
AKTIA
0 100.000 100.000
**D SIJOITUSRAHASTO EUROPA
AKTIA
0 450.000 450.000
**D PRUDENTIAL LEGACY INSURANCE COMPANY OF NEW JERSEY 0 417.654 417.654
D
D
MUANG THAI LIFE ASSURANCE BUBLIC COMPANY TINITED 0 190.795 190.795
**D TRUST
THE MASTER
STICHTING
RE:
LTD.
PENSIOENFONDS PROVISUM
JAPAN,
BANK OF
0 36.118 36.118
**D INSURANCE, LTD.
STELLAR
MUTB400021536 0 613.514 613.514
**D DHABI PENSION FUND
ABU
0
O
8.000
38.008
**D MASTER TRUST BANK OF JAPAN,
THE
LTD. A5 TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI 929.821
C
750.262
929.821
750.262
**D MASTER PENSION TRUST
sac
0 63.243 63.243
**D GLOBAL INVESTMENT FUND LP
। ਰੇਤੇ ਕ
0 310.918 310.918
**D FUNDACAQ CALOUSTE GULBENKIAN 0 132.221 132.221
**D SICAV
DIRECT
ING
0 410.605 410.605
**D TRUST
MASTER
THE
492
MUTB400021
RE:
LTD.
JAPAN,
OF
BANK
0 220.104 220.104
**D TRUST
MASTER
THE
MTBJ400025521
RE:
LTD.
JAPAN,
OF
BANK
0 30.513 30.513
**D BNZ (INDEX) FUND
WHOLESALE INTERNATIONAL EQUITIES
0 142.590 142,590
**D INFRASTRUCTURE
CLEAN
NEI
FUND 0 -872
ਕੇ ਦੇ ਉ
872
ਰ ୧୫ -
**D DVAN DIVERSIFIEDLIQUID ALTERNATIVESPCS 4.948 4.948
**D DAS INVESTMENTGMOH ON BEHALF OF DEAM FONDS ZAT1 0 .013
9
6.013
**D SHAW ALLCOUNTRY GLOBAL
D E
FUND I
EXTENSIONCUSTOM
ALPHA
2.447
T
2.447
L
**D AOR LP
STOCKSELECTION II MASTER ACCOUNT
3.040 3.040
**D FIDELITY SELECT PORTFOLIO
PORTFOLIOS UTILITIES
0 550.200 550.200
**D CAIXABANK ASSET S.A.
MANAGEMENT, SGIIC,
0 7.794-054 794.054
C
**D S - A.
VIDACAIXA,
0 .570.044
570-044
1
**D KUTXABANK GESTION SGIIC, S.A. 0 ୧୧
4 . 854 . B
4.854.866
**D KUTXABANK PENSIONES, S.A., SGFP 0 07

607.
607.207
**D AQR TAX AWARETOTAL RETURN FUND LLC 0 28-014 28.014
**D CMAP SRPA FUNDLIMITED 9.797 9.797
**D TAX
AOR
LP
ADVANTAGEDGLOBAL EQUITY MARKET NEUTRAL FUND
5.036
9
5.036
9
**D BELGIUMLIMITED
CIN
730 730
**D BANCO BILBAQ VIZCAYA ARGENTARIA SA 2.622.336 2.622.336
D
D
EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT 15.742 5.742
L
**D STICHTING DE NATIONALE ALGEMEEN PENSIOENFONDS 314
61
314
1.
9
ECCLESIASTICAL INSURANCE OFFICE BENEFI
PLC STAFF RETIREMENT
255.000 255.000
Pagina 24
Azıonıstı: Teste:
3.234
39
Azionisti in proprio; Azionisti in delega:
27
3.507

103

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 1

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D OEIC
THE NFU MUTUAL
0 77.762 77.762
**D MANAGEMENT LTD
ASSET
EDENTREE
0 16.500 16.500
**D EDENTREE INVESTMENT FUND SERIES I EDENTREE GREEN FUTURE FUND 9 122.000 122.000
**D 30
MAX
SANTANDER
SHARES PORTFOLIO 0 92.791 92.791
**D 50
MAX
SANTANDER
PORTFOLIO
PERCENT SHARES
0 525.051 25.051
n
**D 70
SANTANDER MAX
PORTFOLIO
PERCENT SHARES
0 850.761 850.761
**D OF
IUCE LOCAL 793 MEMBERS PENSION BENEFIT TRUST
C 133.103 133.103
**D DE
AUTORIDADE MONETARIA
MACAU 0 450.112 50.112
4
**D TRUST
GOLDMAN SACHS ETF
GOLDMAN SACHS BLOOMBERG 0 42.038 42.038
**D INTEL RETIREE MEDICAL PLAN TRUST 0 49.044 49.044
**D ALASKA PERMANENT FUND CORPORATION 0 1.410.154 1-410.154
**D SUBSIDIZED SCHOOLS PROVIDENT FUND 0 6
64.38
64.389
**D INTL BESS LP 0 1.998 8
1.99
**D AKTI
INVESTERINGSFOREMINGEN NYKKEDIT INVEST ENGROS GLOBATE
0 S
212.26
212.265
**D KAPITALFORENINGEN PRO ACADIAN GLOBAL VALUE
INVESTIN
0 418.144
18.144
. ব
**D MURRAY INTERNATIONAL TRUST PLC 0 830.000
5
. 830.000
5
**D EQUITY CORE
પક
TACS NON
CONTINUOUS LIC
MARKET
0 567.334 567.334
**D BANK OF SOUTH AFRICA
STANDARD
LTD 0 32.602 32.602
* * D BNY MELLON SUSTAINABLE GLOBAL EQUITY INCOME FUND 0 661.569 661.569
**D BNYM MELLON DI INDEX FUND
STOCK
NSL INTERNATIONAL
0 373.610 373-618
**D INVESTERINGS CREATINGEN INVESTINGS MEDIATION GLOBALE AKTIER 0 8
3.05
058
3.
**D LTD
QUILTER CHEVIOT
0 б
324.09
324.099
**D TECH FOUNDATION INC
VIRGINIA
0 45.188 8
45.18
**D SERIES TRUST AST T ROWE
ADVANCED
PRICE GROWTH OPPORTUNIT 0 432.353 432.353
**D BNYM MELLON PE NSL INTERNATIONAL EQUITY FUND 0 273.991 273-991
**D SACHS TRUST - GOLDMAN
GOLDMAN
SACHS INTERNATIONAL EQUITY IN GOLDMAN SACHS AND CO 0 . 609 - 661
2
.609-661
**D CORPORATE CLASS LIMITÉD
CI
0 0
584.90
584.909
**D GLOBAL EQUITY FUND
SELECT
CI
0 285.436 285-436
**D CONCENTRATED EQUITY
GI.OBAL
CT
POOL
PRIVATE
O 13.049 13-049
**D INCOME AND GROWTH FUND
GLOBAL
CI
0 3.163.723 3.163.723
**D POOLED
EQUITY
GLOBAL
CI
FUND 0 832 832
**D BNY MELLON GLOBAL INCOME ETF
INFRASTRUCTURE
0 166.235 166.235
**D GOLDMAN SACHS PROFIT SHARING MASTER TRUST 0 120-744 120_744
**D GENERAL UCITS ETF PLC
LEGAL AND
0 б
444.39
444.399
**D ZEDRA
THE C
LINITED
FIDUCIARY INVESTMENT FUND
0 106.136 106.136
**D MANAGEMENT HOLDINGS INC
MACQUARIE
g 9
7.77
7.776
**D FUTURELEGACY
MELLON
BNY
FUND
3
0 5.891
15.891
**D FUTURELEGACY
MELLON
BNY
FUND
0 23-836 23.836
**D FUTURELEGACY
MELLON
BNY
FUND
C 31.339 б
31.33
**D FUTURELEGACY
MELLON
BNY
FUND
9
0 38-406 38-406
**D FUTURELEGACY
MELLON
any
FUND
7
0 45.496 45.496
**D DIVERSIFIED FUND
TRUST COMPANY INTERNATIONAL EQUITY COMMON
0 238-36 238.365
D
D
NATIONAL BANK FINANCIAL INC 0 111.792 111.792
BERMUDA
OF
GOVERNMENT
240.734 240.734
D
D
EMD
KAPITALFORENINGEN
INVEST VERDENSINDEKS 262.572 262.572
**D STICHTING DEPOSITARY APG DEVELOPED MARKETS POOL
EQUITY
0 307.908
L
.307.908
T
**D WORLD
ALL
FTSE
VANGUARD
FUND
INDEX
EX US
5.694.362
T
.694.362

I
**D WANG PERSARAAN
STOCK
EUROPEAN
VANGUARD
KUMPULAN
FUND
INDEX
562.024
6.
1
.562.024
9
નૂ
**D XTRACKERS MSCI EAFE ESC LEADERS EQUITY ETF DI PERBADANKAN 18.481 18.48
39.870 0
39.87
Pagina 25
Azionisti: Teste:
3.534
ਤੇ ਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

n

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

.155
33.303

264.317
54 423
144.682
26.793
12.605
42-245
Totale
520.854
783.49
. 18
. 08
.38
4.37
17.71
405.68
172.
7.
00.
20.
5.
226 -
12
b
B
05
8
32
78
B
L
S
700
б
বা
L
E
I

B
9

-


317
245
8.782
4.231
0
S
0
4.379
27.829
63.824
24.616
27.845
ਰੇ ਤੋ
320
0.000
00
240.710
ર 3 વ
2.085
646
54.423
61.780
229
144.682
393
294
વે છે ર
605
155
323
a 8 e
146.059
263-347
00
0.000
105.000
200.212
207,720
33.303
37.267
Delega
ల్
405-686
455
226.087
ਰੇ ਤੇ ਰੋ
562
26.793
520.854
783.49
8
2.18
17.71
8
0
4.0
120.0
172.
64.
78.
4 .
19.
00.
8.
2.
42 -
5.
0 .
8.
பா
1
0
రా
7
80

L
0
E
E
T

1
L
b
70
9
T

B

1
T
2
0
0
0
0
0
0
0
0
0

0
0
0
0
0
0
0
0
0
0
0
0
0
G
0
0
C
Proprio
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
C
0
NONREPRESENTED EMPLOYEES OF SOUTHERN CALIFORNIA EDISON COMPANY
Pagina 26
OPPORTUNITY FUND
ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO
INCARNATE WORD
39
OPERATING
TRUST
FUND
DEFENSE PENSION FUND OF THE SULTANATE OF OMAN
1999 VOLUNTARY EMPLOYEES BENEFICIARY ASSOCIATION OF THE
ETF
ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND
MOTABILITY ENDOWMENT
FUNDS GLOBAL SUSTAINABLE INFRASTRUCTURE
RED DIAMOND INTERNATIONAL EQUITY LIMITED PARTNERSHIP
UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND
BNY MELLON INVESTMENT FORDS VI BNY MELLON BATANCED
MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX
OF THE INTERNATIONAL UNION OF
THE
OF
SISTERS OF CHARITY
COMPANY
TEXAS PERMANENT SCHOOL FUND CORPORATION
BRIDGEMATER IMPLEMENTATION FUMD IN LIC
AMITY BALANCED FUND FOR CHARITIES FUND
MOTHER CABRINI HEALTH FOUNDATION INC
UTILITIES QUAL NDT PARTNERSHIP
RETIREMENT PLAN
SERIES I PORTFOLIO
INCOME FUND
BRUNSWICK UNIT 2 QUALIFIED NUCLEAR
OF THE
Teste:
STICHTING PENSIOENFONDS NOTARIAAT
LP
MANUFACTURERS LIFE INSURANCE
OHSU FOUNDATION ENDOWMENT FUND
CANADA 2007 PENSION PLAN
OAK HILL INVESTMENT MANAGEMENT
SHARON D LUND RESIDUAL TRUST
PHILANTHROPAR INVESTMENTS LP
DANMARKS GRUNDFORSKNINGFOND
LLC
INTERNATIONAL LLC
MOTABILITY AS SOLE TRUSTEE
3.534
CEORGEJOUN UNIVERSITY THE
TERREBONNE INVESTMENTS LP
ROTHSCHILD MARTIN MAUREL
FUND
IO 500 INTERNATIONAL ETF
INTERNATIONAL
CONGREGATION OF THE
P
MINDFALL INVESTMENTS LP
WAN GLG EUROPEAN ALPHA
INVESCO MARKETS II PLC
ENDOWMENT PORTFOLIO L
FUND
FARGO BANK N A
EDISON
INTERNATIONAL
WESPATH FUNDS TRUST
EUROPEAN FUND
HIGHER INCOME FUND
NOF INVESTMENTS LP
FORDHAM UNIVERSITY
INDEX
CENTRAL PENSION
EQ
Ragione Sociale
MARANIC II LIC
MULTI ADVISOR
LLC
CONSOLIDATED
DCG
CITW FUND LP
MINISTRY OF
I
VOYA VACS
CERVURITE
LEXINGTON
DEUTSCHE
MASTERS
HARRIS
GLOBAL
WELLS
AMITY
TEXAS
SHELL
AMITY
Azionisti in proprio.
THE
THE
Azıonıstı:
8.300
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
++D
D
D
D
D
D
D
Badge
9
455
087
ਰੇ ਤੇ ਰੇ
634
**D . 562
.085
**D . 646
61.780
19.229
393
2 d 4
. 406
.323
તે કે છે. સે સ્વિ
27.829
63.824
24.616
27.845
78.782
146.059
263.347
4 231
893
320
0.000
800.000
120.000
-000
248.710
105-000
208.212
207.720
0
37.267
0
S
B
6
3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D MICHELLE LUND REV TRUST 0 831
031
ડ .
**D BLACKROCK FUND MANAGERS LTD 0 . 985
4 - 4 6 9
985
- 469 .
P
**D OF
CONGREGATION
THE SISTERS OF CHARITY OF THE INCARNATE WOR 0 . 389

L
389
14 .
**D MARSHFIELD CLINIC SALARY REDUCTION PLAN 0 80.368 368
80 -
**D NEW
BANK OF
THE
INV
COLLECTIVE
BENEFIT
EMPLOYEE
YORK MELLON
.749
262
I
.262.749
L
**D YORK
NEW
OF
BANK
THE
BENEFIT COLLECTIVE INVESTMENT FUND PLAN
ENPLOYEE
MELLON
0 5.461.187 5.461.187
**D MELLON
BNYM
EUND
CF SL INTERNATIONAL STOCK INDEX
603.578 578
603 .
**D FGR
FONDS
1695
.060.977
T
977
060 .
I
**D STICHTING
FONDS
1895
1 રે ક
36.9
ਰੇ 28
36.
**D FIRST SENTIER INVESTORS ICVC FIRST SENTIER RESPONSIBLE LISTED INFRASTRUCTURE FUND 186.256 186.256
**D DEPOSITARY APG
STICHTING
POOL
DEVELOBED EQUITIES RI INDEX
434.691 434.691
**D KAPITALFORENINGEN INVESTIN PRO INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS
EQUITY
VELLIV MORID
1.077.119 077-119
L
**D VIRTUS NFJ INTERNATIONAL FUND
VALUE
0 9
б
S
S
31
ર વ્રેશ
5 .
ਤੇ ਹ
**D ETF TRUST
GOLDMAN SACHS
EQUITY ETF
GOLDMAN SACHS FUTURE PLANEL
0 033.418
I
033.418
-
T
**D UNIVERSITY COURT
דרום
OF THE UNIVERSITY OF GLASSON C .333
3
б
93.333
**D BANK CONSORTIUM TRUST ITD
CO
0 66.994
6
ar
ਰੇ ਰੇ
266.
**D POOLED INVESTMENT
BCT
EUROPEAN EQUITY FUND
SMART
FUND SERIES
0 .216
47
47.216
**D FOUNDATION
ALCOA
0 35.740 35.740
**D SHELL NEDERLAND PENSIOENFONDS STICHTING 0 . 598
7.598
**D STICHTING MESSELL ADOSTRIEEN MEUBITERINGSBEDRIT
DE
VOOR
BEDRITESTAKBENSIOENEONDS
0 635.253 635.253
**D TRUST
SERIES
ADVANCED
PRESERVATION ASSET ALLOCATION PORTFOLIO
AST
0 319.055 319.055
**D TRUST
SERIES
ADVANCED
PORTFOLIO
BALANCED ASSET ALLOCATION
AST
0 32
603.8
1.
603.832
1.
**D TRUST
SERIES
ADVANCED
ASSET ALLOCATION PORTFOLIO
GROWTH
CAPITAL
AST
0 . 239
051
2.
б
051.23
2.
**D TRUST
SERIES
ADVANCED
QUANTITATIVE MODELING PORTFOLIO
AST
0 UT
. 33
123
123.335
**D CHEVIOT
QUILTER
EUROPE LTD 0 . 461
11
11.461
**D EMPLOYEES
COUNTY
MACOMB
RETIREMENT SYSTEM 0 54.053 54.053
**D COUNTY
MACOMB
TRUST
INTERMEDIATE RETIREES MEDICAL BENEFITS
C б
.00
б
9-009
**D MELLON
BNY
FOND
INCOME
GLOBAL INFRASTRUCTURE
0 342.214 42.214
E
**D STATE RETIREMENT
ARIZONA
SYSTEM C రు
. 04
a II
411.049
**D ARÍŽONA STATE RETIREMENT SYSTEM 0 778.970
T
970
778. !
T
**D FOUNDATION
FOREST
C .052
I
1-052
**D PARA GLBL
SEQUOIA FUND
0 279 279
**D GLB
PARA
STEWARDSHIP
0 - 804
P
4.804
**D ONE
NUMBER
WBW TRUST
0 6.696 9
6 - 69
* * D 1975 IRREV TRUST OF C D WEYERHAEUSER 0 5.223 5.223
**D 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER 0 4.761 4.761
**D SYSTEM
SANTA BARBARA COUNTY EMPLOYEES RETIREMENT
0 91.039 91.039
**D DNE SELECT INCOME FUND INC 0 0
332.20
S
32.200

UT
**D RETIREMENT
EMPLOYEE
૩૯
TRUST
PLAN
INCOME
0 274.845 274-845
**D OF
COMMONWEALTH
PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS 0 60.677 60.677
**D BNY MELLON INTERNATIONAL EQUITY ETF C 07.434
2
207.434
**D KOKUSAI
MSCI
XTRACKERS
ETF
EQUITY
0 5.958
8
ਰ ਦੇ 8
ક ન
**D THEOLOGICAL
PITTSBURGH
CHURCH
OF THE PRESBYTERIAN
SEMINARY
G 50.903 903
50
**D BRADLEY
MARION
PARTITION TRUST 20.395 20.395
**D ESG
CANDRIAM
id
ETF
EQUITY
INTERNATIONAL
0 123.639 123.639
**D INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA VALUE KL 0 203
147 .
147.203
D
D
INVESTERINGSFORENINGEN SPARINVEST SUSTAINABILITY WORLD KL
DOW JONES
INDEX
0
0
325.315
C
325.315
390.097
**D THE ESS PENSION FUND
BANK OF NEW
THE
LIMITE
YORK MELLON INTERNATIONAL
51.613
90.097
e 1 3
51.
**D RETURN FUND
VIRTUS TOTAL
INC S
б
6.
B
6
959
9
ਰੇ 8
Pagina 27
Azionisti: ਤੇ ਰੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

216
6.077
527.160
314.691
914
.526.265
1.18
46.12
27.43
-
27 - !
524 -
705 .
63 .
89.
4 4 .
-
ਰੇ .
325.
6.
331.
13.
16.
026.
570.
ਕੇ ਦੇ ਕ
51
6
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843
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9
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27.160
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8
103
44.190
967
9
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62.040
05.251
99.000
31.094
72.215
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92
334
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146.12
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QUALIFIED
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III
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PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX
S ETF
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UK
COMPANY NUCLEAR
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X
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PRO GLOBAL
NATIONAL PENSION
TEXAS
SYSTEM TRUST FUND
DEVELOPED MARKETS
CLEAN EDGE SMART
PGIM
PGIM
FUND
INDEX
FUND
BOARD
INDEX
ENERGY ETF
NYKREDIT
RETURNS
NYKRÉDIT
પ્રાંક
CBIS GLOBAL FUNDS PUBLIC LTD CO
PSF
INDEX
INCOME
PSF
SYSTEM OF
FIREFICHTERS RETIREMENT SYSTEM
IRISH PENSION SCHEME
ENHANCED
WISCONSIN INVESTMENT
FUND
VAERDIPAPIRFONDEN SPARINVEST
FUND
PLC
FUND
STRATEGIES
FUND
INVESTIN
EMERGING
FUND
SYSTEM
TRUST AST
ELECTRIC
WILMINGTON INTERNATIONAL
INTERNATIONAL
TARGETED
WIND
FUNDS
EQUITY
PLC
EQUITY
BANK ACTING AS
INVESTERINGSFORENINGEN
INVESTERINGS RORENINGEN
LIFE LIMITED
FUNDS
EATON VANCE MANAGEMENT
TRUST
SERIES
EMD
UTILITY
SERIES
Th
પ્રદર્ભ
INVESTMENT
RETIREMENT
PARAPLUFONDS 1 NV
III
SMEDISH
RETIREMENT
FIRST TRUST NASDAQ
GLOBAL
N
FLORIDA RETIREMENT
RAFI
KAPITALFORENINGEN
GLOBAL
EX
KAPITALFORENINGEN
RAFI
GLOBAL
EUROPEAN
PARTNERSHIP
EUROPEAN
WEST CORE
MARKETS
AND
FIRST
SERIES
PRUDENTIAL
PRUDENTIAL
GLOBAL
GLOBAL
JENNISON
KOREA
FUNDS
KOREA
FTSE
FTSE
ઉત્તર
SEVENTH
TRUST
WEST
BNY MELLON
MELLON
BLACKROCK
BLACKROCK
MACQUARIE
EMPLOYEES
AIB GROUP
UNIVERSAL
VIRGINIA
ADVANCED
TOCKHEED
STATE OF
BANK OF
INVESCO
INVESCO
INVESCO
INVESCO
PACIFIC
INVESCO
INVESCO
INVESCO
BANK OF
KOOKMIN
INVESCO
GREAT
GREAT
FIRST
PGIM
Visis A
вых
THE
CHE
THE
ארא
ETF
XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY
Ragione Sociale
Proprio
0
Delega
63
б
42
. аез
Totale
42
00
0
219.592
. 848
334
TS
. İ
915
. 611
5
. O
181.236
d1
617
97
047
92
3 € 4
953
713
62.04
ਬ ਕੇ 8
103
251
000
190
0 9 4
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୧୦
б
్ర
215
б
8
. d
E
232.08
. 43
416.669
353.208
ਰੇ ਉ ਪੈ
୧ I
716.

EMARKET
SDIR
GRTIFFE

( (

NAS

3.507

3.534 Teste:

Azionisti in proprio: Azionisti:

Assemblea Ordinaria del 10 maggio 2023

11

10 maggio 2023 15.23.46

LISTA ESTTO DELLE VOTAZIONE egetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni di Amministrazione del Collezio Sindacale e della Società di revisione. FAVOREVOLI
INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT
Ragione Sociale
Proprio
0
Delega
951
33.
Totale
33.951
LE MACQUARIE GLOBAL INFRASTRUCTURE SECURITIES FUND 0 857
247.563
295.
. 857
247.563
295
PRINCIPAL FUNDS INC OVERSEAS FUND
TIMITED
36.048 36.048
FINK FOND SOLUTIONS LID 0
0
027
205.716
8
నా
40.027
205.716
ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO 0 07
12.1
12.107
EQUAL WEIGHT INDEX ETF
P EUROPE 350
0 3.685 3 - ୧୫ ନ
INC
FUND
GLOBAL VALUE
0
0
58.176
2
505.89
58.176
505.892
ALLIANCE INSURANCE AND FINANCIAL SERVICES
SYSTEM OF MISSISSIPPI
BUBITC EMPLOYEES RELIBEMENT
0 .019.034
019.034
L
STICHTING PENSIOENFONDS ABP 0 15.663.985 15.663.985
GLOBAL INCOME FUND 0 895.142
11.
895.142
11.
ETF
FTSE INTERNATIONAL
HEDGED
0
0
147.865
392.304
147.865
92.304
m
INTERNAT
EUROPÉ É
BETA
BETA
ACTIVE
ACTIVE
SACHS
SACHS
GOLDMAN
GOLDMAN
TRUST
TRUST
ETF
ETF
G 5.209 5.209
ETF
EQUITY
HEDGED
EUROZONE
0 39.019 39-019
PORTFOLIO
VOYA INTERNATIONAL INDEX
0 575.911 575.911
IN CAIRO
THE AMERICAN UNIVERSITY
0
0
9.084
263.265
9-084
263.265
RELIGIOUS AND CHARITABLE TRUST
DUBUIS
MARIE
0 316.247 316.247
SISTERS OF CHARITY OF THE INCARNATE WORD
CHARITABLE TRUST
0 59.757 59.757
CONGREGATION OF THE
TRUST
0 1.063.164 .063.164
T
BPT
FONDS
DWS
OF
BEHALF
ON
GMBH
0 1.470.000 .470.000
T
2
PKN
FONDS
DWS
OF
BEHALF
ON
GMBH
0 683.630
1.
.683.630
T

AVD
FONDS
DWS
OF
BEHALF
ON
GMBH
0 20.121 20.121
ട് പ
TRU
MASTER
PENSION
C 103.068 103.068
SYSTEM OF LOUISIANA
TEACHERS RETIREMENT
0 42.200 42.200
FUND
REAL ASSETS
DELAWARE GLOBAL LISTED
0
0
68.139
182.310
182.310
68.139
AS
KAPITALFORENINGEN LAEGENES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFOELJE ADMINISTRATION
LI AKTIER GLOBALE
LAEGERNES INVEST
INVESTERINGSFORENINGEN
0 337.441 337.441
LTD
LIFE
1.199.252 .199.252
I
FUND
DIVERSIFIED REAL ASSET
FUNDS INC
2.125.234 .125.234
HEDGED EQUITY ETF
MSCI EUROPE
362.217 362.217
ELE
FTSE DEVELOPED EX NORTH AMERICA
INVESCO PUREBETA
5.167 .167
ી રે

219.
386
219.
. 690
ਹੈ ਰੋ
8
687.
21
809
21.690
687.
SOUTH AFRICA LTD
OF
2.034.778 2-034.778
FTSE DEVELOPED EX US MULTIFACTOR ETF
ETF
EAFE HEDGED EQUITY
XTRACKERS MSCI
. 349
22
22.349
FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TR
NUCLEAR
e J
- d
188
188.961
TEXTRON INC MASTER TRUST 0 87
-7

ਕੇ ਹ
-787
418
INDEX FUND
FIDELITY INTERNATIONAL
FIDELITY CONCORD STREET TRUST
ଟ ୧
945 . 4
20.
9
945.48
0
2
TRUST
CORP RFA VEBA
95.118 95.11
BANK
CENTRAL
322.397 22-397
INVESTMENT LUNDS III BMY MELTON GLOBAT EQUILI INCOME FUND 899.253 99.253
8
EQUI
BNY NELLON INLENALIONAL CORE
STOCK FUNDS

1.085.25
085.252
T
FUND
STOCK INDEX
INTERNATIONAL
ర్
12.945
96-05
S
96.053
12.94
L
EQUITY INCOME FUND
SETTLEMENT TRUST
INTERNATIONAL
MANVILLE PERSONAL INJURY
41.251 41-251
Pagina 29
ਤੇ ਨੇ
Teste:
3.534
3.507
Azionisti in delega:
27

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D NEW HAMPSHIRE RETIREMENT SYSTEM 0 927.145
927.145
I
**D SHELL PENSION TRUST 0 104.662 104.662
**D UPSTREAMCO PENSION TRUST 0 576
93.
93.576
**D EASTSPRING INVESTMENTS 0 8
ਕੇ ਉ
9.
8
9.48
**D NATIONAL TREASURY MANAGEMENT AGCY 0 98-142
2
98.142
**D OF DETROIT
FOLICE AND FIRE RETIREMENT SYSTEM OF THE CITY
0 40-530 40.530
**D ALTE LEIPZIGER TRUST INVESTMENT 0 377.150 77.150
**D ALTE LEIPZIGER TRUST INVESTMENT GMBH 0 38.167
238.167
**D CENTRAL
EUROPEAN
BANK 0 401-757 401.757
**D MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY 0 300
56.
56.300
**D VIRTUS DUFF AND PHELPS GLOBAL INFRASTRUCTURE FUND 0 142.579 142.579
**D WMC
VIRTUS
INTERNATIONAL DIVIDEND ETF 0 aei
32 -
32.961
**D POLICE
FIRE AND
PENSION ASSOCIATION OF COLORADO 0 750
103.
0
75
103.
**D GLOBAL
FLORIDA
LLC
EQUITY FUND
153.245 153.245
**D OF VENICE
DIOCESE
TRUST
AND
PENSION PLAN
0 ರಿ
7.88
B
7.88
**D PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO 0 984
.412.
N

.412.98
**D SCHOOL
PUBLIC
FUND
PENSION AND RETIREMENT
TEACHERS
OF CHICAGO
-059-48

.059.48
L
**D SCHOOL
PUBLIC
FUND
TEACHERS PENSION AND RETIREMENT
OF CHICAGO 24.250 24.250
**D INVESCO FUNDS 13.618 13-618
**D NSE MONICELLO MINNESOLA RELAII 80.431 80.431
**D MINNESOTA
אציע
PRAIRIE I RETAIL QUALIFIED TRUST. 0 43.715 43.715
**D MINNESEOTA
NSP
PRAIRIE II
RETAIL
071
50.
50.071
**D INTERNATIONALE MBH ACTING
KAPITALANLAGEGESELLSCHAFT
FOR ACCOUNT OF BPT g 883
8.

8.88
**D HIGH
INTL
VANGUARD
FD
DIV YLD INDEX
0 вэв
4 - 433 -
838
4.433.
**D HIGHLAND INVESTMENT FUND LIC G 882
22.
88
22.
**D PGE CORPORATION RETIREMENT MASTER TRUST 0 261.158 8
15
61 -
**D PG AND E POSTRETIREMENT MEDICAL PLAN TRUST MANAGEMENT AND NON IREES 0 9
6
g
**D CZ FUND
STICHTING
DEPOSITARY 0 970
121.
970
121.
**D PLC MAN
MAN FÜNDS
GLOBAL EQUITY
NUMERIC RI
G 10.400 10.400
**D DEAM FONDS ZDV 0 097
9.
б
097
б
б
**D FIDELITY SAI INTERNATIONAL INDEX FUND ਤੇ ਕੇ ਉ
୧୧.
. B
1-866-349
**D COLUMBIA ETF
SUSTAINABLE INTERNATIONAL EQUITY INCOME
907
22.
907
22.
**D INVESTMENT
DMS
1
PAL
FONDS
DMS
OF
ON BEHALF
GMBH
829
66.
829
୧୧ .
**D DWS INVESTMENT t
REK
OF DWS FONDS
GMBH ON BEHALF
ે કે રહ્યારે કે રહ્યારે તે રહ્યા છે. આ રે જે દિવસ સાચના પાકની વસ્તર પ્રદાશ કરવામાં આવે છે. આ ગામના લોકોનો મુખ્ય વ્યવસાય ખેતી ખેતી કરવામાં આવેલું એક ગામના લોકોનો મુખ્ય વ્યવસ
70.
70.366
*D GLOBAL EQUITY
AURION
FOND 0 077
29.
077
9.
**D BALANCED
BLACKROCK
FUND INC
CAPITAL
238
329.
329.238
**D INTERNATIONAL INDEX FUND
AZL
558
657.
657.558
**D INTERNATIONAL
DFA
AZL
EQUITY FUND
CORE
038
75.
75.038
**D POLICE
MUNICIPAL
RETIREMENT SYSTEM
EMPLOYEES
760
162.
162.760
**D MSCI
XTRACKERS
ALT MORED EX US HIGH DIVIDEND YIELD ב
EQUITY
300
21.
21.300
**D MSCI
XTRACKERS
YIELD EQUITY ETE
DIVIDEND
HIGH
EAFE
209
. 357 .
P
209
. 357 .
P
**D BNY MELLON FUND
INTERNATIONAL
୧୫୧
6.
б
. ર
. 696.686
**D TRUST
FIRST
EUROZONE ALPHADEX UCITS ETF 76-725 76.725
**D COUNTY COOK
OF
EMPLOYEES ANNUITY AND BENEFIT FUND
COUNTY 170
5.
б
N
95.170
D
D
INSURANCE
MAPFRE MSV LIFE
NTUC INCOME
CO OPERATIVE LIMITED
PIC
278
8.
278
8 -
**D ਰ ਤੋਂ ਉ
167.
167.959
**D PRUDENTIAL
PRUDENTIAL
вос
EUROPEAN EQUITY FUND 227
85.
85.227
**D PRUDENTIAL
вос
BOC
EUROPEAN INDEX FUND
GLOBAL EQUITY FUND
717
50
0 - 4
l.

б
b
. 450
1.717
ಡಿರಿ
б
**D LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LIC DEFINED BENEFIT FINA GROUP TRUST 31

187.
187.231
b
Azionisti: Teste:
3.534
ਤੇ ਰੇ Pagina 30
Azionisti in proprio: Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

Υ

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale 270.779
**D ALABAMA TRUST FUND 0 270.779
**D ELECTRIC
HAWAI IAN
J
INDUSTRIES INC MASTER PENSION TRUST
0 288.252 288.252
**D ELECTRIC
HAWAIIAN
MASTER VEBA TRUST
INDUSTRIES INC
29.559 29.559
**D OF
SISTERS OF CHARITY
SYSTEM MASTER
LEAVENWORTH HEALTH
TRUST 124.307 124.307
D
D
FUND
PERMANENT
ILMARINEN
ALASKA
CO
PENSION INSURANCE
CORPORATION
466.044 466.044
**D KOOKMIN BANK ACTING AS TRUSTEE OF
MUTUAL
SAMSUNG EUROPEAN ESG SECURITIES MASTER INVESTMENT TRUST EQUITY 4.890.000 4.890.000
**D FONDS
INKA
PMPT
420.917
62.700
62.700
420.917
**D KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET TRIUMPH MULTI FACTO PRIVATELY PLACED MASTER 118.654 118.654
**D INKA PBEAKK 1.056.974 1.058.974
**D COMMONMEATTH RETIR
OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES
.284.530
1
1.284.530
**D MULTI ASSET INCOME
IVY APOLLO
FOND 79.400 79.400
**D LOUISIANA STATE ਟ ਟੈਲਿਸ਼ਵਮ
EMPLOYEES RETIREMENT
1.960.393 960.393
T
**D RETIREMENT
ENDLOYEES
PUBLIC
SYSTEM OF NEVADA 2.338.001 2.338.801
**D RETIREMENT
PUBLIC EMPLOYEES
OF NEVADA
SYSTEM
2.357.291 357.291
**D BENEFITS INVESTMENT FUND
RETIREMENT
79.716 79.716
**D LTD
CO
REINSURANCE
POOL
166.701 166.701
**D SERIES
PENN
DEVELOPED INTERNATIONAL INDEX FUND 45.929 45.929
**D BLACKROCK SOLUTIONS FUNDS ICAV 571-013 571.013
**D RESERVES
PENSION
FUND
INVESTMENT TRUST
10.426.203 .426.203
0
T
**D SOUTH DAKOTA
OF
STATE
3.364
23.364
**D DAKOTA RETIREMENT
SOUTH
SYSTEM 306.399 306.399
**D RETIREMENT
EMPLOYEES
OF HAWAII
THE STATE
SYSTEM OF
142.061 142.061
**D FOODS MASTER TRUST
SMITHFIELD
8 4 5 845
**D GOVERNMENT
HKSAR
11 (12
FUND
SCHOLARSHIP
4.000 4.000
**D GAS AND
DIEGO
SAN
ELEC CO MUCLEAR FACILITIES ONAL DEC LRUST 89.011 89.011
**D TRUSTEE AND DEPOSITARY
NATWEST
TRUSTEE
AS
SERVICES LIMITED
225.393 225.393
**D MANAGER INTERNATIONAL
MULTI
VOYA
FUND
FACTORS
167.909 167.909
**D ENERGY
DUKE
QUALIFIED NUCLEAR DECOMMISSIONING 352.308 352.308
**D FUND
EDUCATION
QUALITY
14 - 5 40 14.540
**D INVESCO ETF
INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR
24.262 24.262
**D EMPLOYEES
PUBLIC
RETIREMENT SYSTEM OF OHIO 994.799 799
94.
б
**D LIMITED
PLANNING
ADVANCE
27.655 27.655
**D ARRANGEMENT
PRE
DIGNITY
LIMITED 40.375 40.375
**D RETIREMENT SYSTEM
PUBLIC
INDIANA
106.497 106.497
**D PORTFOLIÓ
ROBECO
EQUITY
TRUST ROBECO BOSTON PARTNERS GLOBAL
81.251 81.251
**D INVESTMENT GESEMBSCHAFTMBH
UNIVERSAL
ON BEHALF OF AEKSAAR MASTERFONDS 65.000 65.000
**D EMPLOYEES RETIREMENT ASSOCIATION
PUBLIC
OF NEW MEXICO 73.660 73.660
**D OF
PENSIONS
OE
BOARD
CHURCH
LUTHERAN
THE EVANGELICAL
IN AMERICA 60.217 60.217
**D FUND
ÉUROPÉAN
навс
61.316 61.316
**D GLOBAL EQUITY VOLATILITY FOCUSED FUND
навс
70.076 70.076
**D INTERNATIONAL EQUITY INDEX
HEBC
FUND 123.503 123.503
**D BRIDGEWATER ALL WEATHER SUSTAINABILITY LP 39.630 39.630
**D TRUST
UPS GROUP
22.135 22.135
**D STICHTING BEDRIJESTAKPENSIOENEONDS VOOR DE ZOETWARENINDUSTR 84.321 84.321
**D STICHTING BEDRIJESPENSIOENEONDS VOOR HET 84.158 84.158
**D GMBH
DWS INVESTMENT
70.272 70.272
**D FIRST PRIVATE WEALTH
PRIVATE INVESTMENT MANAGEMENT KAG MBH FIRST
57.35 57 - 358
**D ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET ALLOCATION FORTFOLIO 407.119 07.119
**D RETIREMENT SYSTEM
FLORIDA
3.964.751 3.964-751
Pagina 31
Azionisti: 3.534 Teste: ਤੇ ਰੇ
Azionisti in proprio Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

Oggetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministra
LISTA ESITO DELLE VOTAZIONE
--------------------------------------------------------------------------------------------------------------------------
ministrazione, del Collegio Sindacale e della Società di revisione. FAVORKVOLI
Badge Ragione Sociale Proprio Delega Totale
**D PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND 0 E
28.75
28.753
D
D
UNION
SALARIED
MUTUAL LIMITED
HOURLY AND
AIDDLETOWN MORKS
ENERGY INSURANCE
0
0
p
б
50.25
22.15
22.159
50.254
**D COMPANY
INSURANCE
LIFE
METROPOLITAN
0 8
352.76
B
352.76
D
D
IP 992341
IOWA PUBLIC ENBLOYEES RETIREMENT SYSTEM
11
SUSTAINABILITY
ALLWEATHER
8%
0
0
45.906
223.357
223.357
45.906
**D FUND
SHERIFES PENSION AND RELIEF
0 .700
4.700
**D EDGE SMART GRID INFRASTRUCTURE UCITS ETF
TRUST NASDAQ CLEAN
FIRST TRUST GLOBAL FUNDS PLC FIRST
0 16.228 16.228
**D INJURY COMPENSATION ASSOCIATION
RELATED NEUROLOGICAL
FLORIDA BIRTH
0
46.24
46.245
**D ZIEKTEKOSTENVERZEKERINGEN NV
ASR AANVULLENDE
0 7.232 7.232
**D NV
TEVENSVERSEKERING
ASR
0 0 .771
a D
1
790.771
**D SCHADEVERZEKERING NV
ASR
135.663 135.663
**D ASR BEWAARDER
STICHTING
0 .921
401
401.921
D
D
RISPARMIO ITALIA
SVILUPPO ITALIA
/ AMUNDI
/ AMUNDI
SPA
SPA
કુલર
SGR
AMUNDI
AMONDI
0
0
9
0
1-485-68
D
195.0
9
1.485.686
6.195.000
**D SPA
SGR
AMUNDI
0 . 234
742
ಗ್
3.742.234
**D SECTORIELLE
ROTATION
ETOILE
0
. 25
ਦ 1
51.253
**D ACTIONS INTERNATIONALES
ETOILE
0 8
22.35
8
22.35
**D FLEXIBLE
ELITE MULTI ASSET
SPA/AMUNDI
ફર્લ્વ
AMUNDI
0 8
947-72
947.728
**D / AMUNDI BILANCIATO PIU
SPA
SGR
AMUNDI
0 601-625 S
601.62
**D US POCHE ACTION
ACTIONS
ETOILE
0 . 654
141
141.654
**D DIS TRIBUZIONE
PIU` A
/ OBBLIGAZIONARIO
SPA
SGR
AMUNDI
0 ע
483.59
ર તે ૧
483.
D
D
EQUITY CLIMATE
EURO EQUITY
ESG
દર્શ્વ
INVEST
INVEST
OFI
OFI
0
0
540.000
1.
1.540.000
**D EQ
- LOW VOLATILITY
SICAV I
AB
0 . 407
.773
124
554
1.
3.124.407
1.554.773
**D DNCA ACTIONS EUROPE ISR
SG
0 95 - 745 745
ਕੇ ਦੇ .
**D ANDROS 0 18.990 18.990
**D SGAM
l
20
STAUBLI 80
0 6.091 6.091
**D BRIDGE BUILDER INT EQUITY FUND 0 .751
424
424.751
**D FONDS N2
ASTRAZENECA
0 573
7.
7.573
**D AB CAP FUND, INC. - AB INTERNAT 0 031-993
1.
31.993
0
1.
**D ACTIONS
GSK
0 B
8
. Ө
б
9.888
D
D
METZLER INTERNATIONAL INVESTME 0 0
560.45
0
560.45
**D THE
БГС
FUND
GLOBAL MASTER
VOLKSWAGEN
SEI
0
0
- 708
0
9
6.708
**D 405
PART
ISR
DIVERSIFIE
દિ
0 61.306
.50
୧೭
62.509
**D MAR
ALL
SICAV III - DYNAMIC
AB
0 9
.80
21
61.306
21.006
**D ISR
INTERNATIONALES
ACTIONS
રિંદ
0 .127
121
121.127
**D CROI
OFI INVEST ESG ACTIONS
ES
0 0
.00
250
50.000
**D INDEX FUND
EQUITY
KOKUSAI
0 0
256.96
256-960
**D A2
HALEVY
o o 9
218.45
218.456
D
D
PATHWAY FUNDS
MORGAN STANLEY
146.024 146.024
PASTEUR ISR 0 129.912 129-912
**D
++D
AFFINITY WORLD LEADERS EQUITY
l
SICAV I
AB
0 14.484 14.484
**D ALL MARKET INCOME
ACTIONS CROISSANCE
INVEST
OFI
0 0
60.10
60.100
**D CUS BK JP-RE GL SUP DVD EQ MOT 0
0
б
0
.10
. 38

C
7.100
4.38
**D SOGECAP PROTECTED EQUITIES 0 S
704.04
5
04.04
1
**D HALEVY AI 0 S
199.49
199.495
**D INVEST ISSEMENT 101 AUTRES 0 б
34.40
34.409
Pagina 32
Azionisti: 39
Teste:
3 ਦੇਤੋਕ

EMARKET
SDIR
CRIFFED

ನಿಯ

NUSOI

3.507

27 Azionisti in delega:

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione, FAVOREVOLI LISTA ESITO DELLE VOTAZIONE

Badge Ragione Sociale Proprio Delega Totale
**D BLK MAGI A SR TR-BLKRK GL INV 0 2.359 б
2.35
**D 6 A
UF
0 12.893
12.89
**D I - EUROZONE EQUITY
SICAV
AB
0 2.123.323 2.123.323
**D DNCA ACTIONS EUROPE CLIM
કુલ
0 143.650 143.650
**D IRCEC CASSETTE DIVERSIFIE G 178.847 178.847
**D EQUITY
ÉUROPEAN
l
I
AB SICAV
G S
33
431
H
1.431.335
**D DESTINATIONS EQUITY INCOME FUN 0 527.968 527.968
**D I-SUSTAIN ALL MK PORT
SICAV
AB
0 25.730 25.730
**D MAAF ASSURANCES SA 0 ୧3 ୧
927 .
927.636
**D FCP FONDATION MEDERIC ALZHEIME 0 27.573 27.573
**D BTP
PROTEC
0 12.760 12.760
**D SILVER INVESCO EURO EQUITY 0 315.708 315.708
**D LE FINISTERE ASSURANCE 0 923 ਰੇ ਤੇ ਤੇ
**D ALLIANŽ RETRAITÉ 0 106.714 106.714
**D CANTONS
AIM EQUITY EUROPE
0 854.808 600000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000
8
**D ALLIANZ 0 55.000 55.000
**D ALLIANZ IARD MULTI-ASSETS 0 426-904 426.904
**D ALLIANZ 0 321.613 321.613
**D HOSPIT VAL DURABLES MA
ALLIANZ
0 750.000 750.000
**D AB SICAV I - LOW VOLATILITY 0 105.147 105.147
**D SEGALL BRYANT HAMILL INT FD 0 461 461
**D SEB GENERATION PLUS THEODOR-HE 0 23.020 23.020
**D LYXINDEX - LYXOR GLOBAL GENDER 0 91.551 91.551
**D FASSON 0 407 407
**D LYXOR-MSCI EMU ESG BROD CTB (D 0 939
. 00 .
S
ਰੇ ਤੇ ਕੇ
. 00 .
S
**D EURO STO
CORE
ED-TYXOR
IND
LXX
0 092.093 093
92.
8
**D STOXX
CORE
ED-LYXOR
LYX IND
0 8
395.40
4 -
395.400
4 -
**D FD
DVD INCOME
INTERNAT
EUROPAC
0 400.000 0
400.00
**D LYXOR MSCI
l
LYXINDEX FUND
0 9
776.10
776.106
**D MULTI UNITS LUX-LYXOR CORE MSC 0 580.345 00.345
S
**D ZERO TRANS ETF
NET
GL
NUVBEN
Q 0
58
9.
500
்கு .
**D MSCI MORID (DR) UCI
LYXOR CORE
0 447.663 447.663
**D 50-65
DIVERSIFIE ACTIONS
0 997
6.
6.997
**D FTSE IT ALL CAP
MUL- LYX
0 240
159.
159.240
**D ACTIONS CROISSA
OFI INVEST ESG
0 630.000 630.000
**D TAX MAN INT EQ
BUILDER
BRIDGE
0 1.051.096 1.051.096
**D WORLD CLIMATE
MSCI
MUL-LYKOR
0 33.447 33.447
**D DYNAMIQUE EURO
ESG
INVEST
OFI
0 8
411-10
411.108
**D LEADERS
EUROPE ESG
LYXOR MSCI
0 m
714.70
2
714.703
**D EURO
ÉSG ÉQUILIBRE
INVEST
OFI
0 444.698 444.698
**D PORT
SICAV I-GL ESG IMPROV
AB
0 19.447 19.447
**D ESG PRUDENT EURO
INVEST
OFI
0 166
80.
T
180.166
**D EUROPE
INVEST
OFI
0 087
30.
30.087
**D ISR ACTIONS EURO
INVEST
OFI
0 369.112 69.112
3
**D BLACKROCK GLE ALLOCATION FUND 0 415.051 415.051
**D INVEST PATRIMOINE
OFI
0 ਰੇ ਦੇ ਪੈ
ea.
69.964
**D PSSF-PROGETTO AZIONE SOSTENIBI 0 090
10.
090
10.
**D FER ACTIONS MONDE 315
374
374.315
**D MUL-LYX NET ZERO 2050 SP WORLD 25.214 25.214
**D ASI - PROGETTO AZIONE SOSTENIB 27.889 27.889
Pagina 33
Azionisti: ਤੇ ਰੇ
Teste:
3.534

EMARKET
SDIR
GRTIFFE

Jack (sich

3.507

27 Azionisti in delega:

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46

FAVOREVOLI

Badge
**D
OFI INVEST DIVERSIFIE
Ragione Sociale
Proprio
0
8-426
Delega
Totale
8.426
**D LIF-LYXOR MSCI WORLD CATHOL 0 206
92.
92.206
**D ASI - PROGETTO CEDOLA 06 2023 0 284
11 -
11.204
**D INVEST DYNAMIQUE MONDE M
OFI
0 2 a c
96.
8
896.296
**D INVEST ISR VALEURS EURO
OFI
0 343.498 343.498
**D ASI - PROGETTO CEDOLA 07 2023 0 015
10.
10.015
**D AFER PATRIMOINE 0 804
7.
7.804
**D AMUNDI SOLUZ IT PROG CED 04 24 0 510
11.
1.510
T
**D ASI - PROGETTO CEDOLA 09 0 081
14.
14.081
**D AFER ACTIONS EURO ISR 0 3.789.630 3.789.630
**D PERFORMANCE
INVEST
OFI
0 19.636 9 236
L
**D ISR PATRIMOINE MOND
INVEST
OFI
0 ਤੇ ਖੋ
B
1.
T
ਤੇ ਪ
11.8
**D REBOND
INVEST
OFI
0 88
5.5
88
5.5
**D ISR VALEURS EUROPE
INVEST
OFI
0 118.885 118.885
**D - PROGETTO SVILUPPO ORIENT
ASI
0 577
84 .
577
8 વૈ .
**D INVEST EQUILIBRE MONDE
OFI
0 479.540 479.540
**D - PROGETTO
ASI
SVILUPPO GLOBAL 0 178.401 178.401
**D AMUNDI BRIDGEWATER ALL WEATHER 0 1.634 - 634
**D - PROGETTO AZIONE CITTA
ASI
0 121.000 0
121.00
**D ICAV GLOBAL MULTI
AFS
ASSET GR 0 13.398 8
13.39
**D PROGETTO AZIONE
l
ASI
0 7.014 7 014
**D MULTI-ASSET VARIO FUND
l
AES
0 5.299 б
5.29
**D EUROPE UCITS
MSCI
LYXOR
ETE 0 653.711 653.711
**D EMG EUROPE NUMERIC INVESTORS 0 128.500 0
128.50
**D RENDEMENT ISR
ETOILE ACTIONS
0 589.185 5
589.18
**D EUROPE
ENERGIE
ETOILE
0 514-229 514.229
**D CEDOLA
PROGETTO
l
ASI
2023
10
0 10.876 10.876
**D CEDOLA
PROGETTO
-
ASI
2023
12
0 10.256 10-256
**D PROGETTO CEDOLA 01 2024
l
ASI
0 24.551 24.551
**D EMU EQUITY
l
AMIF
0 218.202 218.202
**D EUROPEAN EQUITY

AMIF
0 271.371 271.371
**D AIF-MULTI-ASSET TEODORICO 0 76.017 76.017
**D AIF- TACTICAL PORTFOLIO INCOME 0 59.781 59.781
**D AMUNDI TOTAL RETURN 0 69.852 69.852
**D ASI-PROG AZION CIITA FUTURE II 0 176.179 176.179
**D BILANCIATO PERCORSO ATT
l
ASI
0 75.672 75.672
**D BIL PERCORSO ATTIVO II

ASI
0 23.411 23.411
**D PROG AZIONE INFRAS SOST

ASI
0 3.012.249 ర్
3.012.24
D
D
PROG AZ INFRASTRUTT SOS II
ASI
G 0
387.86
2.
8
31.856
ક દ
387 .
**D GLOBAL FUND-OFI INVEST ACT4
ASI BIL PER ATTIVO III
0
0
9
510.000
31.85
510.000
**D AM SF-EUR EQU OPTIMAL VOLAT 0 133.00
133.08
**D CS-INVESCO PAN ÉUROPEAN HIGH 0 226.887 226.887
**D AMUNDI AUSTRIA 0 521 - 663 521.663
**D PORT-BLKRK SRS FD
ALL
GL
BIKRK
0 3.286 286
3.
**D GL ALL VI FD-BLKKK VAR
BIKAK
S 102.738 102.738
**D VALUE PORT
AB FCP 1-GL
.669.340
2
3 4 0
- 669 -
**D CUS BK JP-RE NIK CS GL HGH OLD 163.50 500
163 .
**D BLKRK GL ALL FD (AUST) LEVEL 6.624 6.624
**D CUS BK JP-RE GL INF EQ MOT FD 117.880 117.880
Pagina 34
Azionisti: Teste:
3 534
ਤੇਰੇ
Azionisti in delega:
27
3.507
Azionisti in proprio:

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D CUS BK JP-RE GL HIGH YIELD PUR 323.757 323.757
**D I - DYN DIVIFIED PORT
AB FCP
0 15. 80
0
15.080
**D GI INV FD-NUV GL CL INF
NUVDEN
382.620 382.620
**D EQUI-DEVELOPPEMENT DURABLE 0 120.000 120.000
**D GESTION DE ACTIVOS
BANKINTER
0 5.773.403 5.773-403
*** STOK ERIK 0 10 10
**D SUNDERMEIJER BEHEER B V
נו
0 000 2.000
**D MLC INVESTMENTS, MLC LIMITED 0 0
S
C
ਤੇ ਉ
8
250 - 838
**D MLC INVESTMENTS, MLC LIMITED 0 161.655 161.655
**D EQUIPSUPER 0 219 ਕੇ ਦੇ ਕੇ 954
219.
**D MTAA SUPERANNUATION FUND 0 167.766 167-766
**D LGIASUPER 0 372.543 372-543
**D MLC INVESTMENTS, MLC LIMITED 0 215.454 215.454
**D PRIME SUPER 0 36.116 36.116
**D SPAR NORD BANK 0 5.478 .000 0
0
5.478.0
**D SUNCORD FUNDS PLY LTD 0
186 23.186
**D UBS ASSET MANAGEMENT (AUSTRALIA) LTD 0 369.626 369.626
**D FONDATION BOTNAR 0 8
વે ક
овз 458.083
**D MANAGEMENT
UBS FUND
(SWITZERLAND) AG. 0 279. ୧ ସ
б
279.961
**D CREDIT SUISSE FUNDS AG 0 77.693 77.693
**D SUISSE FUNDS
CREDIT
AG 0 99.714 99.714
**D BANK
NORGES
0 . 883.378
L
.883.378
t
**D GOVERNMENT OF NORWAY 0 68-123.756
T
68.123.756
L
**D MANAGEMENT EXCHANGE UCITS CCF
ASSET
0 .567.757
L
1.567.757
**D MANAGEMENT EXCHANGE UCITS CCF
ASSET
0 511.632 511.632
**D LEGAL AND GENERAL CCF 0 341-715 341.715
**D SCHLUMBERGER COMMON INVESTMENT FUND LIMITED 0 60.8 82 60.082
**D GIC PRIVATE LIMITED 0 232. 305 232.305
**D BANK OF BOTSWANA. 0 60 - 659 60.659
**D GENERAL ORGANISATION FOR SOCIAL INSURANCE 0 5. 823.401 823.401
5.
**D INTER-AMERICAN DEVELOPMENT BANK FOND
STAFF RETIREMENT
0 179.780 179.780
**D INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT 0 3.765 13.765
**D TS FUN
INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFI
0
8
ਰੇ ਦੇ
83.295
**D CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS 0 541.9 01 541.901
**D WHEELS COMMON INVESTMENT FUND. 0 21. ਟ ਤੇ ਰੇ 21-539
**D STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL C 8 ਰੇ ਰੋ
2.
971 899-971
**D GENERAL DIVERSIFIED FUND
LEGAL &
0 0 .147 .147
ರಿ
**D EUROPEAN
MITON
PREMIER
EQUITY INCOME FUND 0 17.781 17.781
**D GENERAL
AND
LEGAL
EUROPEAN INDEX TRUST 0 784
C
. 45
.784.452
E
**D GENERAL
AND
LEGAL
GLOBAL EQUITY INDEX FUND 0 41.876 . 876
4 T
**D FUTURE
GENERAL
ర్
LEGAL
HORLD CLIMATE CHANGE EQUITY FACTORS 1 0 б
187.96
187.969
D
D
FUTURE
FUTURE
GENERAL
GENERAL
ud

LEGAL
LEGAL
WORLD
WORLD
EUROPE EX UK INDEX FUND
DEVELOPED INDEX FUND
ESG
ESG
0
0
б
66-210
146.58
б
66.210
146.58
**D RESPONSIBLE INCOME FUND
JUPITER
0 8
273.60
8
273.60
**D
LEGAL
GENERAL MULTI-ASSET TARGET RETURN FUND 0
186-94
86.949
T
**D LEGAL AND GENERAL INTERNATIONAL INDEX TRUST 0 580.724 80.724
S
**D PREMIER MITON GLOBAL INFRASTRUCTURE INCOME FUND 0 425.000 425.00
**D OSMOSIS UCITS CCF 0 34.226 34.226
**D PERMANENT FUND INVESTMENTS LIC 0 16.311 6.311
8
**D KBI GLOBAL INVESTMENT FUND 0 117.673 117.673
Pagina 35
AZIONISTI: 3.534 Teste: ਤੇ ਰੋ
Azionisti in proprio: 27 Azionisti in delega: 3.507

10 maggio 2023 15.23.46

VI

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacele della Società di revisione. FAVOREVOLI

Badge
**D
Ragione Sociale Proprio Delega Totale
**D BARCLAYS MULTI-MANAGER FUND PLC
LEGAL & GENERAL ICAV.
0 90.097 90 097
**D STREET
STATE
GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST 0 264.197 264.197
**D PRESCIENT ICAV 0
0
un
97.569
59
64 .
97.569
5
б
. 5
ર વ
**D MONTLAKE UCITS PLATFORM ICAV. . 0
**D GLOBAL INFRASTRUCTURE UCITS ICAV
ATLAS
0 9
9
187.46
569.30
3.
9
187.466
569.30
m
**D KBI FUNDS ICAV 0 6
954.24
21.
б
954.24
21.
**D NORTHERN TRUST UCITS FGR FUND 0 S
.027.96
L

027.96
I
**D KLP
VERDI PAPIRFONDET
AKSJEGLOBAL INDEX 1 0 943
231.
.231.943
**D KLP AKSJEEUROPA INDEKS
VERDIPAPIRFONDET
0 508.628 508.628
**D SICAV.
LEGAL & GENERAL
0 C
ਕੇ ਰੋ
ு.
5

29.99
**D THE PENSION BOARDS-UNITED CHURCH OF CHRIST INC. 0 216
ਤੇ ਤੋ
33.516
**D ALL
TRUST COMMON
NORTHERN
E
EX-US
INDEX (ACWI)
COUNTRY WORLD
0 420.716 420.716
**D EAFE INDEX
TRUST COMMON
NORTHERN
LENDING
FUND -
0 411.227 411.227
**D COMPANY
THE COCA-COLA
TRUST .
MASTER REMIREMENT
0 87.611 87-611
**D OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT
CITY
SYSTEM, 0 040.023
1.
1-040.823
D
D
EMPLOYEES .
COUNTY
FRESNO
RETIREMENT ASSOCIATION. 0 611.590 611.590
**D PARTICIPATING
AND
UNION
UFCW
TRI-STA
INDUSTRY EMPLOYERS
FOOD
0 074
o.
t
10.874
**D EMPLOYEES PENSION FUND
CARE
HOME
ਹੈ ਹੈ ਰੋਰੇ
0 99-574 99.574
**D YORK PENSION
SEIU GREATER NEW
CARE
1199SEIU HEALTH
1199
EMPLOYEES BENSION FUND
FUND
0 2.779.934 2.779.934
**D GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND 0 871
371.
371.871
**D COMPANY
NEW IRELAND ASSURANCE
БТС 0
0
82.396 82.396
**D WHOLESALE MULTI-MANAGER INTERNATIONAL SHARE FUND
BT
0 .164.531
L
V
.164.531
V
**D SHARES INDEX FUND
INTERNATIONAL
вт
0 697
3.
73.697
**D WSSP INTERNATIONAL EQUITIES TRUST 0 673.817
302.630
673.817
**D PENSIOENFONDS SAGITTARIUS
STICHTING
0 200-000 302.630
200-000
**D HEINEKEN PENSIOENFORDS
STICHTING
0 90.906 90.906
**D PENSIOENFONDS
PME
STICHTING
0 .933.813
T
1.933.813
**D PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO 0 9.328-650 9.328.650
**D OF
BOARD
FUND
FUTURE
ਤੋਂ
FUTURE
BEHALF OF
ON
GUARDIANS FOR AND
0 999
. 954 .
T
. 954 . 999
T
**D BOARD OF
FUND
FUTURE
പ്ര
FUTURE
OF
BEHALF
ON
GUARDIANS FOR AND
0 8.855.689 8.855.689
**D INVESTMENT COMPANY NO. 2 PTY
MRFF
LTD 0 ા રાણ
524.
524.166
**D GUARDIANS
BOARD OF
FUND
FUTURE
THE MEDI.
OF
BEHALF
ON
FOR AND
0 .274.779
L
1.274.779
**D GUARDIANS
BOARD OF
FUND
FUTURE
MEDI .
THE
OF
BEHALF
ON
AND
FOR
0 9.408
8
9.408
8
**D COMMON
UCITS
TRUST
NORTHERN
FOND
CONTRACTUAL
0 238
971
E
971.238
5
**D STATE
FIRST
COLONIAL
50
INVESTMENT FUND
0 131
116.
6.131
11
D
D
FUND
SHARE
GLOBAL
COMMONWEALTH
30 0 રે ર

5.
8
. 256
185
**D SHARES
GLOBAL
FIRST
COMMONWEALTH
COLONIAL
FUND 0 3.510
. 89
t
.893.510
T
**D RELIEF
STATE
NATIONS
UNITED
PALÉSTINE REFUGEE
WHOLESALE INDEXED GLOBAL SHARE FUND.
FOR
AND WORKS AGENCY
0 387
8.
રેક
358-387
**D FAMILY TRUST UAD 03/1
WALTON
THOMAS L.
9/13 0 98

5.
E
0
35.39
**D WALTON 2010 TRUST
ROBSON
ട.
0
0
60
74.4
74.460
**D REV TRUST.
WOLLMAN
J.
MATT
0 98.072 98.072
**D ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST
เก
0 ਹੈ ਬ
43.556
B
818
43.556
**D FOUNDATION
ZOMA
0 96.154 96.154
**D PENSION PLAN TRUST
PERSONAL
ותא
0 20-193 20-193
**D PLAN TRUST
PENSION
PERSONAL
I BM
0 3.184 3.184
**D JTW TRUST NO. 3 UAD 9/19/02. 560
4 4 .
44.560
**D NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING 0 60
1.179.4
1.179.460
Pagina 36
Azionisti: 3.534 ਤੇ ਰੇ
Teste:
Azionisti in proprio: 27 3.507
Azionisti in delega:

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Pagina 37
WEALTH MANAGEMENT
DB RESIDUARY TRUST FOR MELANIE B. WERL U/I DATED SEPTEMBER 3.
RESO
JR. TRUSTS MASTER INVESTMENT PARTNERSHI
NORTHERN TRUST CONNON ALL COUNTRY WORLD EX-US INVESTABLE MAR
GOVERNMENT EXCHANGE
EXCHANGE
RETIREMENT PLAN
AND
OF ARLINGTON
C/O JACOBUS
AND THROUGH THE POLICY
GOVERNMENT
COUNTRIES MORDD EX-US EQUITY FUND L.P.
ST. JOSEPH HEALTH LONG TERM PORTFOLIO
TAX-MANAGED GLOBAL STYLE BLEND SERIES
LLP
EMPLOYEES` RETIREMENT PLAN OF THE DIOCESE
IN AMERICA 403 (B) (9)
BROIDA
ADMINISTRATIVE REGION
REGION
SERVICES AUTOMOBILE ASSOCIATION
BROIDA
BROIDA
CARNELIAN INVESTMENT MANAGEMENT LLC.
DB RESIDUARY TRUST FOR RICHARD A.
SPECIAL ADMINISTRATIVE
LIMITED PARTNERSHIP. .
FOURTH AVENUE INVESTMENT COMPANY
MARNA J.
ம்
FUND LLC
STATES OF GUERNSEY ACTING BY
TRUST
INTERNATIONAL TRUST
JOEL
PARTNERS LLC
FUND ASSOCIATION
INTERNATIONAL FUND
NO. 2
CHAI FOUNDATION.
PRO-GEN INVESTMENTS LIC
FOR
FOR
TRUST
FAMILY TRUST
BRADLEY
PENSOES
LLC. .
PRESBYTERIAN CHURCH
TRUST
CORPORATION
LTD
TRUST
LLC
TRUST
LLC.
SPECIAL
SIM PORTFOLIO LIC
TRUST .
TRUST
STEPHEN N POTTER
INC
LLC. .
СУМІ EQUITY L.P
CARROLL AVENUÉ
FJ INVESTMENTS
DE
IMPACTASSETS
L.
RESIDUARY
RESIDUARY
ГБ
SOLARI-LANE
DRUGS
ACORN 1998
THE FUNDO
12.576
Totale
Delega
12.576
Proprio
0
16.365
பா
16.36
0
16.480
16.480
0
507.717
507.717
0
104.406
104.406
0
1.875
0
1.875 3.559
б
55
3.
0
1.876
.876

0
1.874
1.874
0
33.613
33.613
0
1.879
1.879
0
948
ਰੇ ਪੈ ਉ
0
387.170
170
387 -
0
71.291
71.291
0
767.054
67.054
L
0
45.905
5
90
45.
0
34.966
a e e
34 -
0
.207-046
L
207.046
1
D
67.067
67.067
0
58.322
б
58.322
6
0
10.589
10-589
0
77.212
77.212
0
347.844
347.844
0
53.499
53.499
0
4.977
977
র্বা -
0
44.768

76
ਥੇ ਥੋ -
g
159.857
857
159.
0
20-029
20.029
0
3.325
3.325
0
36.646
36.646
0
5.224
224
ട്.
0
20.711
20.711
0
47.720
47.720
0
12.074
0
12.074
0
1.196
1.196
0
79.545
79.545
16.597
597
16.
0
17.702
17.702
0
10.816
10.816
0
23.379
379
23.
0
33.136
33.136
U
21.415
21.415
0
146.024
146.024
0
10.687
10.687
0
131.749
7 4 9
131.
0
189.920
189.920
0
26.693
26.693
C
103.798
103.798
62.358
ਤੇ ਤੇ
62.
928-576
928.576
39
JOSHUA GREEN CORPORATION
Ragione Sociale
TRANSIT AUTHORITY RETIRED HEALTHCARE TRUST PHILANTHROPIC Hong Kong HOSPITAL AUTHORITY PROVIDENT FUND SCHEME KONG EVA VALLEY MA1 FIDDLER PARTNERS LLC MARKETABLE SECURITIES COMMON TRUST FUND. EQUITY (PASSIVE INVEST PROVIDENCE FFIP 2005 ADM LIQUID ROTHKO ALL BERNSTEIN CINDY SPRINGS HARRY INTERNATIONAL EQUITY JBUT MASTER INVESTMENT PARTNERSHIP INVESTMENTS LLC Teste:
3.534

10 maggio 2023 15.23.46

И

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindazale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D LEHMAN-STAMM FAMILY PARTNERS LLC 0 2.670 2.670
**D LEGAL & GENERAL MSCI EAFE FUND IIC 0 556.020 556.020
**D LAKE AVENUE INVESTMENTS LLC 0 74.320 .320
74
**D F
MACKENZIE GLOBAL ENVIRONMENTAL EQUITY MASTER FUND (CAYMAN)
0 181.750 181.750
**D METIS EQUITY TRUST. 0 237.331 237-331
**D MF INTERNATIONAL FUND LLC 0 5.300
1
15.300
**D LUNA LIC 0 .106
9
6.106
**D THE GRAUSTEIN TRUSTS PARTNERSHIP 0 3.365 3.365
**D HASLAM FAMILY INVESTMENT PARTNERSHI 0 30.577
1.321
30.577
1.321
**D INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST
**D GLOBAL BOND FUND 168.321 168.321
**D ZOMA CAPITAL PORTFOLIO LLC 217.369 217.369
**D AVALON PORTFOLIO II LLC 0 1.786 1.786
**D LLC
FCM INTERNATIONAL
33-526 33.526
**D CBRE CLARION REAL ASSET LONG/SHORT FUNDLP 5.510 510
5.
**D 801 INVESTMENTS LLC 0 25.102 25.102
**D THYSSEN GLOBAL INVESTMENTS CORP 6.784 6.784
**D STRATEGIC GLOBAL BALANCED TRUST 5.303 303
5.
**D FUND
MFC INTERNATIONAL
LLC 0 12.596 2.045
12.596
**D VIRGINIA C. MARS REVOCABLE 1991
TRUST DATED AUGUST 6
2.045 670
8.
**D WAM INVESTMENTS LIC 0
0
11.626
0.670
11.626
**D SILVER GROWTH FUND LP 92.430
**D ATIVO INTERNATIONAL EQUITY FUND LP 0 92.430 102.828
**D ASCENSION ALPHA FUND LLC. 102.828 202.217
**D LONGVIEW INTERNATIONAL VALUE EQUITY COLLECTIVE FOND LONGVIEW INTERNATIONAL VALUE EQUITY COLLECTIVE FORD 202.217 383-087
**D GOVERNMENT OF GUAM RETIREMENT FUND 0 383.087
621.78
785
621.
**D LEGAL & GENERAL MSCI ERFE SL FUND LIC 721.952 952
721.
**D INVESTMENTS SH LIMITED.
צ
237.513 513
237
**D SERIES
SANFORD C. BERNSTEIN & CO DBT INTERNATIONAL VALUE
973
43.
973
43.
**D EPRISTEIN GLOBAL STYLE BLEND SERIES. 5.650.000 000
- 650 -
S
**D NATIONS JOINT
UNITED
FORD .
PENSION
STAFF
**D INTERNATIONAL MONETARY PLAN
RETIREMENT
STAFF
FUND
169.347 347
। ਦੇਰੇ -
**D INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN 52.148 148
52.
**D POLYTECHNIC
NGEE ANN
6.476 6.476
**D FOR
COUNCIL
NATIONAL
PRC
FUND
SECURITY
SOCIAL
11.059 510
11.059
**D FOR
COUNCIL
NATIONAL
PRC
FUND
SECURITY
SOCIAL
510
ਰੇ ਕੇ -
560.605
4 94 -
**D FOR
COUNCIL
NATIONAL
PRC
FUND
SECURITY
SOCIAL
560.605
991.573
573
991.
**D FOR
COUNCIL
NATIONAL
PRC
FUND
SECURITY
SOCIAL
975
32
975
32.
**D PLAN
CHEVRON UK PENSION
2.391.024
**D SYSTEMS BENSION
BAE
SCHENE 2.391.024 965
**D MINEWORKERS. PENSION SCHEME . ୨୧୧
.781
812
511.781
812.
**D FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND .100
211
209
209.100
**D INVESTMENT TRUST: FIDELITY
FIDETITY
EX . INDEX FUND
FUND
INTERNATIONAL VALUE
.503
759
11.
11.759.503
**D SALEM STREET TRUST:
FIDELITY
GLOBAL
SERIES
FIDELITY
0 247.124 247.124
D
D
WITTINGTON ASSET MANAGEMENT LIMITED
SALEM STREET TRUST:
FIDELITY
SUSTAINABILITY IND EX FUND
INTERNATIONAL
FIDELITY
C 55.403 55.403
**D NEW ZEALAND SUPERANNUATION FUND. 0 220.964 220.964
**D STATE UNIVERSITIES RETIREMENT SYSTEM OF ILLINOIS Q .146
3.217
3.217.146
**D ARIA
FOR
COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE
51
. 5
232
32.551
**D MERCER PASSIVE INTERNATIONAL SHARES FUND 0 5

401.1
401.14
Pagina 38
ਤੇ ਰੇ
Azionisti: Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

EMARKET
SDIR
GRTIFFE

1) 2020 2017

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni di Amministrazione, del Collegio Sindacale e della Società di resistone. FAVOREVOLI
Totale
55.016
Delega
55.016
. 518
1.081.848
B
518
1.081.848
8
.376.916
2
2.376.916
249.393
66.644
249.393
66.644
52.544
. 544
52
1.627.257
1.627.257
6.162
6.162
206.867
206-867
330.537
330.537
748.682
10.029
10.029
748.682
39.490
39.490
57.343
57.343
32-649
32.649
33.778
33.778
54.593
54.593
32.139
26.066
26.066
32.139
46.017
46.017
79.233
79.233
56.987
56.987
102.399
102 - 399
32.165
32.165
43.665
126.611

126.611
43.66
25.713
25.713
20.482
20.482
37.736
37.736
49.547
5.769
5.769
49.547
33.420
33.420
47-736
47.736
24.229
24.229
52.239
13.011
13.011
52-239
16.691
16.691
76.067
76.067
159.687
159.687
13.108
13-108
219.004
219.004
eac
58.734
690
58.734
10.795
18.795
.150.971

2.150.971
37.969
37.969
500.471
500.471
2.306.766
20.861
20 - 861
2.306-766
Proprio
0
0
0
0 0
0
0 0 0 0 0 0
0
0 C 0 0 0 0
0
0 0 0 0 0 0
0
0 0 0
0
0 0 0 0 0
AUSTRAL Pagina 39
ਤੇ ਰੇ
3.507
MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND NT MORID GREEN TRANSITION INDEX FUND 1 -
FUND
COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES
FUND .
FUND
EQUITIES
CORPORATION OF SOUTH
MANAGEMENT
ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND FUND
HIGH CONVICTION INFRASTRUCTURE
FÜND
INFRASTRUCTURE
LISTED
BOARD.
SUPERANNUATION

NO.
TRUST
PORT
EQUITY
3 UAD 01/17/03
12.
no.
TRUST

NO
TRUST
01/17/03
UAD
7.
no.
TRUST
. ೧೯೮೧ ರಿ
NO.
NO.
TRUST
TRUST
g.
NO.
TRUST
FAMILY TRUST UAD 03/19/13 LOGISTICS RETIREMENT MASTER TRUST DEFENCE UNION OF SCOTLAND
AND DENTAL
CATHOLIC CONFERENCE MASTER PENSION TRUST BOARD.
INVESTMENT
FUND
ENDOWMENT
UAD
9/19/02
9/19/02.
UAD
9/19/02
UAD
9/19/02
2 UAD
TRUST
COMPANY DEFINED BENEFIT MASTER
TRUST .
FORD MOTOR COMPANY DEFINED BENEFIT MASTER
BELLSOUTH.
TRUST UNDER EXECUTIVE BENEFIT PLAN (S) FOR CERTAIN
PLAN (S) .
BENEFIT
FUND.
BELLSOUTH CORPORATE TRUST UNDER EXECUTIVE
NUCLEAR POWER PLANT QUALIFIED
INTERNATIONAL GROWTH EQUITY FUND. 524 (G) ASBESTOS PI TRUST
ENGINEERING
INC. TRUST UNDER EXECUTIVE BENE.
TELECOMMUNICATIONS
FUND
RETIREMENT MASTER TRUST
BOTTOM UNIT I QUALIFIED
CONFERENCE
FUND
MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE
TRUST
ROBSON WALLON 1999 CHILDRENS
INTERNATIONAL EQUITY FUND INDEX FUND
NORTHERN FUNDS - INTERNATIONAL EQUITY
THE NEMOURS FOUNDATION PENSION PLAN
Teste:
3.534
Azionisti in delega:
Ragione Sociale
Badge
D
D
OIC LISTED EQUITIES FOND INTERNATIONAL EQUITIES
INTERNATIONAL
OIC
OIC
SUPERANNUATION FUNDS co
ર્ભ
MORRISON
MERCER GLOBAL EMPLOYEES
GOVERNMENT
HRW TESTAMENTARY LAZARD/WILMINGTON INTL
TRUST NO.
HRW
TESTAMENTARY
HRW
TESTAMENTARY
HRAT
TRUST NO. 4
HRW
TESTAMENTARY
HRW
TÉSTAMENTARY
TESTAMENTARY
ням
HRW
TESTAMENTARY
HRW
STEUART L. WALTON хро MEDICAL
THE
MICHIGAN
IDAHO
TRUST
OF
STATE
JTW

NO.
NO.
TRUST
JTH

NO.
TRUST
JTW
NO.
JTW TRUST
ARVEST FOUNDATION ALUMBRA INNOVATIONS FOUNDATION
MOTOR
FORD
ESSENTIA HEALTH CLINTON FUNDS
NORTHERN
CYSTIC FIBROSIS FOUNDATION. COMBUSTION BELLSOUTH EMERSON ELECTRIC CO CONSTELLATION PEACH
CATHOLIC
MICHIGAN
NORTHERN 5. ACTIVE M A210n1st1:

10 maggio 2023 15.23.46

y

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Amministrazione, del Collego Sindacale e della Società di revisione. T TUADDUAT

FAVUREVULI
Pagina 40
ਤੇ ਰੇ
SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST FUNDS
PLAN TR.
ਮਾਡ
0
PLANS
NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE
PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES
1
COLLECTIVE FUNDS TRUS
CHICAGO
MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT
SERVICES CASH BALANCE RETIREMENT
THE PENSION PROTECTION FUND RENAISSANCE
-- ----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

|

Assemblea Ordinaria del 10 maggio 2023

V

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge
**D
IWA - FOREST INDUSTRY PENSION PLAN 2100
Ragione Sociale
Proprio
0
Delega
486-190
Totale
486.190
**D PLC
CAPITAL MANAGEMENT UMBRELLA FUND
Jo Kambro
0 .071.573
T
-573
.071
1
**D
SCHEME
CONTRACTUAL
AUTHORISED
BLACKROCK
0 6.661.601
L
.601
୧୧ ।
9
**D FUND
EQUITY TRACKER
GLOBAL
ACS 30:70
0 196.878 8
196.87
**D CORPORATION
INVESTMENT MANAGEMENT
BRITISH COLUMBIA
211.305 un
.30
211
**D AUTHORISED CONTRACTUAL SCHEME.
CIV
LONDON LGPS
0 ਦੇ ਕੇ ਪੈ
103.
103.594
**D SYSTEM OF OHIO
RETIREMENT
STATE TEACHERS
4.190.436 4.190.436
**D DE PANAMA
DE AHORRO
FONDO
FIDELCOMISO
0 32.963 32-963
**D AUTHORISED CONTRACTUAL SCHEME
CENTRAL
LGBS

347.20
347-209
E
**D AUSTRALIAN RETIREMENT TRUST 0 0
306.18
б
306.180
б
**D UMBRELLA
(WALES PP) ASSET POOLING ACS
PARTNERSHIP
PENSION
WALES
LF
0 B
51.83
5
3.
8
83
551.
**D CONTRACTUAL SCHEME
AUTHORISED
POOL
ACCESS
LE
DHE
0 048-731
2.
731
.048.
**D SCHENE
THE LF ACCESS POOL AUTHORISED CONTRACTUAL
0
144.15
144.150
**D TIMILED
IRELAND
BLACKROCK ASSET MANAGEMENT
BLACKROCK UCITS CCF.
916-169 916.169
**D MEST YORKSHIRE FENSION FUND 0
.750.00
L
.750.000
I
**D INTERNATIONAL FUND
CLEARWATER
U
32
51.
325
T
**D FUND
PENSION
MERSEYSIDE
230.126 230.126
**D KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP 1.212.273 273
212 -
T
**D AB
TJANSTEPENSION
AME
309.230
230
.309
T
**D INSURANCE COMPANY
INSURANCE COMPANY EDO MULUAL PENSION
PENSION
MUTUAL
ELO
515
.170.
I
515
.170.
**D KANK
DE NEDERLANDSE
KONINGIN WILHELMINA FONDS VOOR
STICHTING
29.475 29.475
**D OPENBARE BIBLIOTHEKEN
PENSIOENFONDS
STICHTING
12.190
L
190
112.
**D UNIVEST. 8 ਤੋਂ ਭੇ
ଚର୍ଯ୍ୟ ହେବା । ଏହା ବିଷ୍ବା ସମ୍ବା ପ୍ରତି ।
839
୧୧ -
**D PENSIOENFORDS PGB
STICHTING
325
54 -

2
325
.254 .
2
**D GL.
5CHOONMAAK EN
HET
VOOR
BEDRIJFSTAKPENSIOENFONDS
STICHTING
220.217 220.217
**D OVER DE WEG
BEROEPSVERVOER
BEDRIJESTAKPENSIOENFONDS VOOK HET
STICHTING
42.090 42-090
**D FJARDE AP-FONDEN. 338
233.
338
.233.
**D BEDRIJFSTAKPENSIOENFONDS ZORGVERZEKERAARS.
STICHTING
561.279 279
561.
**D TREDJE AP-FONDEN 3.180.227 227
.180.
**D LONDON INVESTMENTS LTD.
POINT72
0 3.383.050 .383.050
m
**D INVESTORS LLC
C/O NUMERIC
MAN NUMERIC ALTERNATIVE RISK PREMIA EQUITIES
0 076
. 662 .
076
.662.
T
**D LIMITATA
RESPONSABILITA
A
G.S. SOCIETA
0 260
560
2.
**D LIMITATA
RESPONSABILITA
ಕ್ಕ
SOCIETA
T.S.
3.191 191
3.
**D C/O AQR CAPITAL MANAGEMENT LLC
NEU
CAP MARKET
LARGE
GLOBAL
l
PRO
INVESTIN
KAPITALFORENINGEN
174.707 174.707
**D VALUE FUND L.P.
GLOBAL
EQUITY MARKET NEUTRAL
AOR
25
B
81.
E
825
-087-
**D LP
(02)
ALPHA
INTERNATIONAL
NUMERIC
MAN
762-900 762.900
**D SICAV-LUMYNA-MW TOPS UCITS FUND
UCITS
LUMYNA-MARSHALL WACE
0 743.609 743-609
**D Q
- MAN SOLUTIONS LT
SEG POR TFOLIO H
-
CAYMAN SPC
CPPIB MAP
C 340.400 340.400
**D FONDO DE BENSIO
II
PENSIONES
MEDICLANUM
0 00
. O
0
L
6
90.000
**D MEDIOLANUM EUROPA R.V. F.I. 0 9.360
. 399
б
19-360
5.39
**D CM GRAT LLC 0 -506

17
17.506
**D ROSEDENE LLC 0 S
3.85
3.855
**D PARTNERS LP
SPHINX
0 .387
11
11.387
**D - 2000
FAMILY TRUST
ABBASI
C 0
- ୧୦
I
- 600
**D C DIANE CHRISTENSEN TTEE
COMMUNITY PROPERTY TRUST UAD 05/10/19
CHRISTENSEN-PIERRET
0 125.012 125.012
**D 625
SPRING
0 3.564 3.564
**D TTEE
DOEFIETD THUST UND 09/12/96 CHERXL D DUELTED
D
CHERYL
THE
**D 08/10/84 DUNCAN MACNAUGHTON TTEE
DUNCAN MACNAUGHTON REVOCABLE LIVING TRUST UAD
12.803
13.322
13.322
12.003
**D FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL
TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL
NPE
17.053 17.053
**D
Pagina 41
A zinnisti 6

Teste
3 534

3.507

27 Azionisti in delega:

Azionisti in proprio:

12

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI LISTA ESITO DELLE VOTAZIONE

Badge Ragione Sociale 00
Proprí
Delega Totale
**D DAWN L ARNALL TRUST UAD 07/15/08 UAD 07/15/08 DAWN LYNN ARNALL TTÉÉ 11444 526
20
20.526
**D ARTHUR P. BYRNE INVESTMENT MANAGEMENT TRUST UAD 08/11/00 ARTHUR P. BYRNE TTEE 0 3.360 360
**D FAMILY
THE OWEN
INVESTMENT TRUSTUAD 11/16/17 PLEDGED COLLATERAL ACCOUNT FBO FIRST REPUBLIC BANK 0 579
M
579
r * D LLC
MUGUET VENTURES
0 - 80 4
3.804
**D PARTNERS LLC.
BEL45 CAPITAL
.301
19
9.301
T
**D ENDOWMENT FOUNDATION
AMERICAN
. 564
9
264
6.
**D 2019 NON-GST DESCENDANTSTR INTL UAD 06/06/19 LORI W SAMUELS & THEODORE R SAMUELS TTEES . 469
- 4 ਦੇ ਰੋ
**D LLC
INVESTMENTS
FAMILY
RED
10.529 0.529
J
**D JAMES B PICK TTEE
PICK REVOCABLE TRUST UAD 09/22/00 JAMES B
1.917 1.917
**D UNION THEOLOGICAL SEMINARY IN
THE
YORK
OF NEW
CITY
THE
.126
T
1.126
**D FOUNDATION
ENDOWMENT
AMERTICAN
& ROSE
JAY
THE
FBO
PHILLIPS FAM FOUNDATION OF CO INTL. 2.987 2.987
**D FOUNDATION
ENDOMMENT
AMERICAN
AND
JAY
FBO
ROSE PHILLIPS FAM FOUNDATION OF CA INTL .128
T
1.120
**D INVESTMENTS LIC C/O ST
1882
TRUST
rouis
2.792 2.792
**D LOVELACE
MINANA
THE
FAMILY TRUST UAD 06/11/00 ROBERT LOVELACE & ALICIA MINANA TTEES 1.951 1.951
**D ALAN K & LAURA G GREBENE TR UAD 08/24/12 ALAN GREBENE & LAURA TTEES
GREBENE
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**D FAMILY
SAO 2015
ORTHWEIN
TRUST UAD 08/31/15 V F ORTHWEIN & A
TTEES
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Б
ട്
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0 5-823 5.823
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A B
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13 0 14.623 14.623
**D INVESTMENTS
FAMILY
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INVESTMENTS
FAMILY
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ਦ ਤੇ 0 . 558
4-558
**D LLC
INVESTMENTS
FAMILY
GOLD
52 0 3.453 3-453
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INVESTMENTS
FAMILY
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(C)
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0 ક કે રે 9
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21
. 899
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**D LLC
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0 2.086 2-086
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& DOUGLAS GOLDMAN
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0 . 828
P
4.828
**D FDN
& MARCIA GOLDMAN
JOHN
0 . 024
L
7.024
**D ENVIRONMENTAL
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**D SAMUELS FAMILY TRUST UAD
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AND
TED
07/03/96 THEODORE R SAMUELS & LORI W SAMUELS TTEES 0 3-079 3.079
* D FAMILY TRUST UAD 08/20/98 A
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ம்
3.964
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08/23/77
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DONA CRAWFORD
0 5.509 5.509
**D SCOTT C WALLACE LIVING TRUST UAD 04/26/95 SCOLT MALLACE 12/05/00
TTEE AMD
B. 467 8.467
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TRUST UAD 07/01/81 A R MULLER
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TTEES AMD
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2.787
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0 .541
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4.541
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.821
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A L
ALICIA MINANA & ROBERT LOVELACE TTEES 0 1.992 1-992
**D I L 2012 NONEXEMPL GRAT REMAINDER TR UAD 04/30/12 ROBERT LOVELACE & ALICIA MINAVA TTEES g 988
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8
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7.326
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B
0 4.690 4.690
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UAD 01/06/10
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( BNY MELLON NA AS SECURED PARTY
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5.981
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7.621 7.621
D
D
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l
FUNDS
ROSILYN
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ABNER &
03/05/91 A GOLDSTINE & R GOLDSTINE TTEES
2
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UAD
LIV TR
12/10/04 NON-US EQUITY
AMD
63.834 63 - 83 4
**D SOLUTIONS
FUND
MACQUARIE
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LISTED
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l
483.249 483.249
**D FUND SOLUTIONS
MACQUARIE
MACOUARIE GLOBAL CONVERTIBLE FUND
-
99.661 99.661
**D BEST BRANDS -
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MEDIOLANUM MORGAN STANLEY
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Pagina 42
Azionisti: 3.534 Teste: ਤਰੇ
3.507
Azionisti in proprio: 27 Azionisti in delega:

10 maggio 2023 15.23.46

1

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

829
Totale
935
567
107.827
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2.033.639
86-799
703.141
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9-037
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11.
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86.799
703.141
952
107.827
683.556
2.033.639
376.829
84.935
54.567
9.037
11.!
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516
320
29.406
59.099
148.000
97.000
5.771
277.871
158.054
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158.054
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29.406
95.771
595.516
59.099
140.000
.320
277.871
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б
0
0
0
1.627.569
103.347
466.108
77.787
131.686
ਰੇ ਰੇ 2
4 430.077
9.500.254
43.850
63.
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1.627.569
131.686
103.347
43.850
466.108
4.430.077
77.787
9.508.254
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0
U
0
0
0
0
0
0
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907.517
1.759.983
290.348
40.605
57.736
186-127
23.319
14.238
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3.125.583
947-495
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1.290.348
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40.605
23.319
14.238
2.181.626
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57.736
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299.311
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II - DOE & BRETES GLOBAT PISTED INERASLANCIAL
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VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE
MEDICLANUM BEST BRANDS = MEDIOLANUM ENERGY TRANSITION
l
l
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l
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POOL
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JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL ÉQUITY INDEX TRUST.
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PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES TY LOW CARBON TRANSITION INDEX FUND349
MORID DEVELOPED EQUITY INDEX FUND 3491
Pagina 43
PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED
PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270
ਤੇ ਰੇ
3.507
GLOBAL EQUI
TRANSITION
FUND OVERLAY (6558)
FUNDAMENTAL
CLIMATE
Azionisti in delega:
INTERNATIONAL SHARE FUND
FTSE
ND
INV
LGIM
RAFI
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Teste:
AANDELENFO
OF DEA
1
1
1
27
CMI GLOBAL NETWORK FUND
BALANCED
l
l
l
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SICAV
Ragione Sociale
INVEST
VONTOBEL FUND
INVEST
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UNIVERSE THE
MMA VIE SA
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DANSKE
DANSKE
DANSKE
DANSKE
HORIZONS MULTIACTIVOS GLOBAL PRUDENTE FUND
- AKTIEN EUROPA (EUR)
SPECIALIST FUND 52
GLOBAL SHARE FUND
SERVICES
FIDELITY IECFUTL
FUND
OF CUSTODY LTD
ZUGERKB FONDS
CMLA INDEXED
COMMONWEALTH
ITALY STOCK
MÜFG FÜND
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MANAGEMENT FUNDS
SCHWAB INTERNATIONAL INDEX FUND
ESG SCREENED FUND
ABERDEEN STANDARD SICAV
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ALLIANZ
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LIFE ASSURANCE PLC
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CUSTODY B.V.
A-ILGLOEOG
A-ILGLOEON
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A-ILDSCG
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l
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l
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WRLD ESG DEV IDX (6734)
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MGNT ) LTD
MGNT) LTD
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3.534
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SERVICES
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Azionisti:
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EMARKET
SDIR
GRTIFFE

ﻟﻠﺘﻌﻠﻴﻢ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤ

Used August

Assemblea Ordinaria del 10 maggio 2023

vl 10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale
**D LGAS SHF CLIENT DIR INV FUND (1649) Proprio Delega Totale
**D ÉURO EX UK
LGAS SHE
0 787.000 787,000
**D 0
ESG FD(1848 LGIM PMC CSUE(36670) TESCO INDEX EQUITY TSGN (527
TRUSTEE
AS
UK LIMITED
CITIBANK
0 62.271 62.271
**D JROP
INTER

LIFE)
(STANDARD
ASI
FOR
TRUSTEE
AS
UK LIMITED
CITIBANK
0 092 - 622
092.622
2
**D FOR ASI (STANDARD LIFE)
I E
FD
CNEALTH GS
CFSIL RE
0 - 497
124
124.497
**D 0 . 668
163
63.658
t
**D DIMENSIONS GROUP INC
PORTEOLIO OF DFA INVESTMENT
INTERNATIONAL CORE EQUITY
FUND.
MANULIFE GLOBAL
0 B
986-23
5
986.238
**D INVESCO POOLED INVESTMENT FUND - EUROPE FUND 0 256.460 256.460
**D ALLIANZ GLOBAL INVESTORS GLOBAL ECO TRENDS FUND 0
0
233-632 233.632
**D AEGON CUSTODY B.V 0 347.000
97
347.000
**D NMTB/NIK KOKUSAI-NH 935026 0 309.737
.314
309.737
97.314
**D NMTB/NIK KOKUSAI-H 935034 0 23.420 23.420
**D FUNDS ICAV
BERESFORD
0 6.430
26.430
**D STANDARD LIFE INVESTMENTS
l
II
SIIC
0 576.771
T
576.771
L
**D FIRST STATE INVESTMENTS LIMITED
COLONIAL
0 216.041 216.041
**D EQUITY FUND
STANDARD OEIC II - ASI EUROPE EX UK INCOME
ABERDEEN
0 .716
ਰ 0 ਪੈ
904.716
**D PGGM DEPOSITARY
STICHTING
0 V
8
L
462
7
7 8
62 .
**D SEC FUND
NATIONAL COUNCIL FOR SOCIAL
0 N
8
. d
118
C
118.48
**D LEGG MASON INC. 0 00
. 2
2.200
**D DRONNING EUTEMIAS GT
GLOBAL (IV : INGVILD ANGVIK BJONNES
DNB
VERDIPAPIRFONDET
0 0
S
. 8
ه وا
P
0
491.85
P
**D MILJOINVEST
DNB
VERDIPAPIRFONDET
0 5
8
. 1
0 4 3
বা
043.183
4 .
**D INDEKS
GLOBAL
DNE
VERDIPAPIRFONDET
0 996.614 96.614
б
**D COLUMBIA THREADNEEDLE INVESTMENTS
(LUX)
THREADNEEDLE
0 446.010 446.010
**D (LUX
THREADNEEDLE
0 0.277
30.277
**D OLD MUTUAL GLOBAL INVESTORS (UK) LIMITED
SPECIAL SITUATIONS FUND (FIDELITY
ARTEMIS UK
MUTUAL
OLD
0 . 000
0
ﻟﺴ
70.000
**D INTERNATIONAL CORE
SIGMA
TWO
0 1 d । ਕੇ
**D THREADNEEDLE INVESTMENT FUNDS ICVC. 0 . 509
.373
V
4.373.509
**D FUND COLUMBIA THREADNEEDLE INVESTMENTS
ASSET
PENSIONS MULTI
THREADNEEDLE
0 .320

B
4.320
8
**D CITIBANK UK LIMITED AS TRUSTEE OF ABERDEEN STANDARD CAPITAL 0 - 405
. 412
0
.412.405
**D VICTORY TRIVALENT INTERNATIONAL FUND-CORE EQUITY 0 9
б
127.9
127.996
**D CORE FUND LP
HORLD
SIGNA
TWO
0 6
6
6
б
D
D
GENERAL COLLECTIVE INVESTMENT TRUST.
LEGAL AND
0 0
б

.231
L
ਤੇ ਰੇਖੋ
.231
**D TRUST
CAPITAL INTERNATIONAL COLLECTIVE INVESTMENT
VICTORY
0 513
ਤੇ ਪੈ
513
P
E
INCOMEFUND
NEUTRAL
MARKET
VICTORY
0 83
6
0
ਹੋ ਕੇ
L
883
B
ਹੋ ਪੈ
L
D
D
SAMSUNG GLOBAL CORE EQUITY FUND 0 0 ୧୫

2.068
I
**D OF SINGAPORE
EUROPA
DNB
MONETARY AUTHORITY
VERDIPAPIRFONDET
0 199
6
ర్
L
199
б
б
T
**D GOVERNMENT OF SINGAPORE 27
ರಿ
204
204.927
**D STRATEGIC EQUITY ALLOCATION FUND
FUNDS II INTERNATIONAL
HANCOCK
JOHN
0
0
.574
.751
151
574
.751.
51
r
**D : TEL: 0203 124 3710/ HETAL BY TET
GENERAL REINSURANCE COLTD
LEGAL AND
0 .137
91
. 4
S
.412
6
L
91
5.137
.412.4
б
J
**D LIMITED
CITITUST
0 511
234
234.511
**D WID INDEX ETF
DEVELOPED ENHANCEDVOLATILITY
VICTORYSHARES
0 920

I
5.920
I
**D ETF.
INDEX
INTERNATIONALVOLATILITY WID
VICTORYSHARES
0 32

6
9.732
**D PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND
CITITUST LIMITED AS TRUSTEE OF BLACKROCK
. 450
કડ
5.450
S
**D Partie
INTERNATIONAL HIGHDIV VOLATILITY MTD INDEX
VICTORYSHARES
C . 067
0
28-067
**D FUN INSTITUTIONAL CLIENTS GROUP SECURITIES AND FUND SERVICES
INVESCO POOLED INVESTMENT FUND - GLOBAL STRATEGIC EQUITY
0 67.088
8

67.01
* * D
DON C VANDRACKEL TTEE 05/23/1996 MANAGED
**D ECONOMIC DEVELOPMENT BOARD 0
0
25
8
825
**D JOHN HANCOCK DIVERSIFIED REAL ASSETS FUND 0 962
.119
491
в
962
491.119
1
8
Azionisti: Pagina 44
39
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
D
D
POOLED SUPERANNUATION TRUST
EUROPE INDEX FUND
SELIGSON AND CO
HOSTELUS
0
0
417.400 417 400
**D EUROPEAN EQUITY ENHANCED INDEX FUND
- ABERDEEN
ICVC II
UK
FUNDS
INVESTMENT
ABERDEEN
649.512
93.772
512
93.772
649.
**D EUROPEN EQUITY TRACKER FUND
ABERDEÉN
l
II
ICVC
ûk
FUNDS
INVESTMENT
ABERDEEN
D 451.059 51.059
ਧੰ
**D MULTI MANAGER CAUTIOUS MANAGED PORTFOLIO FUND
FUNDS - ABERDEEN
ABERDEEN
0 4 - 4 7 4 4.474
**D USAA CAPITAL GROWTH FUND. C 314.425 314-425
**D INTERNATIONAL FUND.
USAA
0 333-488 333.488
**D USAA SUSTAINABLE WORLD FUND 0 534
71.
71-534
**D FUNDS MILLENNIUM
INVESTORS CHARITY AUTHORISED INVESTMENT
QUILTER
0 125.000 125-000
**D ETF.
INTERNATIONAL
PLAN
IIMOTHY
0 36.834 36-834
**D UAPF - BLACK ROCK PASSIVE EQUITY 0 36.293 293
36.
**D STOCK COMPANY
JOINT
PENSION FUND
ACCUMULATIVE
UNIFICO
21.206 21.286
**D STOCK COMPANY
JOINT
FUND
BENSION
ACCUMULATIVE
UNIFIED
0 ਕੇ ਕੇ ਕੇ
45.
ਕੇ ਰੇ ਰੇ
45 -
**D GLOBAL EQUITIES LE
STRATEGIES-TOPS
INVESTMENT
WACE
MARSHALL
10
27 -
27.108
**D MORLD EX-US FUND
STRATEGIES-TOPS
INVESTMENT
WACE
MARSHALL
459.239 459.239
**D INTERNATIONAL EQUITIES FUND
STRATEGIES-TOPS
INVESTMENT
WACE
MARSHALL
0 118.101 118.101
**D 150/5
TOPS
ﻟﻠ
FUND-MACCE WORLD
CONTRACTUAL
COMMON
WACE
MARSHALL
0 33.668 33.668
D
D
SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED
130/3
300
FUND-MACCF WORLD
COMMON CONTRACTUAL
FUNDS XII
WACE
MARSHALL
MAN
0 28.474 28.474
**D TRADE CENTER
BEUR- WORLD

AHL DIVERSIFIED MARKETS
MAN
0 583
10.637
10.637
583
**D ICAV-MAN AHL DIVERSIFIED.
FUNDS VIII
MAN
0 7-317 317
7.
**D INSTITUTIONAL SERIES 3 LTD
AHL
0 28.074 28.074
**D INFRASTRUCTURE (2017) FUND.
PUBLIC
NBIMC
0 1.541 1.541
**D POOL
PRIVATE WEALTH INTERNATIONAL FOCUSED EQUITY
MERCER
0 42.181 42.181
**D RETRAITE D`HYDRO-QUEBEC
DE
CAISSE
0 205.88 205.085
**D EQUITY POOL
GLOBAL
vpl
0 000.000
1.
1.000.000
**D POOL
INCOME
VPI
0 837.500 837.500
**D FINANCIAL CORPORATION LIMITED
E-I
0
**D BINCOR GLOBAL EQUIJY FOOTED FUND 41-369 41.369
**D FUND
SHORT BROTHERS COMMON INVESTMENT
0 834
614.
614.034
**D FUND
(CANADA) REAL RETURN ASSETS
TRUST
BOMBARDIER
ರಿ
471.68
471.688
**D INVESTMENTS LIMITED
HGGW
AUSSELL
ਰੇ ਪੈ ਪੈ
2.
2.944
** D ETF
EUROPEAN DIVIDEND LÉADERS
QUANT
RBC
0 5.100 5.100
**D GLOBAL EQUITY FUND
O SHAUGHNESSY
RBC
10.190 10.190
**D POOL
PRIVATE
INFRASTRUCTURE
SUSTAINABLE
KBI
LIFE
suk
208.324 208.324
**D REAL ASSETS PRIVATE POOL.
LIFE
sun
933-541 541
933.
D
D
DIVIDEND PRIVATE POOL
SHAKESPEARE
GLOBAL
LIFE
THE
SUN
49.618 49.618
**D MIDDLEFIELD GLOBAL ENERGY TRANSITION CLASS
FOND.
HEAD
107.900
00
2.
2.000
107.900
**D ciunitio
INTÉRNATIONAL CLEAN POWER DIVIDEND
780.000 780.000
**D ENERGY TRANSITION FUND (INCUBATOR)
GLOBAL
VISION
RBC
16.100 100
16.
**D ETF
EAFE EQUITY LEADERS
QUANT
RBC
2.251 2.251
**D GLOBAL ALTERNATIVE INVESTMENT OFFSHORE FUND L.P
AQR
152 152
**D TOTAL RETURN FUND
SYSTEMATIC
FUNDS-AQR
LUX
AOR
71 71
**D TRUSTEES (CAYMAN) LIMITED
citco
C/O
ALPHA MASTER LIMITED
AHI.
905
160.
905
160 .
**D EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD
AHIL
1.069-412 1.069.412
D
D
BROOKFIELD MULTI-STRATEGY ENHANCED MASTER FUND LP MAPLES CORPORATE SERVICES LIMITED
MASTER FUND LP MAPLES CORPORATE SERVICES LIMITED
BROOKFIELD MULTI-STRATÉGY
115
T
13
115
**D CAXTON INTERNATIONAL LIMITED 26.400 6.400
**D L-P -
(CAYMAN)
THEMES MASTER INVESTORS
MACRÓ
635.471 635.471
Pagina 45
Azionisti; 39
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

ALG

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relzioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

LISTA ESITO DELLE VOTAZIONE

Badge Ragione Sociale Proprio Delega Totale
**D AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED 0 .520
ਤੇ
3.520
**D GIOBAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. C/O OGIER GLOBAL (CAYMAN) LIMITED 0 294.497 294.497
**D POINT72 ASSOCIATES LLC C/O WALKERS CORPORATE LIMITED CAYMAN CORPORATE CENTRE 0 1.657 - 657
**D MOORE GLOBAL INVESTMENTS LLC. 0
0
880.977
391.802
T
80.977
391.802
8
1
**D 4D GLOBAL INFRA FUND 0 367.500 0
367.50
D
D
DIVIDENDO ITALIA
PFC S.R.L.
AMUNDI
0 .000
997
0
0
997.0
2
**D ESG
AMUNDI
SELECTION BILANCIATO 0 95-946 95.946
**D SELECTION
ESG
AMUNDI
DINAMICO D -850
ടുമ
58.850
**D ITALIA
VALORE
AMUNDI
PIR 630.000 30.000
9
**D ESG SELECTION
AMUNDI
CONSERVATIVO g 50.490 50.490
**D ACCUMULAZIONE
AMUND I
ITALIA PIR 2023 C 487.000 487.000
**D PROGETTO
AMUND I
2026
AGOSTO
INCOME
0 26.826 26.826
**D PROGETTO
AMUNDI
TRE
2027
REALE
INCOME
0 9.687 9.687
**D PROGETTO
AMUNDI
2027 QUATTRO
REALE
INCOME
0 9.404 P
9.40
**D PROGETTO
AMUNDI
2028
INCOME
0 8.724 8.724
**D AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE 0 33.021 33.021
**D PRIVATE
AMUNDI
INFRASTRU 2024
GLOBAL
0 27-155 27.155
**D AMUNDI 8
ACCUMULAZIONE INFRA GLOBALI 202
0 12.559 12.559
**D PROGETTO
AMUNDI
2027
REALE
INCOME
0 42 - 684 42 - 68 4
**D PROGETTO
AMUNDI
DUE
2027
REALE
INCOME
0 24.69 24.699
**D PROGETTO
AMUNDI
2026 DUE 20121
INCOME
Q 33.296 33.296
**D PROGETTO
AMUNDI
2025
INCOME
0
0
34.200 34.288
**D 9
202
FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME
20.389 20.389
**D AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 C
0
506.905
33.370
58-905
33.370
**D AMUNDI PROG INC REALE 2026 0 190.000 190.000
**D NAGELMACKERS INSTITUTIONAL EUROPEAN EQUITY 0 ਦ ਵਿੱਚ
5.
ર ૯ વે
ട്.
**D INVEST
CRELAN
CONSERVATIVE 0 22.668 22.668
D
D
CRELAN INVEST
INVEST
CRECAN
BALANCED
DYNAMIC
0 47.489 47.489
**D SUSTAINABLE WORLD EQUITY MANDATE 1 0 106-135 106.135
**D AMUNDI SIF GLOBAL S
ETHICAL EQUITIE
0 98 d
5 -
5.984
**D INDO ALT INVEST - TWINS GROWTH 0 25.000 25.000
**D LEADERSEL P.M.I 0 390.000 390.000
**D OTRON GLOBAL EQUITY 45.518 45.518
**D TUXCELLENCE-HELVELLA EUROS EQUILY 150.000 150.000
**D INDEX MSCI JAPAN
AMUNDI
9
**D FTSE MIB
AMUNDI
1.209.211 .209.211
L
**D AMUNDI FUNDS MULTI ASSET CONSERVATIVE 105.122 105.122
**D ALL
l
FUNDS
LO
ROADS CONSERVATIVE 242.526
20.733
20.733
242.526
0
* *

CPR INVEST
EUROPEAN STRATEGIC AUTONOMY ਰੇ 4 6 6.948
D
D
STOXX
EURO
MSCI
AMUNDI
AMUNDI
DAB
EUROPE CLIMATE PARIS ALIGNED
ടവ
4.038.614
6.
.038.614
P
**D - CLAY
CLAY FUNDS
EUROPEAN MULTI CAPS 60.000 60.000
**D EUROPE
MSCI
AMUNDI
0 910.936
તન
C
910.93
1
**D MSCI
AMUNDI
MORID ESG UNIVERSAL SELECT 0 7.734 7.734
**D EURO
FUNDS
AMUNDI
MULTI-ASSET TARGET INC 327.070 327.070
**D AMUNDI FUNDS GLOBAL MULTI-ASSET 213.322 213.322
**D AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB 44.943 44.943
**D AMUNDI FUNDS REAL ASSETS TARGET INCOME 0 450.000 450.000
Pagina 46
Azionisti: Teste;
3.534
39
Azionisti in proprio: Azionisti in delega:
27
3.507

Assemblea Ordinaria del 10 maggio 2023

V

10 maggio 2023 15.23.46

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge
**D
AMUNDI FDS GLOBAL MULTI-ASSET TARGET INC
Ragione Sociale
Proprio Delega Totale
**D AMUNDI PRIME JAPAN 0
0
271.246 271.246
**D ROADS GROWTH
ALL
Lo Funds -
0 594
76.
P
б
. 5
9
L
**D FUTUR

CPR INVEST
CITIES . 950
232
0
பா
. g
232
**D EMU
AMUNDI MSCI
ESG UNIVERSAL SELECT 0 0 98.097 98.097
**D VALIANT
-
VF (LUX)
EUROPE EQUITIES 0 82.206 9
2.20
0
**D CLIMATE
CPR INVEST
ACTION 0 6
117.84
6
117.84
**D MSCI
AMUNDI
WORLD CLIMATE TRANSITION CTB 0 8
309.19
B
309.19
**D FDS
AMUNDI
GLOB MULTI-ASSET CONSERVATIVE 0 716.161 716.161
**D MSCI EUROPE
INDEX
AMUNDI
0 б
3.057.29
3.057.299
**D FUNDS -
AMUNDI
EUROPEAN EQUITY RISK PARITY 0 0
67.10
67.100
**D EUROPE EX UK
MSCI
AMUNDI
0 5
6.78
பு
78
**D MSCI
AMUNDI
WORLD CLIMATE PARIS ALIG PAB 0 73.778 73.778
**D MSCI
AMUNDI
EUROPE ESG LEADERS SELECT 0 S
144.17
144.175
D
D
ALL ROADS
LO FUNDS -
0 212.13 212.135
**D CPR INVEST-EUROPE SPECIAL SITUATIONS 0
0
141.069 141.069
**D ALLIANCEBERNSTEIN
FUNDS EQUITY
AURISX
AMUNDI
GLOBAL EQUITIES
RISK PARITY
EURO
0 470.544
26.920
470.544
26.920
**D GLOBAL
TARGETNETZERO
LOF
EQUITY 0
**D EUROPE
TARGETNETZERO
LOF
EQUITY 0 30.270
6.151
6.151
**D FUNDS
AMUNDI
GLOBAL EQUITY TARGET INCOME 0 ﻟﺴ
940.98
30.270
940.983
C
**D AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL 0 98.251 98.251
**D 0
**D AMUNDI
ONEMARKETS
FLEXIBLE INCOME FUND 150.163 50.163
I
**D AMUNDI MSCI WORLD
NEF ETHICAL
ESG LEADERS SELECT 0 190.923 90.923
I
BALANCED DYNAMIC 0 906.149 906.149
**D t
STRUCTURA
STY
ALTERNATIVE RISK PREMIA ARP EQUITY
0 62.097 62.097
D
D
EUROPE 600
WORLD
STOXX
AMUNDI MSCI
AMUNDI
0
0
264.000
4 .
0
4.264.00
**D MSCI WORLD
INDEX
AMUNDI
0 772.169
529.514
529.514
**D 772.169
EUROPE VALUE
INDOSUEZ
0 312-462 312.462
**D AMUNDI MSCI EUROPE EX SWITZERLAND 0 675.590 675.590
**D CLAY
FUNDS -
CLAY
EUROPEAN MULTI ASSETS 0 25.000 25.000
**D SOLUTIONS
INDEX
AMUNDI
PRIME EUROPE
- AMUNDI
0 38.445 38.445
**D EUROPE ESG
MSCI
AMUNDI
UNIVERSAL SELECT 0 8.287 8.287
**D EPRA
FISE
INDEX
AMUNDI
GLOBAL
NAREIT
0 282-142
1.
.282.142
T
**D - TOTAL RETURN ALL
G FUND
EUROPE
CAP
0 310.000 310.000
**D FUNDS
AMUNDI
DYNAMIC MULTI FACTORS EURO 0 406.766 406.766
**D EUROZONE
PRIME
AMUNDI
0 143.143 143.143
**D ECONOMY
BLUE
CPR INVEST
0 202.571 571
202.
**D MSCI EMU ESG LEADERS SELECT
AMUNDI
0 - 689 - 260
1
. 689.260
L
**D EMU EQUITIES
-
INDEX
CLEOME
0 321.00 321.000
D
D
FACTORS SUSTAINABLE
INDEXIQ
EUROPE EQUITY 0 0
185.90
900
5.
8
1
**D CONSERVATIVE ASSET
L
CANDRIAM
ALLOCATION 0
0
63.787 63.787
L
CANDRIAM
DYNAMIC ASSET ALLOCATION 3.954 ਰੇ ਦੇ ਪੈ
3 .
D
D
MULTI ASSET INCOME
L
L
CANDRIAM
CANDRIAM
AND GROWTH
BALANCED ASSET ALLOCATION
0
0
97.261 261
a7.
49.504 49.584
**D - WORLD EQUITIES
INDEX
CLEOME
0 28.534 28.534
**D INDEXIQ FACTORS SUSTAINABLE EMU EQUITY 0 ਵੇਂ ਹੋ ਦ
9
216
6.
**D CLEOME INDEX - EUROPE EQUITIES 90.491
б
990.491
**D CANDRIAM L MULTI ASSET INCOME 142.423 142.423
Pagina 47
Azionisti: Teste:
3.534
ਤੇਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

illa lubbi actività del Collega diffunzione e della Success di FAVOREVOLI

|--|

3.507

Azionisti in delega:

27

10 maggio 2023 15.23.46

11

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**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 77.016 77.016
**D MONCEAU ACTIONS EEE 000 600.203 600.283
**D AGRICA ACTIONS OBJECTIF SCR 639.943 639.943
**D FDRN AMUNDI 0 391.752 391.752
**D WALLON 0 212.991 212.991
**D DIEZE 0 43-862 43.862
**D CENTRE EST EQUILIBRE 0 15.144 15.144
**D AMUNDI LABEL DYNAMIQUE ESR 0 98-263 98.263
**D SACD INVESTISSEMENT 0 .512
ਰੇ ਪੈ
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 o o 5
. 06
। ਪੈ
14-065
**D PORT ROYAL EQUILIBRE 95.858 95.868
**D OPFT 0 0 0
18.50
18.500
**D VILLIERS DIAPASON ర్
248.34
248-343
**D ADP DIVERSIFIE DYNAMIQUE 7.393 7.393
**D CAVEC LA FRANCAISE DIVERSIFIE 0 0 0 ರು
249.59
249.595
**D SELECTION
GROUPAMA
EURO DIVERSIFIE
. 14
81
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 0 121.883 121.003
**D AMUNDI HARMONIE 0 37.794 37.794
0
**D EU
ADVIT ACT
187.026 187.026
**D 2
ARRCO OUANT
0 226-941 226.941
**D S CAVAMAC ACTIONS EURO 0 132.786 132.786
**D CAVEC GROUPAMA DIVERSIFIE 0 237-191 237.191
**D ROPS-SMART INDEX EURO 0 8
703.85
703.858
**D AMUNDI LABEL PRUDENCE ESR 0 75.734 75.734
**D AA LA FRANCAISE ISR 0 603.420 603.420
**D GRD 20 - ACTIONS 0 191.316 91.316
1
**D STAR PASTEUR 0 303.846 303-846
**D ELITE INTER-PHARMACTIONS 00 30.725 30.725
**D FGV ACTIONS EUROPE IM A aeo
228.
ਰ ୧୦
228.
**D PREDIQUANT PREMIUM TITRES VIFS ACTIONS 0 1.985.707 1.985.707
**D GROUPAMA CR ACTIONS MONDE 0 0
24.40
24.480
**D BET EQUITY EUROPE ESG 0 570
.877.
T
877.570
L
**D EDJ EQUILIBRE SOLIDAIRE 0 29.307 29.307
**D IP ACTIONS EURO 0 141.785 141.785
**D GROUPAMA MEDITERRANÉE 0 9.450
E
. 450
ਤੇ ਰੇ
**D GROUPAMA LOIRE BRETAGNE LOCAL 2 0 30.403 EOF OE
**D DYNAMIQUE ET SOLIDAIRE
L.S
0 4.000 4.000
**D CARP - INDO
FCP
0 . 034 . 797
T
1.034.797
**D N 1 RENDEMENT EQUILIBRE 0 4.445 4.445
**D AC GLOBAL CONVICTIONS 0 17.078 17.078
**D FCPE CA SA EXPANSION 0 ਕੇ 9 ਕੇ 9
10.
10.949
**D EPARGNE MODEREE THALES ਓ ਰੇ

3.
9
63.389
**D ICL EQUILIBRE ESG 0 28-852 28.852
Pagina 49
Azionisti: 3.534 Teste: ਤੇ ਰੋ
Azionisti in proprio: 27 Azionisti in delega: 3.507

ENEL S.p.A. . .

LISTA ESITO DELLE VOTAZIONE

10 maggio 2023 15.23.46

Oggetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni di Amministrazione, del Collegio Sindacale e della Società di revisione.
FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale
D
D
AMUNDI LABET EQUITIBRE ESR
A.A. - GROUPAMA - ISR
0
0
112.018 112.018
**D FCP DES CAISSES LOCALES GROUPAMA P V D L 0 17.214
817.671
17.214
817.671
**D NEUELIZE VIE OPPORTUNITES 0 190.048 190.048
**D TOTALENERGIES DIVERSIFIE EQUILIBRÈ ET SOLIDAIRE 0 253.618 253.618
**D MONGELAS 0 51.495 51.495
**D SYSTEMES ISR MODERE
DASSAULT
S 0 17.277 17.277
**D ARRCO LONG TERME F 0 303.371 303.371
D
D
FCPE IBM FRANCE F 0
0
316.036
97.019
97.019
316.036
**D HSBC EE ACTIONS RESPONSABLES E
FONDATION EUROPE
0 10.836 10.838
**D FCP BOURBON 7 0 134.709 709
134.
**D ERISA ACTION EUROPE N 2 0 230.206 238.206
**D FCP TESLA - POCHE ACTIONS 0 63.827 63.827
**D MORID EQUITIES 0 12.719 12.719
**D ORANO DIVERSIFIE EQUILIBRE 0 29.659 29.659
**D GROUPE CEA CROISSANCE FCPE 0 26.025 26.025
**D ROPS ACTIONS EUROPEENNES 1 0
0
922.008
531.144
922.008
531 - 144
D
D
LEPAM ISR ACTIONS FOCUS EURO
VIVACCIO ISR ACTIONS
0 876.086
1.
I
876.086
1.
1.
**D LBPAM ACTIONS DIVIDENDES EUROP 0 .377.864
1.377.864
**D LBPAM ISR STRATEGIE PER 2 0 82.647 82.647
**D TONI ACTIONS ISR 100 0 422.958 958
422 -
**D LBPAM ISR STRATEGIE PEA 1 0 55.138 55.138
**D CNP TOCQUEVILLE VALUE EUROPE I 0 781.767 781.767
**D LBPAM ISR ACTIONS EUROPE 50 0 843.804 843.804
**D 3 MOIS
LBPAM
0 389.795
3.
389.795
3.
**D B
ACTIONS EUROPE LM
FGV -
g 353.734 353.734
**D 80
ACTIONS
ISR
LBPAM
0 421.302 421.302
**D LBPAN ISR ACTIONS MONDE 0
0
323.000 323.000
**D OFI AF DYNAMIQUE 0 52 - 197 52-197
D
D
AEMA OBJECTIF NEUTRE CARBONE 2050
FCP HAMELIN DIVERSIFIE FLEX II
0 75.819
000
44 .
75.819
44.000
D
D
CARPIMKO EUROPE
FCPE IBM FRANCE C
FCP
0
0
120.000
90.000
P
000
000
490.
120.
**D D
FCP ARRCO LONG TERME
0 823.513 823.513
**D AA NATIXIS ACTIONS MIN VAR 0 764.706 764.706
**D
UNIVERS CNP
0 116.235 116.235
**D ਹੈ ਰੋ
PERFORMANCE
FCP NATEXIS
0 88.370 00.370
**D ACTIONS LT
FCP CNP ACP
0 85.148
2
285-140
**D EGEPARGNE 2 DIVERSIFIE 0 87.020 87.020
**D A.A. CANDRIAM DIVERSIFIE 0 370
102 .
«
T
.102.370
T
** D APICIL ACTIONS EURO 0 45.870 45.870
**D API RETRAITE DIVERSIFIE 0 243.452 243.452
**D FRUCTI CHOIX SOLIDAIRE 0 131.121 131.121
D
D
PREVAAL ACTIONS EU 0
0
600.000
170.000
170.000
600.000
**D PROMEPAR ACTIONS RENDEMENT
INDOSUEZ EURO PATRIMOINE
ਤੇ ਉ ਦੇ
.305.
1.305.385
**D S.YTIC 120.000 120.000
**D LOLA SHARE 0 3.860 3.860
Pagina 50
Azionisti: 3.534 Teste: ਤੇ ਰੇ
Azionisti in proprio: 27 Azionisti in delega: 3.507

EMARKET
SDIR
CRIFFED

ાત્રીઓ

Joro Dog

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 ν?

EMARKET
SDIR
CRTIFIED

ಷ್ಟು

المشاهدات المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار المنتشار ا

Assemblea Ordinaria del 10 maggio 2023

FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D COVEA ACTIONS RENDEMENT 1.112.643 1.112.643
**D IMPROVING EUROPEAN MODELS SRI 0 156.704 156.704
**D EURÓ
STRATEGIE
ISR 0 248.862 8 €2
248.
**D CPR SILVER AGE POCHE PEA .427.302
2.427.302
**D +
AMUNDI STRATEGIES ACTIONS EURO CORE
33.042 344.732
33.042
**D STRATEGIE EUROACTION5 DIVIDEND 344.732
295.843
5.843
б
**D HSBC MULTI-ASSET DYNAMIC EURO 46.150 150
4 6 .
**D нгва SRI BALANCED

RESPONSIBLE INVESTMENT FUNDS
55.317
రా
317
455.
**D EUROPE EQUITY
HSBC
INCOME -333 102.333
* * D RESPONSIBLE
Case C
DYNAMIC
SRI
-
FUNDS
INVESTMENT
.791.967
102
T
1.791.967
**D навс EQUITY
SRI EUROLAND
-
RESPONSIBLE INVESTMENT FUNDS
608.656 608.656
**D ACTIONS EUROPE
Casti
65.215 65.215
**D SRI MODERATE
l
HSBC RESPONSIBLE INVESTMENT FUNDS
0 436.932 436.932
**D LEPAM ISR ACTIONS EURO LARGE CAP 0 રે રે
106.8
5.
5.106.035
**D TOCQUEVILLE VALUE ISR
EURO
0 .283
13
13.283
**D LBPAM ISR ACTIONS MIN VOL
EURO
0 . 591
ਤੇ ਪ
34.591
D
D
LBPAM DIVERSIFIE FOCUS OBLIG 3-5
660.35
660-359
TOCQUEVILLE TOCQUEVILLE VALUE EUROPE ISS
DIVIDENDE ISR
00 000.000
1-
880-000
1 -
D
D
LEPAM ISR EURO
PRO ACTIONS
0 178.159 178.159
**D GLOBAL ALLOCATION M 0 140.904 140.904
**D RENDEMENT
DIVERSIFIE
0 41-409 41.409
**D EURO VALEUR ISR M 0 137.849
L
1.137.849
**D SECTOND ACTIONS EUROPEENNES g 377.545 377.545
* * D CNP ASSUR VALUE ET MOMENTUM 0 62.287 62-287
**D SEEYOND EURO SUSTAINABLE MINVOL 0 47.534 47.534
**D NATIXIS ICR ACTIONS EURO ESG 0 40.638 40.638
**D REGARD D
ACTIONS DEVELOPPEMENT
0 374.200 374.200
**D AMPLEGEST LONG/SHORT 0 198.000 98.000
**D ADARA 0 75.000 75.000
**D ECOFI OPTIM VARIANCE 0 332
64
64.332
**D EPARGNE ETHIQUE FLEXIBLE 0 13.317 13.317
**D HELVETIA I EUROPA 0 910.000 910.000
**D LO IS (CH) - TARGETNETZERO GLOBAL EX-CH EQUITY 0 વે રે
8
11.
895
11.
**D EDR GLOBAL EQUITIES RDT - DBI 0 ਹੈ ਕੇ
21.0
21.899
**D EDR FUND 2024
II - INCOME
6.055
9
66.055
**D DE
EDMOND
EQUITY EURO CORE
FUND
ROTHSCHILD
0 350.400 350.400
**D EDMOND DE FUND INCOME EUROPE
ROTHSCHILD
0 298.830 298.030
2.683.690
**D l
SICAV
EDR
SUSTAINABLE EQUITY
EURO
0 683.690
2.
366.096
**D
EDR SICAV
EURO SOLVE
EQUITY
0
0
366.096
14.160
14.160
**D EDMOND DE ROTHSCHILD ASSET MANAGEMENT (EDRAM) 391.610 391.610
**D EDRAM
CNP ASSUR
ACTIONS EUROPE 322.000 322.000
**D AM
FIDEURAM
FIDEURAM ITALIA
l
ટલા
0 553.000
র .
553.000
ব .
**D AM
FIDEURAN
PIANO AZIONI ITALIA
-
SGR
1.018-000 018.000
T
**D ਸ਼ਮ
FIDEURAM
રે જ
30
BILANCIATO ITALIA
PIANO
l
SGR
93.00 93.000
**D દિશ
FIDE URAM
BILANCIATO ITALIA
PIANO
l
sgr
0 550.000
2
0
550.00
**D MEDIOLANUM VITA FLESSIBILE SVILUPPO ITALIA
l
S.P.A.
200-000
3.
200.000
3.
D
D
MEDIOLANUM GESTIONE
MEDIOLANUM
ITALIA
FUTURO
FLESSIBILE
l
SGR
SCR
FONDI
FONDI
GESTIONE
20.403.451 20.403.451
**D INTERFUND SICAV 319-000 319.000
ਤੇ ਰੇ Pagina 52
Azionisti: Teste:
3.534
Azionisti in proprio: Azionisti in delega:
27
3.507

EMARKET
SDIR
CRTIFFED

ശ്വം

Ara

10 maggio 2023 15.23.46

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FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D ALLIANZ AZIONI ITALIA ALL STARS LL STARS 0 4.030.000 .030.000
b
D
D
PORTFOLIO OF MASTER INV PORTFOLIO
DIVERSIFIED EQUITY MASTER
SPECIAL
50
ALLIANZ ITALIA
0
0
000
ਉ ਕੇ 2
97.
27.
000
892
27.
97.
**D TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV 0 543.633 543 - 633
**D FONDITALIA 0 7.218.000 7.218.000
**D INVESTMENT BOARD (CPPIB)
CANADA PENSION PLAN
0 18 18
**D PENSION SCHEME
NEW AIRWAYS
0 6-361 -361
9
**D WORLD EX SMITZERLAND ESG SCREENED EQUITY INDEX
I SHARES
SCHWEIZ AG FOR
MANAGEMENT
ASSET
BLACKROCK
245.296 245.296
**D (CH)
SWITZERLAND EQUITY INDEX FUND II
WORLD EX
ISHARES
921
32.
32.921
**D DURABLES
VALEURS
ALLIANZ
000
.500.
500.000
D
D
ACTIONS ISR SOLIDAIRE
FUNDS LIMITED
EPARGNE
ALLIANZ
0 360
.271.874
148.
N
. 360
.874
148
.271
2
**D MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND
NIDOWS
PENSION
SCOTTISH
MANAGED
0 ਟ ਕੋ ਰੋ
27
б
27.54
**D SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK) EQUITY FUND
WIDOWS INVESTMENT
SCOTTISH
0 6
8
.129.1
t
6
129.18
T
**D FUND
FUNDS AQR EQUITY MARKET NEUTRAL
AOR
0 0
ರಿ
24-8
0
24.88
**D TEXAS
OE
2781EN
TEACHER RETIREMENT
0 982.971
2.
982.971
2
**D SINGAPORE
THE MONETARY AUTHORITY OF
0 ਦੇ ਦੇ ਤੋਂ
64 .
ર્સ્ ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર ર
64 -
**D FUND LIC
ASSETALLOCATION
DYNAMIC
GLOBAL
PINEBRIDGE
0 83.329 83.329
**D SINGAPORE
THE MONETARY AUTHORITY OF
0 161.057 161.057
* * D ITALIA
ACOMEA
g 485.000 000.58
**D SGR MULTIFUND PATRIMONIODINAMICO
ACOMEA
0 28.000 000
28.
**D MULTI FUND - PATRIMONIO AGGRESSIVO
ACOMEA
0 35.500 0
ਦੇ ਹ
35
**D EUROPA
ACOMEA
0 140.000 0
140.00
**D GLOBALE
GLOBALE
ACOMEA
G 60.000 0
60.00
**D FUNDS
ABN AMRO
0 061 - 400
5.
0
.061.48
ഗ്ന
**D E.I
EQUALITY ACCIONES
SANTANDER
0 78.534 78.534
**D 2 FI
SOSTENIBLE
SANTANDER
0 1,248.690 .248.690
t
**D 21
ACCIONES
SOSTENIBLE
SANTANDER
0 1.194.122 .194.122
L
**D FI
STOXX 50,
NARANJA EURO
FONDO
DIRECT
ING
0 450.666 50.666
**D NARANJA MODERADO, FI
FONDO
DIRECT
ING
0 9
20.04
20.045
**D ET
SOSTENIBLE I
SANTANDER
0 557.314
1
.557.314
**D FONDO NARANJA DINAMICO, FI
DIRECT
ING
0
28.75
758
28 -
**D FONDO NARANJA CONSÉRVADOR, FI
DIRECT
ING
0 3.043 3.043
**D ET
EUROPA
DIVIDENDO
SANTANDER
0 .738.092
.738.092
**D 24
RESPONSABILIDAD SOLIDARIO
SANTANDER
S
314.66
୧୧୧
314.
**D FI
CONFIANZA
INVERACTIVO
g 26.704 704
26.
**D PENSIONES
DE
FONDO
INTEGRAL
EUROPOPULAR
0 14.889 889
14 -
**D EPSV
COLECTIVA
PREVISION
SANTANDER
0 б
6.21
219
9
**D FP
EUROPAPENSIONES
RENTA VARIABLE
SANTANDER
0 240.840
1.240.840
**D E B
PENSIONES
DIVIDENDO
SANTANDER
418.241
L
.418.241
L
**D EPSV V9512164
PREVISION 1
SANTANDER
8 ਤੇ ਪੈ
13.
834
13.
**D Fb
2025,
SANTANDER
PROYECTO
MI
532
87.
32
S
87.
**D FP
2035
SANTANDER
PROYECTO
MI
53 ਤੋ
61.
T
535
161.
**D FP
2030,
SANTANDER
PROYECTO
MI
510
78.
L
510
800
178.
**D FP
2040.
SANTANDER
PROYECTO
MI
воо
15
L
115.
**D ЕБ
MUTUA UNIVERSAL MUGENAT
24.783 24.783
**D rb
SANTANDER AHORRO 38
31.190 31.190
**D FP
MI PROYECTO SANTANDER 2045 PENSIONES
54.090 4.090
ur
**D 1 EPSV
PREVISION
SANTANDER
0 985
S
L
ક ર
00
б
5.
L
**D FP
AHORRO 29
SANTANDER
. 000
14
0
14 .
Pagina 53
Azionisti ਤੇ ਰੇ
Teste:
3 534

3.507

27 Azionisti in delega:

I0 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D SANTANDER COLECTIVO RENTA FIJA MIXTA 2 FP 0 C
35.18
35.180
**D FP
SOSTENIBLE RENTA VARIABLE GLOBAL PENSIQNES
SANTANDER
0 0
0
570.0
570.088
**D PENSIONES
AHORRO 15 FONDO DE
SANTANDER
0 5.817
S
55.817
32.277
**D Fir

COLECTIVOS RENTA VARIABLE MIXTA
SANTANDER
O 32.277
**D EP
17
AHORRÓ
SANTANDER
0
0
150.404
115.326
115.326
150.404
**D FP
PREVIFUTURO F.P.
0 54.026 54.026
D
D
PENSIONES
1
VARIABLE MIXTA2, FONDO DE
SANTANDER COLECTIVOS RENTA VARIABLE MIXTA
COLECTIVOS RENTA
0 68.609 68.609
**D 19 11 18
ECONOMY
SUSTAINABLE
CLIMATE AND
FUTURE
BLACKROCK
B 19.862 19.862
**D 5 TOP
CARBON TRANSITION READINESS
us
EX
WORLD
BLACKROCK
0 475.500 475.500
**D ETF
EAFE INDEX
ਅੰਟੈਟੈਂਡ
AWARE
ESG
ISHARES
0 83.969 93.959
* * D ETF
INDEX
FUNDAMENTAL
INTERNATIONAL
SHARES
I
0 91.269 91.269
**D ETF (CAD-HEDGED)
GLOBAL MONTHLY DIVIDENDINDEX
SHARES
I
0 50.535 535
50.
**D ETF
INDEX
IMI
EAFE
MSCI
CORE
ISHARES
.022.264
-022-264
2
**D CARD
INDEX
EUROPE IMI
MSCI
SHARES
1
0
0
. 879. 775
155.903
8
8.079.775
155 - 903
*D ETF
INTERNATIONALDEVELOPED MARKETS
INTERNATIONAL STOCK ETF
TOTAL
MSCI
CORE
ISHARÉS
.311.439
ਧਾ
4.311.439
D
D
EAFE LEADERS INDEX ETF
MSCI
MSCI
CORE
ESC
ISHARES
SHARES
I
4.420 4.420
**D WORLD ETF
MSCI
ISHARES
0 393.407 3.407
ਤੇ ਰੇ
**D ETF
EAFE
MSCI
CORE
I SHARES
.762.063
ਕ ਤੇ
43.762.063
**D FACTOR ETF
VALUE
INTL
MSCI
SHARES
I
. 098 . 014
2.098.014
**D FACTOR ETF
SIZE
INTL
MSCI
ISHARES
0 ਰੇ 3 ਤੋ
N
913
**D ETF
CAFE
NSCI
AWARE
ESG
ISHARES
1 45
.649.
b
4.649.145
**D GLOBAL MULTIFACTORETF
MSCI
ISHARES
ਰੇ ਹੋ
23.718
P
21 -
21.499
3.718
গে
ETF
TARGET
CARBON
row
ACWI
MSCI
ISHARES
0 92
3.077.0
3.077.092
ETF
FACTOR
INTERNATIONAL EQUITY
ETF
EUROPE
MSCI
CORE
ISHARES
ISHARES
0 32
420.2
420.232
GLOBAL INFRASTRUCTURE ETF
ISHARES
0 .471.402

2.471.402
ITALY ETF
MSCI
ISHARES
5.657.844 5.657.844
INTERNATIONAL SELECT DIVIDEND ETF
I SHARES
0 .029.729
0
8.029.729
EAFE VALUE ETF
MSCI
ISHARES
0 15.936.971 15.936.971
ETF
KOKUSAI
MSCI
ISHARES
0 29.910
-870.715
11
1.870.715
29.910
L
EUROZONE ETF
MSCI
ISHARES
0
0
00
.416.8
L
1.416.800
ETF
ETF
EAFE
EUROPE
MSCI
ISHARES
ISHARES
0 5.662.039
2
25-662-039
EX U.S. ETF
ACWI
MSCI
ISHARES
0 1.477.403 1.477.403
GLOBAL UTILITIES ETF
I SHARES
0 691.201 691.201
INTERNATIONALINDEX FUND
EAFÉ
NSCI
ISHARES
un
623.14
4.
5
4.623.14
BLACKROCK UTILITIES INFRASTRUCTURE AND POWER OPPORTUNITIES TRUST S
541-02
3.
S
-02
. 541
ర్
ETF
ISHARES MSCI ACWI
S
000.000
274.58
1.
2.
S
0
.000.00
274.58
N
T
**D DMS ESGSTIETUNGSFONDS
FOR
GMBH
INVESTMENT
DWS
79.464 79-464
D
D
MULTINDEX EQUITY FUND
ESG DYNAMIK
DWS
FOR
FOR
GMBH
GMBH
INVESTMENT
INVESTMENT
DMS
DMS
5.938 5.938
**D OI EUROZONE EQUITY
DWS
FOR
GMBH
INVESTMENT
DWS
61.273 61.273
**D BALOISE-AKTIENFONDS DWS
EOR
GMBH
INVESTMENT
DMS
85.000 85.000
**D DYNAMIC OPPORTUNITIES
ાજરી, દિવેલા, રજકો તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે.
FOR
GMBH
INVESTMENT
DMS
0.050.000
L
10.050.000
**D VORSORGE AS (FLEX)
DM2
FOR
GMBH
INVESTMENT
DMS
.120.000
59.271
ਹੈ
000
271
9.
.120.
9
ਧੂ
**D ESCIOP WORLD
DM2
FOR
GMBH
INVESTMENT
DWS
. 665
146
146.665
D
D
DWS VORSORGE AS (DYNAMIK)
LOEWEN AKTIENFONDS
FOR
FOR
GMBH
GMBH
INVESTMENT
INVESTMENT
DWS
DWS
55.000 55.000
Pagina 54
Azionisti: Teste:
3.534
ਤੇਰੇ
Azionisti in proprio: Azionisti in delega
27
3.507

Assemblea Ordinaria del 10 maggio 2023

10 maggio 2023 15.23.46 V

LISTA ESTFO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindace, e della Società di revisione, FAVOREVOLI

10 maggio 2023 15.23.46

V

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI
Ragione Sociale Proprio Delega Totale
CIBC INTERNATIONAL EQUITY INDEXPOOL
EUROPEAN EQUITY FUND
111.416
10.520
111.416
10.520
FUND
REAL ASSETS
55.066 ଠାରୁ ୧୧୧
55 -
FUND
EQUITY
GLOBAL
32.772 772
32.
INTERNATIONAL EQUITYFUND A 0
63
17.
17.630
FUND
INTERNATIONAL EQUITY
0 .789.134
L
134
1.789.
POOL
EQUITY
9
ਰੇ ਰੋ
04.
2
ਰੇ ਕੇ ਟੋ
204.
GLOBAL WOMAN'S LEADERSHIP FUND 6
ਤੇ 8
6.
ర్
38
ર.
INTERNATIONAL EQUITY POOL ELE
TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX
2.190
206-103
103
190
206.
2.
CIEC PENSION PLAN 12.046 2-046
INFRASTRUCT EQUITY
CANADA LIFE GLOBAL
FUND 8
16.59
ರಿ ಆ

16-
EQUITY INDEXETS
INTERNATIONAL
939
రు
ਤੇ ਰੋ
б
9.
DIVIDEND
INTERNATIONAL
FÜND 26.946 ਰੋ ਕੇ ਦ
26.
TD EMERALD INTERNATIONAL EQUITYINDEX FUND .637.496
I
વે ર

.637.
GLOBAL LOW VOLATILITYEQUIJY
GREENCHIP GLOBAL
FUND
CAP
ENVIRONMENTAL ALL
FUND
1.743.227
381
t
227
.743.
11
INTERNATIONAL EQUITY INDEX ETF 8 5 9
10.
01.
859
381
10.
IG MACKENZIE GLOBAL INFRASTRUCTURE CLASS 122.638
122.638
201.
POOL
EQUITY
OVERSEAS
ਬ 5 ਕੇ
す! -
8 2 0
41.
MACKENZIE GREENCHIP GLOBAL FUND
ENVIRONMENTAL EQUITY
.631
4 2
ਕਾ
442.631
GLOBAL
GREENCHIP
EQUITY POOL 95.000
. 1
L
000
.195.
GLOBAL
GREENCHIP
FUND
ENVIRONMENTAL
250
9
250
26.
PENSION
THE GLENCORE CANADIAN
FUND
ASSETS
FUNDS TRUST-REAL
0 . 655
б
55
9.6
STRATEGIC FUNDS 0 83

86 -
T
6.
186.183 460.117
6.1
GLOBAL INDEX FUNDS 0 117
60.
రా
INVEST 0 923
3.866.
L
923
3-866.
1
ASSET PIR FUND 0 000
ਰ -
S
0.000
б
5
MATURITY 0 84.673
T
673
184.
FOR
FOR
SA
SA
INVESTMENT
INVESTMENT
DMS ESG EUROPEAN EQUITIES
ARERO DER WELTFONDS
217
424.881
208
81
217
8
424 .
B.
20
STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV 2-549-346 -549.346
ALLIANS EUROPEAN PENSION INVESTMENTS 0 7.421.687 7.421.687
AZ EURO INVESTMENTS S.A. 0 .330
. 305
330
.305.
t
24.450.115 24.450.115
STEERS SICAV .707
б
707
g -
5
GOLDMAN SACHS FUNDS 11
C
6.419
311
6.419.
PINEBRIDGE INVESTMENTS FCP RAIF 121.076 1.076
12
AXA WORLD FUNDS . 000
.200
P
00
0
0.
20
P
INVEST II . 476
80
5
.210.
0
ನ್ನಾ
T
8.476
80
5
o.
.21
P
I
DWS INVESTMENT SA FOR DWS MULTIOPPORTUNITIES 0 ਤੇ ਪੈ
569.03
569.834
GLOBAL ADVANTAGE FUNDS 0 122

47.122
DWS CONCEPT 0 12.500.000 12 - 500 - 000
ALPS INTERNATIONAL SECTOR DIVIDEND DOGS ETF 36
702.5
536
702.
INFRASTRUCTURE FUND
ABERDEEN GLOBAL
203.500 500
203.
UNITED TECHNOLOGIES CORPORATIONEMBLOYEE SAVINGS PLAN MASTER TRU 0 2.079.365 079.365
2.
INC 52
. O
8
P

8.05
BMO EURODE HIGH DIVIDEND COVERED
CP INTERNATIONAL PARTNERS
ETE
CALL
00 . 844
57
24.5
7 94
3.
8 4 4
24.557
794.
3.
Pagina 56
3.534 Teste: 39
27 Azionisti in delega: 3.507

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

SOCIAL CHOICE INTERNATIONAL EQUITY FUND
COLLEGE RETIREMENT EQUITIES FUND
Ragione Sociale
TIAACREF
FUND LIMITED
INDEXETF
EAFE ESG LEADERS
RISK MASTER
CAPULA TAIL
BMQ MSCI
EQUITY LIC
LIMITED COMPANY
GLOBAL
PUBLIC
SCREENED
(IE)
COMMONFUND
XTRACKERS
STANDARD GLOBAL INFRASTRUCTURE INCOME FUND
ABERDEEN
COMPANY INTERNATIONAL DEVELOPED MARKETS FUND
RUSSELL INVESTMENT
FUND BOARD
OF NEW YORK
PROVIDENT
CITY UNIVERSITY
CENTRAL
TRANSPORT DE MONTREAL
DE LA SOCIETE DE
DERETRAITE
DES REGIMES
FIDUCIE GLOBALE
POOL
NEI GLOBAL EQUITY
PUBLIC LIMITED COMPANY
FUNDS
FUND
INVESTMENT
HEALTH
PENSION
MERCY
SECOURS
GOVERNMENT
FUND
INVESTMENT
PENSION
GOVERNMENT
FUND
INVESTMENT
PENSION
GOVERNMENT
OF CALIFORNIA
UNIVERSITY
THE
OF
THE REGENTS
FUND
SOLUTIONS
FUND INC CALVERT GLOBAL ENERGY
IMPACT
CALVERT
TRUST
INSTITUTIONAL
PORTFOLIO
INDEX
INDEX
EX-U.S. EQUITY
INTERNATIONAL
GLOBAL
EAFE
VP
FIDELITY
CALVERT
SUND
UTILITIES VIE
GLOBAL
GUARDIAN
PORTFOLIO
DIVIDEND
TANGERINE
PORTFOLIO
INCOME
BALANCED
TANGERINE
COLORADO HEALTH FOUNDATION
MULTIASSET GROWTH STRATEGY FUND
REAL ASSETS FUND
TAXMANAGED
COMPANY
COMPANY
INVESTMENT
INVESTMENT
RUSSELL
RUSSELL
BALANCED RETIREMENT FUND
AARP
HARTFORD
FUND
ASSET
REAL
HARTFORD
FUND
SERIESNEN WORLD
FUNDS INSURANCE
AMERICAN
FUND
JNL/JPMORGAN GLOBAL ALLOCATION FUND
CORE EQUITY
COMPANY
LINITED
INTERNATIONAL
PUBLIC
OPENWORLD
JNL/DFA
COMPANY V PLC
RUSSELL INVESTMENT
PENSION FUND
COMMERCE
OF
CHAMBER
ISLANDS
CAYMAN
INDEX PORTFOLIO
EXUS
EQUITY
CAP
ALL
GLOBAL
STREET
EQUITY INDEX PORTFOLIO
INTERNATIONAL DEVELOPED
STREET
TIES
EUROLAND EQUI
ASSOCIATI
DC
EMPLOYEES RELIBEMENT
FOR
мвн
COUNTY
ANGELES
ALLOCATION FUND
INTE KAPITALANLAGEGESELLSCHAFT
BLACKROCK GLOBAL
PLAN
DEFERRED COMPENSATION AND THRIFT
LOS ANGELES
OF
COUNTY
LLC

PUBLIC MARKETS
ALLIANZ GLOBAL INVESTORS GMBH FOR CONVEST 21 VL
TECH AND INDUSTRIAL INNOVATION INDEX ETF
MSCI
ETF
INDEX
EAFE
MSCI
INTERNATIONAL DIVIDEND ETF
CARBON FOCUS
MBH FOR FINREON SGKB
UNIVERSAL-INVESTMENT-GESELLSCHAFT
AND BENEFITS PLANS
RETIREMENT
ALASKA
STATE OF
TRUST
DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING
DUQUEBEC
DEPOT ET PLACEMENT
CAISSE DE
Pagina 57
ਤੇਰੇ
Teste:
3.534
3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

7

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI
Totale
37.808
. 837 . 98
1 - 706 - 641 367.311 852
66.680
00.
0
I
852
379.
ਰੇ ਰੇ ୧
58 -
32.091 289
6.
8
86-462 09.448
T
373
135.
284 - 058 572
319.
671.822
549
45.
267
ਕੇ ਦੇ .
17.190 2.767 407.568 29.483 159.615 45.263 415.003 279.171 212.247 188.609
75.742
144.666 224 . 632 18.193 26.954 2.715.676 38-258
140.763
ਕਾ
276.38
72.260 26.125 9.320 .728.747
0
97.743
23.24
C
74.746 103
67 -
15.000 800
8
000
30
.597
67.225
గా
Delega
37.808
837.981
706.641
T
367.311 0
80.852
ea
086.
t
379.85 ਰੇ ਹੋ ਦ
58.
32.091 86.289 86.462 109.440 135.373 84-058
319.572 671.822
ਟ ਕੇ ਰੋ
45
.267
ਹੋ ਦੇ
17.190 2-767 407.560 . 483
6
159.615 5.263
ਬਾ
415.803 279.171 212.247 188.609
75.742
144.666 224.632 . 193
18
26.954 715.676
2
8
.763
S
.2
ਤੇ ਉ
140
2
276.384 0
. 26
72
S
26.12
0
9.32
.728.747
0
23.24
97.743
74.746 103
67.
15.000 000
8.
000
0
E
97
7.225
ഗ്വ

9
Proprio
g
0 0 0 0
0
0 0 0 0 0 0 0 0 0 0
0
0 0 0 0 0 0 0 0 0 0
0
0 0 0 0 0 o o 0 0 0 0 0
0
0 0 G 0 0 0
Pagina 58
PORTFOLIO UITY FUND VALUE FUN FUND EQUITY ETF ਤੇਰੇ 3.507
BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET PLAN BO
TAXMANAGED INTERNATIONAL
INFRASTRUCTURE FUND
GLOBAL
TRUST-LORD ABBETT INTERNATIONAL
FTSE ITALY ETF
TRUST - FRANKLIN
TIBERITO INT.I EQUITY HEDG
TRUST-FRANKLIN
ETE
EQUITY INDEX
MORGAN STANLEY GLOBAL ALLOCATION VP PORTFOLIO GROWTH AND INCOME RETIREMENT PLANS MASTER TRUST FOND
(CANADA)
FUND
EQUITY
T ROWE PRICE INTERNATIONAL
FUND INTERNATIONALFUND TRUST INVESTORS GMBH FOR FOR FONDIS INTERNATIONAL POOLED INDEX TRUST FUNDLIC RESERVES FREE ETF
STOCK MARKET ETF
STRATEGIES LTD SYSTEM COMPANY FUND PES: PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL
SUSTAINABLE ECONOMY
2
BG
DEAM-FONDS
1
БИВ
FORDS
DEAN
ABFI
DEAM FONDS
DEAM-FONDS RKBS Teste: Azionisti in delega:
27
Ragione Sociale MICROSOFT CORPORATION SAVINGS PLUS 401(K) INVESTMENT COMPANY
RUSSELL
INVESTMENT COMPANY
RUSSELL
LORD ABBETT SECURITIES TEMPLETON ETF
ETF
TEMPLETON
FRANKLIN
FRANKLIN
FRANKLIN INTERNATIONAL HAND COMPOSITE EMPLOYEE BENEFITTRUST TRANSAMERICA INTERNATIONAL STOCK
TRANSAMERICA
BALANCED PORTFOLIO
TANGERINE
GROWTH
BALANCED
TANGERINE
AMERICAN FUNDS INSURANCE SERIESINTL ROCHE U.S. INTERNATIONAL EQUITY
LAZARD
SELECT
MAS SMOTICAL
BUILDER
INCOME
GLOBAL
DWS
BUILDER VIP
INVESCO ADVANTAGE
INCOME
GLOBAL
DWS
MULTI STYLE MULTI MANAGER FUNDSPLC FOUNDATION
SYSTEMS
CISCO
RETIREMENT
INSTITUTIONAL
GLOBAL
ALLIANZ
MDPIM INTERNATIONAL EQUITY INDEX POOL THE PRODENTIAL INSURANCE COMPANY OF AMERICA RHUMBLINE CARBON INDEX
LOW
RHUMBLINE
FUEL
SPDR PORTFOLIO MSCI GLOBAL
FOSSIL
EAFE
MSCI
SPDR
STRATEGICFACTORSETF
EAFE
SPDR MSCI
MOUNT HATTON INVESTMENTS LIMITED MERCER UCITS COMMON CONTRACTUALFUND OIF COMMON CONTRACTURI FUND
MERCER
ASSETS INCOME ETF
MARIGOLD TACTICAL
RETIREMENT PENSION
NBI GLOBAL REAL
STATE
MARYLAND
TALCOTT RESOLUTION LIFE INSURANCE NORTHROP GRUMMAN CORPORATION VEBA MASTER TRUST I FUND
PREMIA
SMART
MUSASHI
ALLIANCEBERNSTEIN EUROPEAN OFFORTUNITIES SERIES ROWE PRICE GLOBAL ALLOCATIONFUND
I.
INTERNATIONAL
PAX
EUND
TRUST
ALASKA COMMON
FOR
GMBH
INVESTMENT
DWS
FOR
GMBH
INVESTMENT
DMS
FOR
GMBH
INVESTMENT
DWS
FOR
LTD
GMBH
FUND
INVESTMENT
INCUBATION
THE
DWS
3.534
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:

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI LISTA ESITO DELLE VOTAZIONE

Delega Totale
Badge
**D

KDE
DEAM FONDS
GMBH FOR
Ragione Sociale
INVESTMENT
DHS
Proprio 16.000 16.000
**D 2
DEAM FONDS WOP
FOR
GMBH
INVESTMENT
DWS
0 105.619 105.619
**D KGPENSIONEN
DEAMFONDS
FOR
GMBH
DWS INVESTMENT
0 48.546 546
48 -
**D PORTFOLIO
INDEX
INTERNATIONAL
THRIVENT
0 87.659 7.659
8
**D FUND
ALLOCATION
THRIVENT INTERNATIONAL
0 42.464
ਰੇ ਕੇ 2
16.
V
. 464
16.992
442
**D POOL
EQUITY
GLOBAL
FOCUSED
INVESTMENTS
RÜSSELL
0 42.300
**D SVSW
PTF
FONDS
FONDS
DEAM
FOR
GMBH
INVESTMENT
DWS
030
42.300
9.
9.830
**D DEAM
FOR
САВН
INVESTMENT
DMS
0 303
339.
339.303
D
D
EQUITY FUND
FUND
LOW VOLATILITY
STOCK
GLOBAL
THRIVENT
0 -722
. 722
8
**D PORTFOLIO
STOCK
GLOBAL
THRIVENT
THRIVENT
0 254.953 254.953
**D PORTFOLIO
LOW VOLATILITY EQUITY
THRIVENT
0 14.846 14.846
**D FUND
EQUITY
INTERNATIONAL
CORE
THRIVENT
0 359.705 S
359.70.
**D LLC INTERNATIONAL EQUIT
FUNDS.
INSTITUTIONAL
INVESTMENTS
RUSSELL
0 328.090 328.090
**D LIC MULTI ASSET COR E BLUS FUND
FUNDS
INSTITUTIONAL
INVESTMENTS
RUSSELL
0 340-099 6
340.09
**D LISTED INFRA
LLC GLOBAL
runds,
INSTITUTIONAL
INVESTMENTS
RUSSELL
0
0
338.634
199.964
338.634
199.964
**D KOREA
OF
BANK
THE
0 51.744
551.744
D
D
TRUST
IRELAND UNIT
KOREA
STREET
OF
BANK
STATE
THE
0 776.710 776.710
**D THROUGH ITS TREASURER
ACTING
STANDE OF CONNECTICUT,
THE
0 7-710.642 7.710.642
**D INC
AMERICA
OF
GROUP
SERVICES
0 S
26.28
26.285
**D GOVERNMENTEXCHANGE FUND
REGION
ADMINISTRATIVE
SPECIAL
KONG
HONG
0 б
53
10.
10.539
**D FUND
LONG-TERM CARE
EMPLOYEES -
PUBLIC
0 б
972.51
.972.519
947
E
**D COMPANY
PUBLIC LIMITED
I
EUROPE
ETFS
SPDR
ટકલ્પ
0 947
5
97
16.
88
1

ਕੇ 7 ਤ
. 588 .
.116.
L
S
**D II PUBLICLIMITED COMPANY
EUROPE
ETFS
SPDR
SSGA
0 463
24.
5
224.463
**D TJ-QUALIFIED LLC 0 533.175 533.175
**D ENT F
TRUST-AVANTIS INTERNATIONAL EQUITY
ETF
CENTURY
AMERICAN
0 617
2.
2.617
D
D
FUND
EQUITY
INTERNATIONAL
INVESTMENT MANAGEMENT INC
TRUST-AVANTIS
ELE
CENTURY
CENTURY
AMERICAN
AMERICAN
0 34-142 34.142
**D FUND
INT EQUITY
JAPAN LIMITED
INVS
RUSSELL
FRANK
MTBJ
0 182.806 182.806
**D 1
CAESAR
DWS-FONDS
FOR
GMBH
INVESTMENT
DWS
0 107.000 107-000
**D TRUST
UNIT
FUNDS
GLOBAL
MULTIMANAGER
ARCHITAS
66.040 66.040
**D TRUST
MASTER
PLAN
DISNEY COMPANY RETIREMENT
HALT
THE
247.889 88 ਕੇ
247.
**D CONCEPTKALDEMORGEN MOTHER FUND
FOR DHS
TRUSTEE
AS
JAPAN, LTD.
BANK OF
TRUST
MASTER
THE
575
75.
575
275.
**D PORTFOLIO
ALLOCATION
DYNAMIC
GLOBAL
AB
TRUST I
361.949
882.000
361.949
882.000
* * D INTERNATIONAL EQUITY FUND
AMERICAN BEACON
132.174 132.174
*D
* D
EQUITY FD
ABBETT INTERNATIONAL

NOB
SECURITIES TRUST-LORD
DEAMFONDS
FOR
INVESTMENT GMBH
ABBETT
LORD
DMS
0 . 356
478
478.358
**D LLC
SELECT,
FIBG
0 . 625

28
282.625
**D FUND
EQUITY
NIÇOLA GLOBAL
0 .489.000
I
489.000
T
**D FUND
INTERNATIONAL RESPONSIBLE INDEX
CALVERT
0 . 687
ਤ ਕੇ ਉ
398.687
**D INTERNATIONAL EQUITYFUND
PARAMETRIC
0 8

. ਤੇ
241
241.988
**D STRATEGY FUND
EATON VANCE RICHARD BERNSTEIN ALL ASSET
0 б
180.03
180.039
**D INC
FOUNDATION
PARKER
0
73.35
73.353
**D EUROPE HEDGED ETF
FRANKLIN FTSE
]
TRUST
ETF
TEMPLETON
FRANKLIN
C 40.123
10.602
40.123
10.602
**D TAXMANAGED INTERNATIONAL EQUITYPORTFOLIO 0
B
77.809 77.809
**D AS MASTERCUSTODI AN OF PINEBRIDGE THEMATI
ITS CAPACITY
ETF
TRACKER
D IN
CO. , LT
INDEX
BANK
INTERNATIONAL EQUITY
COMMERCIAL
FUBON
TAIPEI
-174
ਰੇ 1
91.174
D
D
TRANSAMERICA INTERNATIONAL EQUITY INDEX VP
SCOTIA
37.281 37.281
**D RETURNS FUND
GLOBAL TARGETED
FUNDS-INVESCO
INVESCO MULTI SERIES
0
. 35
L
1.350
Pagina 59
A zionisti ਤੇ ਰੇ
Teste
534

3.507

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI LISTA ESITO DELLE VOTAZIONE

Badge Ragione Sociale Proprio Delega Totale
**D WILLIAM BLAIR INTERNATIONAL SMALL CAP GROWTH FUND 0 V
. 78
7.784
**D STICHTING ING CDC PENSIOEMFORDS 0 б
195.73
ర్
195.73
**D VANECK FUNDS-ENVIRONMENTAL SUSTAINABILITY FUND 0 7.600 7.600
**D COMPANY
INVESTMENT
RUSSELL
PLC 0 5
643.07.
643.075
**D MSCI WORLD
JNL/MELLON
FUND
INDEX
0 52.771 771
52.
**D EQUITY GROWTH PORTFOLIO
TANGERINE
0
0
164.402
19.830
164.402
D
D
OF CHRIST SCIENTIST
CHURCH
FIRST
0 13.394 ਤੇ ਕੇ ਪ
19.830
13.
INSTITUTIONAL FUNDS
RUSSEL
FRANK
PLC
**D INTERNATIONAL INDEX FUND
SSGA
ГЛІБ
0
0
170.072
T
.170.072
**D DEVELOPED INTERNATIONAL
55GA
LVIP
EU
150
0 123.033 23.033
T
**D DIMENSIONAL
LVIP
FUND
EQUITY
INTERNATIONAL CORE
0 કરે છે
5.
2
556
138.072
25.
L
**D PRUDENTIAL TRUST COMPANY COLLECTIVE TRUST G 072
56.222
38.
T
5
56.222
5
**D PLC
FUNDS
MGI
**D INVESTMENTS
RUSSELL
MULTIASSET FACTOR EXPOSURE FUND 0 72.787 72.787
**D JERSEY
NEW
STATE OF
COMMON PENSION FUND D 0 675
. 842 .
P
.842.675
ਕਾ
**D CDC PENSICENFONDS
אא
STICHTING
0 73
1
ব -
173
34.
**D BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO 0 8 4 8
1.
1.848
**D SERIES:
EQUITY
PIMCO
PIMCO DIVIDEND AND INCOME FUND 253
e -
9
253
6.
9
**D SERIES :
EQUITY
PIMCO
INTERNATIONAL FUND
PIMCO RAE
0 391
9
53
T
ਰੇ 1

536.
T
**D PRUDENTIAL HONG KONG LIMITED 0 eo
S
.813.
E
813.560
m
**D FOR
GMBH
INVESTMENT
DWS
DEAM FONDS TOCO 00
ਪ੍ਰ
8
B
0
0
. 4
ರಿ
8
**D FOR
GMBH
INVESTMENT
DWS
1
DEAMFONDSBCA
0 ਟੇ ਖੋ
V
б
3
. 45 4
б
**D STICHTING PENSIOENFORDS WERK EN (RE) INTEGRATIE 0 873
511.
511.873
**D FOR
GMBH
INVESTMENT
DWS
DEUK
DEAM-FONDS
0 7.605
m
37.605
**D FOR
באפ א
INVESTMENT
DWS
CA IV
FONDS
DEAM
0 0-057
20.057
**D FOR
CMBH
INVESTMENT
DWS
RECEIN
FONDS
DEAN
0 5.114
б
114
5 -
ర్
**D FOR
GMBH
INVESTMENT
DWS
PMF
FONDS
DEAM
0 000
0.

t
40.000
**D FOR
GMBH
INVESTMENT
DWS
SEBMI
FONDS
DEAM
0 000
500.
500.000
**D FOR
GMBH
INVESTMENT
DWS
L
ટાખ
FORDS
DEAM
0 170.000 170.000
**D FOR
GMBH
INVESTMENT
DAS
RTU
FONDS
DEAM
0 042
7.
042
7 .
**D FOR
GMBH
INVESTMENT
DMS
T
PSF
FONDS
DEAM
0 11.702 11.702
**D FOR
CMBH
INVESTMENT
DWS
1
LHG
FONDS
DEAM
0 107.711 107.711
**D FOR
ਫ਼ਅਦਮ
INVESTMENT
DWS
OKA
FONDS
DEAM
0 ਰੇ 5
б
9 -
u
29.99
**D FOR
GMBH
INVESTMENT
DWS
NKS FONDS
DEAM
0 70.000 70.000
**D INVESTMENTS
RUSSELL
POOL
GLOBAL INFRASTRUCTURE
0 8.463
. 65
T
658-463
1 -
**D EQUITY
OVERSEAS
RUSSELL
POOL 0 133.612
133.61
**D FOR
СИВН
INVESTMENT
DWS
FES
DEAMFONDS
0 00
0.0
ﻟﺴ
70.000
**D FOR
GMBH
INVESTMENT
DWS
1
KLP
DEAMFONDS
0 7.100
8
0
7.10
0
**D DEAM-FONDS CPT 0 0.000
6
0
0
. O
ਰ 0
**D RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI A5SET I-ASSET GROWTH FUND 0 144.576 144.576
**D OMSESIDIG
FOLKSAN
LIVFORSAKRING 0 ਰੇ 3 ਤੋ
389.
89.943
**D FOR
GMBH
DWS INVESTMENT
LW1
DEAM FONDS
0 1
50
10.
10-507
50.00
**D FOR
GMBH
DWS INVESTMENT
DEUTSCHE BERGBURG 15 0 0
0
50.0
0
**D STATE
CALIFORNIA
TEACHERS` RETIREMENT SYSTEM 0 126.736
20 -
126.736
O
**D STREET CCF
STATE
O 2
60.85

60.85
**D WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST 0 218.363
I
218.363
T
**D INTERNATIONAL
FARGO
MELLS
GROWTH PORTFOLIO œ 9
66.16
66.166
**D HELLS FARGO FACTOR ENHANCED INTERNATIONAL PORTFOLIO 6
92
176.
176.929
**D WASHINGTON STATE INVESTMENT BOARD ਰ 8

978
2
78.981
б
2
**D EMPOWER ANNUITY INSURANCE COMPANY 9
L
03.
303.168
Pagina 60
Azionisti: Teste:
3.534
ਰੋਕ
Azionisti in proprio: Azionisti in delega:
27
3.507

EMARKET
SDIR
GRTIFFE

Jeropod

10 maggio 2023 15.23.46

FAVOREVOLT
getto: Bilancio di esercizio al 31 dicembre 2022. Relazioni di Amministrazione, del Collerio Sindacale e della Società di revisione.
Badge Ragione Sociale 0
Propri
Delega Totale
**D WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND 0 132.634 132.634
D
D
THE MELLINGTON TR
TRUST
COMMON
WTCN
CO NATI ASSOCMULTIPLE COLLECTIVE INVESTMENT FDS TR
0
ENDURING ASSETS PORTFOLI
FUNDS TRUST
0 . 724
52
. Ө
. 340
.477
E
t
477.852
3.340.724
L
**D TRUST-
HC CAPITAL
THE INTERNATIONAL EQUITY PORTEDLIO 0 - 935
4 7
47.935
**D LLC
SYLVAN PARTNERS.
0 8
. 33
I d
338
14 -
**D DEVELOPED
FTSE
VANGUARD
EX NORTH AMERICA HIGH DIVIDEND YIELD IND 0 .519
63
519
63.
**D CARBON ENERGY ETF
VANECK LOW
0 .878
. 345
345.878
2.
**D MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG VISION O 9
. 65
143
143.656
**D UNIVERSALINVESTMENTGESELTSCHAFTMBH PROUIFONDS SAA
FOR
0 .270
019
819.270
**D TRUST
INV
FIDELITY
VALUE FUND
INI
FIDELITY SERIES
0
0
707.650
m
S
707.650
3.
**D ADV
SST GLOB
PLANS
TAX EXEMPT RETIREMENT
0 .614
V
. 55
8 48
132
E
848.614
132.554
5.
E
D
D
TOTAL
STREET
THE AB
STATE
PORTFOLIO
PORTFOLIOS AB ALL MARKET TOTAL RETURN
FUND
RETURN VIS
0 0
.78
31
31.780
**D & STEERS INFRASTRUCTURE FUND,
COHEN
INC. 0 . 974
ਰੇ ਪੈ
6
T
694.974
T
**D ALTERNATIVE
& STEERS
COHEN
FUND, INC
INCOME
0 16.540 16.540
**D PERMANENTE GROUP TRUST
KAISER
0 203.961 203.961
**D UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RMFFONDS 0 12.575 12.575
**D FUNDAMENTAL
SCHWAB
ETF
INTERNATIONAL LARGE COMPANY INDEX
0
0
9
б
086-18
133.98
0
. 086. 186
133.989
8
D
D
GLOBAL
CANADA
SCHWAB
AB
FUND
INTERNATIONAL OPPORTUNITIES FUND
STRATEGIC COREEQUITY
0 139.894 139.894
**D VALUE
INT
CAN
AB
UNHEDGED FUND
EQUITY CAP-WEIGHTED,
0 0
109.02
109.020
**D INTERNATIONAL
AB
-
TRUST
AB
FUND
VALUÉ
0 307.340 307.340
**D TRUST COMPANY
HANCOCK
JOHN
INVESTMENT TRUST
COLLECTIVE
0 49.676 49-676
**D MULTIFACTOR
HANCOCK
JOHN
ETF
INTERNATIONAL
DEVELOPED
0 8
71
63 -
T
163.718
**D HANCOCK
JOHN
VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST 0 86.730
. I
T
1.186.730
**D HANCOCK INFRASTRUCTURE
JOHN
FUND C 88 d
.441.
88 d
.441.
**D RETIREMENT
PUTNAM
FOLIO
PORT
STRATEGIES
GAAINCOME
ADVANTAGE
0 82.087 087
82
**D RETIREMENT ADVANTAGE
PUTNAM
PORTFOLIO
GAAEQUITY
0 382
3.
8
83.382
**D INTE KAPITALANIAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN 0 000
528 -
528.000
**D ALLGEMEINE VERSICHERUNGSAG
vpv
0
0
000

S
б
- 000
94.429
55
**D GOLDMAN SACHS MULTIMANAGER REALASSETS STRATEGY FIND 4.429
ବିପ ୧
5.906
D
D
INVESTMENTS TRUST COMPANY
SACHS TRUST GOLDMAN
GOLDMAN
FUND
GLOBAL MANAGED BETA
COMMINGLED EMPLOYEE
SACHS
BENEFIT FUNDS TRUST D 82
0
ਰੇ
୧୫
.082
ਦ 8 ਰੇ
**D COMMINGLED ENDICYEE
RUSSELL
RSS INV
FUNDS TRUST
BENEFIT
0 574.113 574.113
**D CUSTODIAL SERVICES IREL
SSB
IREL
INVS
RUSSELL
235
234 .
235
234.
**D CELTIC FUND
ANGLO
MAAG
0 220
.421.
1.421.220
**D INVEST
PENSION
MEAG
ਦੇ ਤੋ
110.6
110.653
**D MUNICH
MEAG
ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 .644
.321
4
.321.644
b
**D PLAN
RETTREMENT
I BM
0 .410
31
31.410
**D THORNBURG INCOME BUILDER OPPORTUNITIES TRUST 8.049
. 59
598.049
**D INVESTMENT GMBH FOR DEAM FONDS BBS
DWS
0
0
270
31
31.270
0
60.04
**D UNIVERSALINVESTMENTGESELLSCHAFTMBH HORLD ESG
UIFONDS AKTIEN
FOR
905.671
0.040
9
б
S
905.671
б
S
D
D
THORNBURG
THORNBURG
FUND
FÜND
BETTER WORLD INTERNATIONAL
INVESTMENT INCOME BUILDER
0 129.329
1.
129.329
T
**D UNIVERSALINVESTMENTGESETTSCHAETMBH CTMI I UI
FOR
3.632
23.632
**D UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR HI RESERVEUIFONDS 0 00

26 -
26.800
**D REAVES UTILITY INCOME FUND 465.257
6.
65.257
ರ್
9
**D MATB MSCI KOKUSAI INDEX MOTHER FUND 0
128.76
8-760
12
**D AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF 7
. 0
. 07
3
**D SPDR MSCI WORLD STRATEGICFACTORS ETF 52
. 9

. 95
ut
Pagma 61
Azionisti: ਤੇ ਰੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Ragione Sociale Proprio Delega Totale
**D AB GLOBAL RESEARCH INSIGHTS SERIES 0 .937.316
S
5.937.316
D
D
ALLIANCEBERNSTEIN DELAWARE BUSINESS
ALLIANCEBERNSTEIN
DELAWARE TRUST
BUSINESS
TRUST-AB GLOBAL RESEARCH INSIGHTS SERIES - AB INTERNATIONAL STRATEGIC EQUITIES SERIES
II
0
0
521
.210.490
. 692.

L
1.210.490
.692.521
**D UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FINREON SGKB TAIL RISK CONTROL (WORLD,
ES
0 60.000 60.000
**D LM FUND LP 0 355
3.
3.355
**D LP
VNL
030
1.
. 030
**D GLOBAL EQUITY INCOME FUND
NUVEEN
0
0
.775
.763.128
m
30
763-128
303-775
1 -
**D REAL ASSET INCOME FUND
NUVEEN
0 L 291.744
**D MULTI-ASSET
NUVEEN
FUND
INCOME
0 . 744
0.036
91
8

C
780.036
**D ASSET
REAL
NUVEEN
INCOME & GROWTH FUND 0 485.412 485.412
**D COVINGTON
FIDELITY
TRUST: FIDELITY INTL ETE
HIGH DIVIDEND
0 220-234 220.234
**D INTERNATIONAL
FIDELITY
HIGH ETF
INDEX
DIVIDEND
O 558
il8.
0
118.55
**D FUNDS GLOBAL
PIMCO
INVESTORS SERIES PLC 0 980.627 980.627
**D INTERNATIONAL
RAE
PIMCO
FUND IIC 0 27.300 27.300
D
D
GMBH
GMBH
INVESTMENT
INVESTMENT
DWS
DMS
FOR
FOR
DEAM-FONDS DVERG
DWS-FONDS PAJ 1
0 32.331 32.331
**D GMBH
INVESTMENT
DWS
FOR DEAMFONDS EXEMPLON 0 9.025 9.025
**D લખતમ
INVESTMENT
DWS
DEAM
FOR
GDP
FONDS
0 000.000 90-000
**D GMBH
INVESTMENT
DWS
DEAM
FOR
SCSM
FONDS
0 3.066 3.066
**D GMBH
INVESTMENT
DMS
DEAM
FOR
STK
FONDS
0 18.042 18.042
**D GMBH
INVESTMENT
DM2
DEAM
FOR
1
uve
FONDS
C 12.300 12.300
**D GMBH
INVESTMENT
DWS
FOR DWS NOTAERZTE 0 61.000 61.000
**D INTERNATIONAL
THRIVENT
ALLOCATION PORTFOLIO 0 750.766 50.766
2
**D INVESTMENTS
RUSSELL
MULTIFACTORINTERNATIONAL POOL
EQUITY
0 a 551 9.551
**D RUSSELL INVESTMENTS YIELD OPPORTUNITIES BOOL 0 4-239 4.239
**D INVESTMENT
ALBERTA
MANAGÉMENT CORPORATION 0 924.500 924.500
**D SCOTIA INTERNATIONAL EQUITY FOND
INDEX
0 13.695 ୧୨ ଚ
597
13.
**D EX-USA
ACHI
MSCI
SSGA
INDEX NON-LENDING DAILY TRUST 0 ਦੇ ਰੇ ਹ
38.
38.
**D SELFFINANCING POSTSECONDARY EDUCATION FUND 0
0
4.711 4.711
**D PLAN
SAVINGS
THRIED
846.131
0
6.846.131
**D ITS CAP
IN
Tres
AS MASTER CUSTODIAN OF FIDELITY (TAINAN) SUSTAINABLE REDUCED CARBON OPPORTUNITIES 0 80
25
6 809
5.
**D TJANSTEPENSION
FOLKSAM
AB 0 37.
S
332 537.332
**D HARTFORD SCHRODERS INTERNATIONAL MULTI-CAP FUND
VALUE
0 218.433
J
.218.433
t
**D DAVID TRENCH FUND FOR RECREATION
SIR
0 10 962 962
10.
**D BANK
DEVELOPMENT
ASIAN
0 . 165.
T
ਕੇ ਦੇ ਕ . 165. 954
t
**D TEACHERS
STATE
YORK
NEW
SYSTEM
RETIREMENT
0 . 091 .
2
୧୫୦
726
.091.680
319.726
**D TEACHERS
STATE
YORK
NEW
SYSTEM
RETIREMENT
319. 572 190.572
**D STATE TEACHERS
YORK
NEW
SYSTEM
RETIREMENT
l ZIF GREEN 337.931
90
t
337.931
D
D
INVESCO INCOME ADVANTAGE INTERNATIONAL FUND
FUND
san
MANAGEMENT (SWITZERIAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUNDS 3.135 135
ತಿ -
**D ICAV
ZURICH INVEST
916.757 916.757
**D TJ-NONQUALIFIED LLC . 025
223
223.025
**D GMBH FOR
DWS INVESTMENT
DWSFONDS SAARAERZTE 0 6.000
S
56.000
**D DEVELOPED
FTSE
VANGUARD
EUROPE INDEX
CAP
ALL
CTF 0 -201

B
85.201
**D DEVELOPED
FTSE
VANGUARD
ALL NORTH AMERICA INDEX
САРЕХ
ETF 0 .016-133
.016.133
T
**D DEVELOPED
RAFI
FTSE
ssi
1000 INDEX MONIENDING CONNON TRUST FUND 0 72.69 8 8
72.69
**D FACTORBASED
STREET
STATE
COMMON
NONLENDING
FUND
TRUST
0 . 616
б
S
59.616
**D WELLINGTON MANAGEMENT FUNDS (IRELAND) PLC 0 .979
3.018
3.018.979
**D MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND 0 . 043
ਤੇ ਦੇ ਪ
364.043
**D SONOMA COUNTY EMPLOYEES RETIREMENT ASSOCIATION 0 .77
67
0 8
67.77
Pagina 62
Azionisti: 3.534 Teste: ਤੇਰੇ
27 Azionisti in delega: 3.507
Azionisti in proprio:

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

strazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge
**D
THE METHODIST HOSPITAL
Ragione Sociale
Proprio Delega Totale
**D 0
0
221.562 221.562
**D KAISER FOUNDATION HOSPITALS
CAPITAL
HC
EQUITY PORTFOL
TRUST- THE INSTITUTIONAL INTERNATIONAL
0 . 630
177.421
151
- 630
177.421
151
**D CAPITAL
HC
TRUST - THE ESG GROWTH PORTEOLIO D 9.818
818.6
L
**D FMR CAPITAL INC 0 1.701 1.701
**D UNIVERSAL MBH FOR AQUILAIUNIVERSALFONDS
INVESTMENT GESELLSCHAFT
0 6.250 6.250
**D RÜTLAND
FIDELITY
STRATEGIC ADV FIDELITY INT FND
SQUARE TRUST II
0 492.300 492.300
**D INSURANCE
VARIABLE
L CAP PORTFOLIO
STOCK SELECTOR AL
FUND:
PRODUCTS
0 . 900
42
42.900
**D RETIREMENT
PUTNAM
GAAGROWTH PORTFOLIO
ADVANTAGE
0 295.311 295.311
**D RETT OREMENT
POTNAM
GAABALANCE PORTFOLIO
ADVANTAGE
0 132.836 132.836
**D RETIREMENT ADVANTAGE
PUTNAM
GAACONSERVATIVE PORTFOLIO 0 51.370 51.370
**D MULTI-ASSET INCOME
PUTNAM
FUND 0 23.600 23.600
**D PUTNAM VARIABLE TRUST - FUTNAN VT GLOBAL ASSET ALLOCATION FUND 0 17.472 17.472
**D PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND 0 363.757 363-757
**D NEVADA
OF
STATE
21 12
0 41.314 41.314
**D GLOBAL RISK ALLOCATION FUND INC
AB
0 10.639 10.639
**D HANCOCK LIFE
JOHN
AND HEALTH INSURANCE COMPANY 0 473.875 473.875
**D AB
INC
FUND
BOND
AB
MARKETREAL RETURN PORTFOLIO
ALL
0 520-664 520.664
**D AB COLLECTIVE INVESTMENT TRUST SERIES 0 209-333 209.333
**D PRODUCTS
VARIABLE
AB
ASSET AL LOCATION PORTFOLIO
DYNAMIC
AB
l
INC.
EUND
SERTES
g 22.374 22.374
**D GLOBAL
ALLIANZ
ALLIANZGIFONDS INDU
FOR
INVESTORS GMBH
0 21.200 21-200
**D MEAG MUNICH FOR MEAG EUROSTAR
ERGO KAPITALANLAGEGES MBH
0 39.969 39.969
**D UNIVERSALINVESTMENTGESELLSCHAETMBH RZV
FOR
0 43.100 43.100
**D PLUS PLAN TRUST
401 (K)
I BM
0 570.214
1-
570.214
1.
**D PAX ELLEVATE GLOBAL MOMEN. S LEADERSHIP FUND Q 171.111 171.111
**D GLOBAL
БАХ
SUSTAINABLE INFRASTRUCTURE FUND 0 302.472 302.472
**D KONSUMENTKOOPERATIONENS PENSIONSSTIFTETSE 0 94.886 9
88
94 .
D
D
BANK OF KOREA
THE
0
0
10.456 10.456
EXUS
MSCI ACWI
SPDR
ELE 512.738 512.738
**D S&P
SPDR
INTERNATIONAL DIVIDENDETF 0 628.851
1
1.628.061
D
D
WTCN COMMON TRUST FUNDS TRUSTINT RESEARCH EQUITY PORTFO 0
0
.371
204
204.371
ITALY
MSCI
SSB
FUND
INDEX SECURITIESLENDING COMMON TRUST
806.049
6

6.806.04
**D STREET
STATE
LENDING COMMON TRUST FUND
SECURITIES
WORLD ENHANCED
0 700
ರಿ.
9.700
**D ALLIANZ INTERNATIONAL INVESTMENT FUNDS - ALLIANZ THEMATICA FUND 0 41.649 41.649
D
D
ALGEMEEN PENSIOENFONDS VAN CURACAO 0
0
ਰ 68
130.
130.968
**D ALLIANCE
VIF ICVC
ങ്ങ
VANGUARD FTSE GLOBAL ALL CAP INDEX FUND
BERNSTEIN UK EQUITYFUND
0 749.400 749.400
**D HIDOWS
SCOTTISH
ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND
FUNDS
INV.SOLUTIONS
0 .416.445
320-538
L
320-530
**D MULTI~MANAGER ICVC
SPW
EX UK EQUITY FUND
MULTI-MANAGER EUROPEAN
\$ PW
l
0 S
184.44
r-l
1.184.445
1.416.445
**D st
NATWEST
JAMES'S PLACE MANAGED GROWTH UNIT TRUST 0 235-201 235.201
**D PENSION
MANAGED
FUNDS LIMITED 0 807
188 -
2
.188.807
2
**D bhiribs
STICHTING
PENSIOENFONDS 9 177
75.
8
875.177
-
**D TRUSTEE OF ST JAMES'S PLACE GLOBAL ABSOLUTE
NATWEST TRUSTEE AND DEPOSITIALY SERVICES LIMITED AS
0 104.422 104.422
**D INVESTMENTS CHILD TRUST
FAMILY
FUND 173.232 173-232
**D PORTFOLIO
OMNIS
RETURNS FUND
DIVERSIFIED
OMNIS
INVESTMENTS ICVC -
0 a e
8.
096
8
**D oldp AFRICA) LTD
MUTUAL LIFE ASSURANCE COMPANY (SOUTH
0 29.412 29.412
**D TJANSTEPENSION AB (PUBL)
KPA
0 751
30.
30.751
**D KPA TJANSTEPENSIONSFORSAKRING AB (PUBL) 671
84 -
. 1
.184.671
D
D
смян
INVESTMENT
INVESTMENT
DWS
DWS
GMBH FOR DEAMFONDS PG EO
FOR DEAM-FONDS MASP
0 100
07.
168.
207.100
000 168 - 000
Pagina 63
Azionistı: ਤੇਰੇ
Teste:
3,534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

Badge Sociale
Ragione
Proprio Delega Totale
D
D
METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 253.100 253.100
**D MELLINGTON COMBOUND GROMIN, L. F.
ALLIANZ GLOBAL INVESTORS GMBH
HDJ
FOR ALLIANZGIFONDS
0
0
978
9
978
26.
**D FOR
GMBH
INVESTMENT
DWS
દ્વન
GSK
DEAMFONDS
0 115.732
93.691
115.732
93.691
**D RÉT I REMENT
HEALTH
MERCY
TRUST D 393
26.
126.393
**D SCREENED
EUROPE
MSCI
SSB
FUND
INDEX NONLENDING COMMON TRUST
0 867
248
867
0
ਣ ਪੈ
**D IMI
EX ÜŞA
ACWI
MSCI
ssB
ST FUND
SCREENED NONLENDING COMMON TRU
043
247.
247.043
**D WICN DAILY ENDURING ASSETS PORTFOLIO 0 904
425.
425.904
**D MELLINGTON IR CO
THE
II
NATL ASSOCMULTIPLE COLLECTIVE INVEST FDSTR
0 199
357.
357.199
**D GLOBAL
ട് P
ട്ടുട
INFRASTRUCTURE INDEX NONLENDING COMMON TRUST FUND 0 2-833.666 2.833.666
**D FIDUCIARY
VANGUARD
TRUST COMPANY DEVELOPED MARKETS INDEX TRUST 0 ୧୫୧
.115.
.115.686
L
**D FUND
VANGUARD ENERGY
0 169
5.297.
t
5.297.169
**D LLC
ARKWRIGHT,
0 8 5

36.
36.285
**D INTERNATIONAL
SCHWAB
ETF
DIVIDEND EQUIT Y
0 તે છે દ
S
8 -

. 8
P
. 828.596
D
**D INTERNATIONAL
SCHWAB
ETF
EQUITY
0 304
. 854 .

t
854-304

I
**D NORTD
TOTAL
VANGUARD
FUND
INDEX
STOCK
0 35
B
.101.
.101.835
**D MARKETS
DEVELOPED
VANGUARD
FUND
INDEX
0 029

60.47
60.473.029
**D RETIREMENT
TEACHERS `
SYSTEM OF THE STATE OF ILLINOIS 0 087
0
ਉ ਹੈ
. 087
848
**D THE
CAPITAL TRUST-
HC
SRI GROWTH PORTFOLIO
CATHOLIC
0 907
র .
907
**D INVESTMENT
CATHOLIC
TRUST OF ARLINGTON 0 927
2.
3
52.927
**D INSURANCE
VARIABLE
UTILITIES PORTFOLIO
FUND IV
PRODUCTS
0 700
6.
ರಿ
96.700
**D TRUST
FIDELITY INV
EQUITY FUND
INT
TOTAL
FIDELITY
0 300
20.
20.300
**D ASSET
DYNAMIC
PUTNAM
ALLOCATIONBALANCED FUND 0 208.747 208.747
**D ASSET
DYNAMIC
PUTNAM
FUND
ALLOCATIONCONSERVATIVE
0 57.474 57.474
**D INVESTMENT
UNIVERSAL
FOR KFPT UNIVERSAL FONDS
мвн
GESELLSCHAFT
0 378.913 .913
378
**D REAL ASSETS
STEERS
COHEN &
INC
FUND.
0 ਰੇ ਪੈ
140.
140.094
**D DYNAMIC ASSET
PUTNAM
ALLOCATIONEQUITY FUND 0 832
1
832
**D ALLIANCESERNSTEIN INTERNATIONAL VALUE PORTFOLIO
INC.
SERIES,
VARIABLE PRODUCTS
0 740
720.
20.740
**D AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO 0 84.717 84.717
**D ERGO
MUNICH
MEAG
ATLAS
KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG
0 .661.131
T
.661.131
T
**D MULTI LIFE
MEAG
0 141
933.
933.141
D
D
ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT MASTER 0 908
9.
10
109.908
**D QUALITY MIX
THE MASTER TRUST BANK
MSCI MORID
SPDR
EQUITY INDEX MOTHER FUND
JAPAN LTD RE: HITACHI FOREIGN
FUND
OF
0
0
204.016
C
204.016
**D COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC 0 742 2.742
**D INC.
STEERS,
COHEN &
0 163.145
040
. 040
163 - 145
ತೆ
**D LAZARD RETIREMENT INTERNATIONALEQUITY PORTFOLIO 0 384
272
272.384
**D SACHS TRUST GOLDMAN
GOLDMAN
FUND
SACHS CLEAN ENERGY INCOME
0 663.755 663.755
**D INVESTMENT
GLOBAL
THORNBURG
BLC 0 245.566 245.566
**D INTERNATIONAL EQUITY
THORNBURG
FUND 0 556.297
0
.556.297
в
**D GLOBAL
S+P
SPDR
ETF ONE
INFRASTRUCTURE
0 897.691
T
897-691
T
**D DEVELOPED
PORTFOLIO
SPDR
EXUS ETF
WORLD
0 5.303.062 .383.062
**D INSTITUTIONAL
STANLEY
MORGAN
GLOBAL STRATEGIST PORTFOLIO
l
TRUST
FUND
0 39.704 39-704
**D STANLEY
MORGAN
INC. GLOBAL STRATEGI ST PORTFOLIO
E UND.
VARIABLE INSURANCE
0 590
ર.
0
б
୧ : ﭼ
**D FUND
INVESTMENT
EUROPE
0 350.627 350.627
**D INTERNATIONAL
TIAACREF
EQUITY FUND 0 7.850.100 850.180
7.
**D MASSACHUSETTS LABORERS PENSION FUND 0 136.412 136.412
**D BRIGHTHOUSE FUNDS TRUST PORTFOLIO
EAFE INDEX
METITIES MSCI
II
0 31
500.4
.431
8
50
**D FRANK RUSSELL INVESTMENT CO II FIC 466.078 466.078
**D PRINCIPAL DIVERSIFIED REAL ASSEIL CIT 0 87
818.8
818.887
Pagina 64
Azionisti: ਤੇ ਰੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

11

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Oggetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge
**D
WELLINGTON DIVERSIFED INFLATIONHEDGES
Ragione Sociale
Proprio
0
Delega
74.487
Totale
74.487
**D FUND
M INTERNATIONAL EQUITY FUND
0 43.401 43.401
**D COMMINGLED INVESTMENT GROUP TRUST
INTERNATIONAL PAPER COMPANY
0 69.759 69.759
**D PORTFOLIO
INTERNATIONAL EQUITY
LAZARD
0 .716.910
716.910
**D INSURANCE
SOCIAL
FOR
PUBLIC AUTHORITY
0 71.402 71.402
**D LTD
ASSURANCE
ZURICH
0 9.058
ਰ ਸ
1
989.058
C
**D FUND
ALLIANCEBERNSTEIN UK TOM VOLVIIIII GROBAT EQUITY
ES
0 . 852
.852
L
**D FUNDS
GLOBAL
PINEBRIDGE
0 175.933 175.933
**D INTERNATIONAL EQUITY INDEX FUND
TIAACREF
0 627.522
0
L
627.522
0
L
**D FUND
FUNDS INTERNATIONAL EQUITY
LIFE
TIAACREF
0 S
59
151.
151.595
**D MINNESOTA
OF
STATE
0 .439.532
39.532
ರ್ ರ
E
**D COUNTY EMPLOYEES. RETIREMENT ASSOCIATION
ALAMEDA
0 009.692
గా
009.692
**D TRUST
AIRLINES INC MASTER FIXED BENEFIT PENSION
AMERICAN
0 919.440 919.440
* * D INVESTMENTS (RESTRICTED) LTD
NATAN
AL
SANDOOOQ
0
0
1.162 1.162
D
D
BALANCED INTERNATIONALFUND
BALANCED SUSTAINABLE FUND
ICVC FAMILY
- GLOBAL
INVESTMENTS GLOBAL
STANLEY FUNDS (UK)
FAMILY
MORGAN
0 9
825
ર વે
111
596
825
111.
**D FUND
EUROPEAN EQUITY LEADERS
OMNIS
l
ICVC
INVESTMENTS
PORTFOLIO
OMNIS
0 95.423
. 4
.495.423
**D SINGAPORE MAS
THE MONETARY AUTHORITY OF
0 37.000 000
37.
**D EQ FND
CONTROVERSIES CM INDEX
EX
EU SCREEN
SSB AUT
BANK
HSBC
0 315.622
5
315.622
S
**D ST. JAMES`S PLACE STRATEGIC MANAGE
LIMITED AS TRUSTEE OF
SERVICES
DEPOSITARY
TRUSTEE AND
NATWEST
0 200.571 00.571
**D MACAU
ESPECIAL DE
REGIAO ADMINISTRATIVA
FUNDO DE SEGURANCA SÓCIAL DO GOVERNO DA
0 239.303 39.303
**D FOND
MONETARY
INTERNATIONAL
0 267.354 354
267 .
**D FUND
MONETARY
INTERNATIONAL
0 261.758 261.758
**D THE NOMURA ASSET MANAGEMENT INSTITUTIONAL GLOBAL TRUSTS 0 146.414 146.414
* * D PORTFOLIO EUROPE ETF
SPOR
0 143
287.
287.143
**D Pille
50
EURO STOXX
SPDR
0 6.186.990 6.186.990
* * D
DEAM FONDS DKS
FOR
GMBH
INVESTMENT
DMS
0 000
68.
68.000
**D DEUTSCHE INIM
FOR
GMBH
INVESTMENT
DM2
0 000
60.
60.000
**D LTD
FUND
PARIBARA
0 ಲ್ಲೊಕ್ಕೆ ಕಿ 629
**D MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) 0 62.381 381
62.
**D GLOBAL INVESTORS FUND
ALLIANZ
0.220.534
ાં
. 5 ਤੋਂ 4
10.220
**D FUND
MULTISTRATEGY INCOME
COMPANY
INVESTMENT
RUSSELL
46.335 46.335
**D EQUITY FUND
COMPANY MULTIFACTOR INTERNATIONAL
INVESTMENT
RUSSELL
54.747 54.747
**D MANAGEMENT FUNDS PLC
ROYAL LONDON ASSET
75.351 75.351
**D DIVIDEND EQUITY MOTHER FUND
HIGH
GLOBAL
HE
DEUTSC
STR
30.324 30.324
**D GARANT
DWS
62.608 62.608
**D ASSET INCOME KONTROLLIERT
ESG MULTI
DWS
670.242 670.242
**D STRATEGY FUND
BERNSTEIN EQUITY
RICHARD
EATON VANCE
83.622
589 511
589.511
**D ETF
FISE EUROPE
FRANKLIN TEMPLETON ETF TRUST - FRANKLIN
83.622
**D INTERNATIONAL ADAPTIVE MULTI-FACTOR ETF
FONDS-PRINCIPAL
EXCHANGE-TRADED
PRINCIPAL
4.086 086
4 .
**D PORTFOLIO
LARGE-CAP INDEX
-PD INTERNATIONAL
SELECT FUND
PACIFIC
292.300 930
300
292 -
D
D
FUND
NACHHALTIGKEIT
FUNDS INTERNATIONAL VANTAGE
STIFTUNGSFONDS
AMERICAN
ALLIANZ
27.605
317.930
605
317.
27.
**D OF SHIPPING
AMERICAN BUREAU
9.149 9.149
**D GLOBAL TECHNOLOGY INFRASTRUCTURE MOTHER FND
MIBJ PINEBRIDGE
0 220.000 220-000
**D EUND
STRATEGY
l
SUISSE
ALLIANZ
. 808
22
808
22.
**D INVESTORS FUND
GLOBAL
ALLIANZ
565.657 565 - 657
**D 15
STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL
143.540 143.540
+ * D FUND
- GLOBAL BALANCED INCOME
(UK)
FUNDS
STANLEY
MORGAN
272 272
**D EQUITY INDEX FUND
FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K.
VANGUARD INVESTMENTS
0 . 412
2-233
2-233-412
Pagina 65
Azionisti: 39
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

VI

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

FAVOREVOLI
Badge Ragione Sociale Proprio Delega Totale
D
D
VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND
JAMES * 5
NATWEST ST
PLACE STRATEGIC INCOME UNIT TRUST 0
0
119.225
353.077
ৰ -
4-119.225
53.077
E
**D PLACE
JAMES * S
ST
NATWEST
GLOBALEQUITY UNIT TRUST 0 0
.254.25
e
6.254.258
6457 GABRIELI ALESSIO 4 4 યું વૈદ્યા
6475 D.AGNILLO GIULIANA . 000
I
0 1.000
6576 EMANUEL
GAZZONI
300 0 300
6578 GIANCARLO
PESCINI
0
દન
0
00
15.
15.010
6728 COSIMO
DE MARÍA
0
1.00
0 1.000
6797 STEFANO
SALOMONI
S
ર્ડક
0 555
6806 ALESSIO
CINQUINI
9
0 25
6832 DI MODRONE RAIMONDO
VISCONTI
146.500 146.500
DE* GOLD - FINGOLD SPA
FINANZIARIA
0 0
300.00
300.000
୧୫୮୬ MASSIMO
ROSICA
0 0 0
**D SEGUROS
COMPANHIA
ZURICH
SA 0 436
9 -
9
169-436
*** NILSSON URBAN 0 500
- 500
★★★ ROSANNA
ILARDO
GALETTA
0 00
-
00
2
**D INSTITUTIONAL FUND
AEIS
- AKTIEN GLOBAL 0 255,746 255.746
**D FONDS INSTITUTIONNEL
RP -
- ACTIONS MARCHES DEVELOPPES LARGE CAP 0 63.671 63-671
**D EUROPE (EX-CH)
ACTIONS
SYN
B-UBS 0 979
ర్
ਟ ਰ
. 979
б
б
S
**D EUROPE EX-CH-A-AMUNDI
ACT
ક્ષેત્રા
0 030
572.
572.930
**D FONDS
-
CAPACITY
ACTIONS
l
INSTITUTIONNEL
ETRANGERES RENDEMENT ABSOLU 0 181.227 181.227
**D FONDS
l
CAPACITY
- ACTIONS
INSTITUTIONNEL
ETRANGERES 0 76.000 76.000
**D ZERO GLOBAL
NET
SYN TARGET
EQUITIES 0 7 ୧୧
0
30-766
**D PLACEMENT
FONDS DE
ACTIONS ETRANGERES
UNIGE -
0 72.698 72.698
**D CAISSE
l
CIEPP
DE PREVOYANCE
INTER-ENTREPRISES
PROFESSIONNELLE 754.103 754.103
**D SIEMENS-FONDS SIENENS-RENTE 0 58.409
б
958.409
**D LD,
KAPITALFORENINGÉN
- MANDAT
BETA
SMART
0 20.597 20.597
**D PUB INSTITUTIONAL PUB EQUITIES
FUND UMBRELLA-
(
EUROPE
EX SWITZERLAND) 1 0 203.675 203-675
**D CHASE RETIREMENT PLAN
JPMORGAN
0 .031.778
t
.031.778
**D RÉTIREMENT
TEACHERS
SYSTEM OF GEORGIA 0 14.151.004 14-151 - 004
*** FREDERIC
DREYFUSS
0 500
2.
2.500
**D PENSIONSKASSE DES BUNDES PUBLICA 0 502
220.
228.502
**D EMPLOYEES RETIREMENT SYSTEM OF GEORGIA 0 .765.477
2.765.477
* * D COMPANY
THE SOUTHERN
MASTER RETIREMENT TRUST
SYSTEM
0 .251.746
L
1.251.746
**D HC RENTE 47.226 47.226
**D KAPITALFORENINGEN LD, - MANDAT
GLOBAL QUANT
0 260.275 260.275
**D AXA AVENIR INFRASTRUCTURE 0 422.409 422.409
* * D ACT CARBON OFFSET EUROBLOC
AXA
ol
EQUITY
0 625.583 625.583
**D EURO
INDICE
AXA
0 423.167 423.167
0
**
DIVERSIFIE INDICIEL I
AA
AXA
0 502.209 502.289
**D GREENWICH IVY LONG-SHORT FUND 0 21.406 21.406
0
**
INSURANCE
ZURICH
COMPANY LTD - BRANCH ITALIANA 0 325
ਦਰੋ -
69.325
**D PLC
INSURANCE
ZURICH
0 143.682 143.682
**D ZURICH VIDA COMPANIA Y REASEGUROS
DE SEGUROS
ਵਿੱ 0 29.274 29.274
**D SABADE LE
BANCO
0 168.273 160.273
**D PIR EQUITY AXA ASSICURAZIONI 0 557.000 557.000
**D GLOBAL
MONDRIAN
FUND
EQUITY VALUE
0 690-237 690.237
**D INTERNATIONAL VALUE
MONDRIAN
EQUITY FUND 0 990.745
3.
990.745
E
**D MONDRIAN ALL COUNTRIES WORLD EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST . 923
ਰੇ ਰੇ I
1
991.923
1.
**D MASTER TRUST BANK OF JAPAN LTD. RE: AXA ROSENBERG EUROPEAN EQUITY MOTHER FUND 0 6
27.10
27.109
Pagina 66
Azionisti: Teste:
3.534
39
Azionisti in proprio: Azionisti in delega:
27
3.507

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge Proprio Delega Totale
TRUST
MONDRIAN INTERNATIONAL EQUITY COLLECTIVE INVESTMENT
Ragione Sociale
0 723.020 723.020
GIOBAL LISTED INFRASTRUCTURE FORD
MONDRIAN
0 13.620 13.620
EUROPA
AKTIEN
ES
BPK RUBR
PENSIONSKASSE
BERNISCHE
0 000.000
1.
1.000.000
LEHRERVERSICHERUNGSKASSE
BERNISCHE
232-575 232-575
SUPERANNUATION FUND
GOVERNMENT
99.237
E
399.237
JPMORGAN CHASE 401(K) SAVINGS PLAN 032-244
2.
032.244
INTERNATIONAL VALUE FUND
PZENA
59.051
L
59.051
WILSHIRE INTERNATIONAL EQUITY FUND
INC. -
FUNDS,
MUTUAL
MILSHIRE
147.172 147.172
INVESTMENT TRUST
HEALTH
COVENANT
208.323 08.323
IT
SATELITE
EQUITY
GLOBAL
l
ROMA
FONDAZIONE
272.559 ਵੰਡੇ ਰੋ
272.
LOUIS
ST.
OF
CITY
THE
OF
SYSTEM
SCHOOL RETIREMENT
PUBLIC
279.097 097
279.
TRUST
US RETIREMENT INCOME PLAN
ARAMCO
129.178 178
129.
AIRLINES, INC., US AIRWAYS, INC. AND AFF
PLNS OF
FOR DEFINED CONTRIBUTN
TR
MASTER
967
1.379.
967
.379.
t
NES LIMITED ર કર્ દ
.490.
રક દ
. 490 .
I
PRUDENTIAL PENSIONS LINITED 005
00
T
005
100.
(AUS) LIMITED
X MANAGEMENT
GLOBAL
127.442 127.442
DE PENSIONS DU PERSONNEL COMMUNAL DE LAUSANNE (CACL)
CAISSE
71.804 80 4
71.
FUND
UTILITIES
MES
1.837.954
ਰੇ ਦੇ ਪੈ
. 837.
11
EQ/MES UTILITIES SERIES PORTFOLIO
l
TRUST
EQ ADVISORS
41-562
0
532
562
841.
FAM FUND
FAM SERIES UCITS ICAV - GLOBAL LISTED INFRASTRUCTURE
0 .220.532
E
299.084
3.220.
INTERNATIO
l
SPECIALIST INVESTMENT STRATEGIES
IPAC
0
0
379
9.084
ાં
29
379
1.
MJP INTERNATIONAL FUND LLC 0 23.334 23.334
WM RDT-DBI
R-CO
0 .564.327
2
564.327
2.
MANAGEMENT LIFE LTD
ASSET
ubs
C . 974
53
53.974
FUND HEDGED
INDEX
INTERNATIONAL EQUITY
АМР
0 - 338
781
8
781.33
FUND
INDEX
EQUITY
INTERNATIONAL
AMP
0 30.134 30.134
MACQUARIE WHOLESALE FUNDS 0 .182
348
348.182
RAFI DEVELOPED 1000 INDEX FUND
FTSE
085
0 97.199 97.199
EQUITY CLIMATE TRANSITION FUND
GLOBAL
San
0 195.000 195.000
- I'M LIMITED
SHL3EF
G 0
195.00
195.000
ГБ
LM
LEGACY
0 37.009 37.009
CLEAN EQUITY FUND
NXG GLOBAL
0 29.975 29.975
SOLUTIONSFUNDS TRUST
MILSHIRE
0 38.477 38.477
EQUITY FUND
CONCENTRATED
CAUSEMAY
0 б
L
6
L
CLEARING SVCS FBO CUST 320043
WEA WE
0 657.33 57.333
9
MASTER TRUST
SSSING
61.132
T
GLOBAL VALUE UCITS FUND
CAUSEWAY
0
G
61.132
05.013
205.013
MASTER TRUST
ROCKWELL AUTOMATION
1 8 50
709.
OIL INVESTMENT CORP ITD 0
0
860
967
09 -
26.
5
967
526.
TRUST FUND
TRUST COMPANY INTERNATIONAL EQUITY COMMON
DIVERSIFIED
54.800
NATIONAL BANK FINANCIAL INC 0 800
445.668
ਦੇ ਕੇ .
5 - 668
ರೆ ರೈ
EDN
MELLON
KING
RICHARD
0 556
0

L
ଚନରେ
128
FOUNDATION
NELLON
KING
RICHARD
5.619
ਤੇ ਤੋ
335.619
R K MELLON INTERNATIONAL FUND 498.717 498.717
FUND
BLAN
COMPANY CASH BALANCE
AND
FARGO
STIEN
0 ਦ ਦੇ ਤ
9.
ਕੇ ਨ
929.553
GAUSEWAY INTERNATIONAL OPPORTUNITIES 0 9.188
13
8
8
. 1
। ਤੇ ਰੋ
SIEMENS DIVERSIFIED GROWIH 0 6.913
59
566-913
EQUITIES
emu
SIEMENS
0 2.620.000 C
0
2.620.0
PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB
NON US EQUITY MANAGERS PORTFOLIO 1 ERISA
0 271-168 8
271.16
Pagina 67
Azionisti ਤੇ ਹੋ
Teste:
3.534

3.507

27 Azionisti in delega:

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. LISTA ESITO DELLE VOTAZIONE

FAVOREVOLI

Badge Ragione Sociale 0
Propri
Delega Totale
D
D
PUBLIC EMPLOYEES PENSION PLAN
VANGUARD GLOBAL EQUITY FUND
0 891.680
3 6 6
5.
1
5.891.680
.366.
T
**D EMPLOYEES PENSION PLAN
MUNICIPAL
રૂ દ
629
. 2
б
8
E
୧೭ ਕੇ
236
ਰੇ .
B
3
**D FUND
INTERNATIONAL VALUE
CAUSEWAY
00
ర్
9
8

2
C
900
- 486 -
32
**D GLOBAL VALUE FUND
CAUSEWAY
00
0
53
000
253.
**D FUND
OVERSEAS
રેર
04.4
. 1
S
104.466
5
**D ABSOLUTE RETURN
SIEMENS
. 151
9
151
6.
L
**D FINANCIAL DESIGNATED ACTIVITY CO
MBS
AXA
.000
0
D
- 4
2
- 400 - 000
**D SYSTEM
HEALTHCARE
OSE
0 8 4
S
б
ਰ I
284
ਰ -
ਰ I
**D THE
OF
SISTERS
THIRD ORDER ST FRANCIS EMPLOYEE PENSION PLAN 0 88
526.6
୧୫୫
526.
**D EMPLOY EES
POLICE
AND
FIRE
RETIREMENT SYSTEM OF THE CITY OF BALTIMORE ર ર
. દ
902
902.655
**D SUPPLEMENTAL RETIREMENT SYSTEM
TUCSON
0 ਹੋ ਕੇ
366.1
366.199
**D CAUSEWAY INTERNATIONAL VALUE EQUITY CIT 0 904 - 940
9.
904.940
ਰੇ
D
D
SIEMENS EUROINVEST AKTIEN
THE BANK OF AMERICA
0
0
8
8
б
. ୧3
20.4
065
1
2.
0
120.498
065.63
2.
**D INC 401 K SAVINGS PLAN
GROUP
FARMERS
PENSION PLAN FOR LEGACY COMPANIES C ಗ್ರಾ
.75
951
S
951.75
**D FUND
STOCK
WHEATON
0 . 698
183
8
183.69
**D TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT 0 .014
697
11.
697.014
I
T
**D SUBTIC ENDLOGEE SELLIGEMENT SYSTEM OF IDAHO 0 B
070.33
3.

070.33
3.
**D SIEMENS BALANCED 0 137.619 137.619
**D OF
BOARD OF PENSIONS
THE EVANGELICAL LUTHERAN CHURCH IN AMERICA 0 00

. ਤ
ਰੇ ਰੇ
8
32
ਰੇ ਹੋ -
D
D
CAMBRIA GLOBAL VALUE ETF 0
0
196.574
783.411
196.574
783.411
**D TRUS
TREE FUND A SERIES
FUND
INTERNATIONAL EQUITY
CHERRY
0 S
-51
010
1.
T
810.515
T
**D FUND
EQUITY
BRIDGE BUILDER INT
Q 632.010
33.
3.632.010
3
**D ETF
INTÉRNATIONAL
INSFIRE
0 .153
148
140.153
**D IV
TRUST
FUND
IIGHTS
NORTHERN
0 p
. 35
୧୦
60.354
**D EQ
PLAT ICAV-GR INV
QIAIF
DM2
0 b
158.19
158.194
**D l
FUND
INSTITUTIONAL
(LUX)
urss
CH)
(EX
EUROPE
EQUITIES
PASSIVE II 0 92
. 8
418
E

418.89
**D l
FUND
INSTITUTIONAL
(LUX)
ubs
CH)
(EX
EUROPE
EQUITIES
PASSIVE C S
- 4 ਰੋ
071
I
17
071.49
**D l
SICAV
KEY SELECTION
(LUX)
ubs
PTF
SYSTEMATIC ALLOCAT
EQUITY (USD) 0 43.726 43.726
**D MANAGEMENT (LUXEMBQURG)
FUND
ags
SA 0 .624
୧ ବ
5
t
569.624
**D 40 (EUR)
FONDS
MIGROS BANK (LUX)
0 0
. 45
21
0
4 5
21.
**D STRATEGY SICAV SAP DYNAMIC (USD)
(LUX)
nas
0 .872
25
25.872
**D 30
FONDS
BANK (LUX)
MIGROS
0 13.438 13.438
**D SICAV-SYSTEMATIC
STRATEGY
(LUX)
abs
ದ ಒ
ALLOCATION
l
DEFENSIVE (USD) 0 0
.22
। ব
14.220
**D SICAV-SYSTEMATIC
STRATEGY
(IUX)
UBS
DE
ALLOCATION
MEDIUM (USD) 0 8
.45
B
S
58.456
**D SICAV GLOBAL DEFENSIVE
EQUITY
UBS (LUX)
(USD) g .221
ರೆ ರೆ
44.221
D
D
FONDS INTERSTOCK
SICAV
STRATEGY
0
0
S
0
. 8 ব
20.00
21
0888
21.845
20.
**D MIGROS BANK (LUX) 0 б
**D 50
FONDS
1
MIGROS BANK (LUX)
UBS (LUX) SICAV
0 ਰੇ ਉ
23.00
50.
23.009
981
58.
**D MTAA SUPERANNUATION FUND 0 86.213

t
06.213
র্য
**D INVESTMENTS, MC LIMITED
MIC
0 289.090
2
-289,090
**D PENSIONSKASSE BASEL-STADT 0
51
24.
B
રા નવ
824 .
**D (SWITZERLAND)
FUND MANAGEMENT
પોકર્
AG . 0 .738.171
E
.738.171
**D (SWITZERLAND)
MANAGEMENT
FUND
ubs
OF
BEHALF
ON
AG
PROFOND GAVIA FUND-AKTIEN WELT 0 53.613
b
53-613
P
**D (SWITZERLAND)
MANAGEMENT
FUND
UBS
FAZY
OF
BEHALF
ON
AG
CLOBAL ASSET ALLOCATION - DEVELOPED WARKETS EQUITIES 0 B
08
64.
64.08
**D PENSIONSKASSE POST 0 0
06.78
3
L
-306.78
**D PCC
COMPASS OFFSHORE HTV
0 2
.268.37
3.268.372
Pagina 68
Azionisti: Teste:
3.534
ਤੇ ਰੇ
Azionisti in proprio: 27 Azionisti in delega: 3.507

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

093
353
851
00
5.186.139
341.976
. 458
27.628
026
160
510
011

339.498
ర్
பி
283.680
15.710
3 ਤੇ ਕ
200
572
. 922
1.453.062
5
N
870.272
541.372
31.154
513.413
947 - 196
193
85.313
969.180
3.229.544
508-620
334.128
277,730
26.592
497.417
4.242.831
Totale
S
135.632
505.939
48.343
338.432
5.144.928
607.254
109.572
676.967
163.108
579-30.
498.18
43.99
105.00
867.88
5
217.
923 .
83 .
6.
3.
6.
6.
97 .
352.
S
602
141
8
P

E
9
ರ್
-
2.
0 .
16
2
2
2
T
2
L
. 139
83.572
es a
026
8 93
510
6.353
00
76
11
ાં
105.005
0
43.160
97.851
497.417
62
0.182
6
0
217.334
26.592
4.242.831
141.450
947.196
967.6EE
15.710
870,272
541.372
48.343
080
334.128
277.730
22
513.413
9.305
ਕੇ ਤੇ ਰ
85-313
-229.544
508-620
31.154
5.144.928
பு
607.254
193
676.967
135.632
163.108
338.432
Delega
109.572
283.68
923.28
43.99
B
. 8
S
341.9
б
.453.0
. 8
527.
86.
રું છે.
505.
16.602.


વે ર

867
E
35
2
ਪ ਦੇ
L
.5


6
5.
2
L
2
2
2
E

L
0
T
0
0
0
0
0
0
0
0
Proprio
0
0
0
0
0
0
0
MONDRIAN FUNDS FUBLIC LIMITED COMPANY MONDRIAN FORDS PUBLIC LIMITED CONFPAY.
PLAN MASTER TRUST
TRUS
CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL
SE
O
EUROPE EX-UK FOCUSED VALUE
MULTI-FUND LLC-INTERNATIONAL VALUE INSTITUTIONAL
VALUE FUND DST A SERIES
SUB-ADVISED COLLECTIVE FUNDS
OF THE UNITED NATIONS
GANNETT RETIREMENT
FUND RENAISSANCE
GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP.
EMPLOYEES ` RETIREMENT ASSOCIATION
EUROPEAN FOCUSED VALUE
LP
TRUST
PLANS MASTER TRUST
FOCUSED FUND L.P.
FUND
OF THE HEBREW UNIVERSITY INC
NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST
COMPANY EMPLOYEE BENEFIT MASTER
EMPLOYEES RETIREMENT SYSTEM
RETIREMENT MASTER TRUST
L. P
EQUITY
SUPERANNUATION BOARD
OF WESTERN AUSTRALIA
RETIREMENT TRUST
OKLAHOMA
L. P.
EQUITY ESG FUND
TRUST
PENSION PROTECTION
EX-US
HEXAVEST EUROPAC FUND HEXAVEST INC
FUND
FUND
ТБ
FOCUSED
ORGANIZATION
MANAGEMENT LLC
MANAGEMENT LLC
VALUEQUEST PARTNERS LLC -GLOBAL
FÜND
FUND L.P
FUND
FUNDS PLC C/O SANNE
OF
CORPORATION RETIREMENT
RETIREMENT PLAN MASTER
RETIREMENT
EQUITY
EQUITY
GLOBAL VALUE FUND 2 DST
TRUST .
CPPIB GLOBAL OPPORTUNITIES LP
WORLD
TEXAS .
SYSTEM
CORPORATIONS LIMITED
USS COMMON CONTRACTUAL FUND
SCHEME
VALUE
COMPANY
l
ID AMERITRADE CLEARING INC
ESG
EX-US
PLC
LLC
FUND
UCITS PLATFORM PLC
MASTER TRUST
MASTER
GLOBAL EQUITY
INTERNATIONAL
COUNTRIES
INVESTMENT
INTERNATIONAL
INTERNATIONAL
OF
EQUITY
LIFE ASSURANCE
PENSION
FOCUSED
RETIREMENT
PARTNERS
EMPLOYEES
COMMISSION
AGRICULTURE
INTERNATIONAL
EMERSON ELECTRIC CO
PENSION
TRUST
ILLINOIS MUNICIPAL
FOUNDATION
PZENA VALUÉ TRUST
THE
AMERICAN FRIENDS
MATEO COUNTY
INVESTMENT
INVESTMENT
INC.
FOR
PUBLIC
HTV LLC.
GLOBAL
Ragione Sociale
LATVIJAS BANKA
NORTHERN
THE MOTOROLA
OF
ALL
PZENA GLOBAL
TRUST
QUEST
HALLIBURTON
CATERPILLAR
DAST SUSSEX
CATÉRPILLAR
VALUE
INC .
GOVERNMENT
IP
BOARD
,
INSURANCE
OKLAHOMA
FOOD AND
TEACHERS
MONDRIAN
MONDRIAN
MONDRIAN
MONDRIAN
CAUSEWAY
MONDRIAN
MONDRIAN
MONDRIAN
BAPTIST
MS FUND
GANNETT
COMPASS
DANAHER
ZURICH
ONE THE D
MASTER
PFIZER
PZENA
PZENA
VALUE
TRIUM
PZENA
PZENA
P2 ENA
THE
SAN
THE
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
D
* D
0
D
D
D
D
D
D
D
D
D
D
D
D
D
**D
Badge
Pagina 69

39
3.507

3.534 Teste:

Azionisti in proprio:

Azionisti:

10 maggio 2023 15.23.46

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacele di revisione. FAVOREVOLI LISTA ESITO DELLE VOTAZIONE

Badge Ragione Sociale Proprio Delega Totale
**D HEXAVEST ACWI FUND
D
D
L'UNIVE MAISON OMER-GINGRAS
DE
REGIMES DE RETRAITE
DESJARDINS GLOBAL ASSET MANAGEMENT INC.
PLACEMENT DES
DE
FONDS COMMUN
0
0
.514
284
L
6
P
514
8 4
I
**D ELAN
PENSION
CIVIC EMPLOYEES'
THE WINNIPEG
0 174.417 174.417

б
p
**D FUND
EQUITY
INFRASTRÜCTURE
LETKO BROSSEAU
38.750 38.750
**D ENDEAVOUR II FUND.
THE
0 1.154
21.154
**D INSTITUTIONAL SICAV
ubs (Lux)
0 34-300 34.300
D
D
ET
EUROAGENTES UNIVERSAL
5TD
QE/IT MKT AIF
0 498.476
18.000
498.476
18.000
**D UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF 7.967 7.967
**D CHINA
OF
BANK
PEOPIE . 5
-422-717
2.422.717
**D PENSION PLAN
CANADA
BMO
0 85
б
119.
1
119-985
1.
**D FUND SOLUTIONS
LUX
UBS
0 909.048
6.
909-048
6.
**D INVESTMENT FUNDS 1
M&G (LUX)
0 921.680
20.
20.921.680
D
D
FUND
WORLD EQUITY
MONDRIAN GLOBAL ALL COUNTRIES
FUNDS
FORLD
AXA
0
0
525
621
236.
383.
383.525
236.621
**D FUNDS
INVESTMENT
MES
0 5.067 5.067
**D SECURITE FINANCIERE COMPAGNIE D'ASSURANCE VIÉ
DESJARDINS
0 0-828
5
50.828
**D TRUST - SA INTERNATIONAL INDEX PORTFOLIO
SERIES
SUNAMERICA
0 366.601 366.601
**D TEMPLETON FOREIGN VALUE PORTFOLIO
SA
TRUST
SERIES
SUNAMERICA
0 1.295.711 .295.711
D
D
FUND IP
EQUIII
CIS GLOBAL
0
0
595
57
57.595
**D TRUST
OPPORTUNITIES GROUP
FUND
CONTRACTUAL
INTERNATIONAL
COMMON
MERCER QIF
CAUSEWAY
0 . 432
255.611
8 98
P
.255.611
898.432
ਪਾ
**D SYSTEM
CONSOLIDATED RETIREMENT
TENNESSEE
0 un
461.75
8
m
.461.75
8
**D (ENGLISH)
UCITS ETF
ESG
500
SEP
l
ETE PIC
UBS (IRL)
0 .318
160
160.318
2
**D EUND
EQUITY
INTERNATIONAL
BEACÓN
AMERICAN
0 778.012
l
.778.012
T
**D REGIME DE RENTES DU MOUVEMENT DESJARDINS 0 9.515 9.515
**D DIVERSIFIED GROW
ALLOCATION
ASSET
PUTNAM
SA
TRUST
SERIES
SEASONS
0 45.639 45.639
D
D
PORTFOLIO
BALANCED
FUND
DIVERSIFIED
VALUE SELECT
JPM
SA
JNL/CAUSEWAY INTERNATIONAL
TRUST
SERIES
SUNAMERICA
0
0
17.160
.380.073
0
.380.873
। ਦ
17.
8
**D EQUITY PORTF
INTERNATIONAL
MULTI-MANAGED
SA
TRUST
SERIES
SEASONS
0 52.070 070
52 -
**D SA BLACKROCK VCP GLOBAL MULTI ASSET PORT
SERIES TRUST
SUNAMERICA
0 9
106.77
106.776
**D SERIES TRUST- SA SCHRODERS VCP GLOBAL ALLOCATION PORT
SUNAMERICA
0 4.921 4.921
**D FUND
VALUE
LVIP MONDRIAN INTERNATIONAL
0 5.636.040 5.636.040
**D TRUST
SANJAY GHEMAWAT LIVING
0 962
43.
43.962
**D ESTABL INVEST FUNDS EMPLOYEE BEN TR
TRUST
WELLS FARGO BK DECL OF
0 361.309 361.309
D
D
FUND
INT
SQUARE TRUST II STRATEGIC ADVISERS
ANNUITY INSURANCE COMPANY
FIDELITY RUTLAND
EMPOWER
0 631.257
126.82
S
126.829
257
631.
S
**D PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST
INTERNATIONAL
0 1-117.520 1.117.520
**D BLC
sr 3
LSAM
0 878.681 878.681
**D SASKATCHEMAN HEALTHCARE EMPLOYEES. FENSION PLAN 0 385
737
T
38 ਦ
.737.
T
**D II - GOLDMAN SACHS MULTI-MANAGER ALTERNATIVE
GOLDMAN SACHS TRUST
0 81.791
281.791
D
D
SAVINGS TRUST
DIVIDEND FUND
EMPLOYMENT
DESJARDINS GLOBAL
NATIONAL
0
0
ਦੇ 63
62
8
. 183.
50
যা
862
.183.563
50.
**D TAMES. STACE GIOBALVATUE UNIT TRUST
NATWEST
0 67
ഗു
7.961.
L
17.961.567
**D (CH) STRATEGY FUND - GLOBAL EQUITY CHF
OF AKA
MANAGERS SCHWEIZAG ON BEHALF
INVESTMENT
ST
AXA
0 24 - 761 24.761
**D ILINOIS
OF
RETIREMENT SYSTEM OF THE STATE
TEACHERS.
D ਤੋਂ ਦੇ ਦ
.707
356
.707.
m
**D SERIES
MPS VARIABLE INSURANCE TRUST MFS UTILITIES
240
633
చా
.633.240
ਕਾ
**D EQUITY FUND
SACHS TRUST II MULTIMANAGER INTERNATIONAL
GOLDMAN
ea
. б
1.820
60
g
1.820.
**D CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS
GENERAL
31
B
217.
217.831
Pagina 70
Azıonıştı: ਤੇ ਕੇ
Teste:
3.534
Azionisti in proprio: 3.507
Azionisti in delega:
27

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. FAVOREVOLI

Badge
**D
PACE INTERNATIONAL EQUITY INVESTMENTS
Ragione Sociale
Proprio 1.594.137
0
1
Delega
.594.137
Totale
**D REAL ASSET FUND
HARTFORD
0 984-834 984 - 834
**D TRUST
AIRLINES INC MASTER FIXED BENEFIT PENSION
AMERICAN
.775.20
L
0
1
S
.775-205
**D SAVINGS TRUST
EMPLOYMENT
NATIONAL
1.295.640
g
1.295.640
**D PENSION SCHEME
SUN CHEMICAL LIMITED
0 8
53.05
8
53.05
D
D
FUND
(1) = M+G GLOBAL THEMES
FUNDS
INVESTMENT
M+G

0
0
b
506.665
506-665
**D INFRASTRUCTURE FUND
TRACKER FUND
LISTED
INDEX
EUROPEAN
GLOBAL
હિ
હિંદ
(10)
(1)
FUNDS
FUNDS
MG INVESTMENT
INVESTMENT
MG
4 .
0
531.636
112.838
838
4.531.636
112.
**D FOR DEFINED BENEFIT PLANS
TRUST
GROUP
CAPITAL
HARBOR
23.508 500
23.
**D ETF ICAV
AXA IM
726.752 726.752
**D INTERNATIONAL PASTORAL INVESTMENT TRUST
OBLATE
12.974 12.974
6926 FRANCESCO
DRIGO
DE+ ASSICURAZIONI SPA
ALLEANZA
5.227.000 5.227.000
DE* E
Y REASEG PENSION
S.A. DE SEGUROS
ES PANA
GENERALI
196.151 151
196-
DE* REASEGUROS
DE SEGUROS Y
SA
ESPANA
GENERALI
933 ਰ 33
DE * SPA
ITALIA
GENERALI
1.836.275 275
1.836.
DE* GENERTELLIFE SPA 1.252.265 ട് ട

1.252.
DE * GF A CARAIBES 23-858 858
23.
DE* L EQUITE ASSURANCES ET DE REA. 57 . 752 57.752
DE* SOCIETA CATTOLICA DI ASSICURAZIONE SPA 814.000 000
014.
6933 BARBARA MARIA ANITA
MAZZOTTI
589

ਰੇ ਰੇ
0 589
92
б
ਦਰੇਤਕ FORLANI MATTEC 1. 00 0
1 -
ਦ ਕੇ 8 DELLA VĚDOVA GABRIELE 00 300.000
DE* S.R.L.
ESSECIEFFE INVESTMENT
2.70 0 2.700
300.000
6966
7024
GENOVESE STEFANO
VIGNOLI CLAUDIO
0 0 0
DE* S.P.A.
ASSICURAZIONI
ARCA
0 260.000 260.000
DE* ARCA VITA S.P.A. ટ 3
0
000 53-000
DE* S.P.A.
ASSICURATRICE LINEAR
COMPAGNIA
0 281.000 00
281.0
DE * GRUPPO S.P.A.
ONIPOL
500.000 000
500.
DE* UNIPOL INVESTMENT S.P.A. 1.390.000 000
.390.
DE* 5.P.A.
UNIPOLSAI ASSICURAZIONI
4.760.380
0
4.760.300
DE* S.P.A.
UNI SALUTE
275.000 275.000
7248 MEGGIOLARO MAURO D
DE* FONDAZIONE FINANZA ETICA 0 250 250
7280 MAURO
TABELLINI
2.237.161
0
2.237.161
DE * A
ב
FINANZIARIA CERAMICA CASTELLARANO S
1.125.711
0
1.125.711
DE* GRANITIFIANDRE SOCIETA' PER AZIONI 3.167.161
0
3.167.161
DE* IRIS CERAMICA GROUP SOCIETA, PER AZIONI 6.523.920
0
6-523.920
7317 DI STEFANO STEFANO 0
DE* DELLE FINANZE
E
DELL `ECONOMIA
MINISTERO
2.397.856.331
0 -
2.397.856.331
7352 DEMETRIC
RODINO,
0
7437 LO GIUDICE ENRICO 0
0
21.290.623
DE * FUND LTD
ENHANCED MASTER
CAPITAL
COVALIS
21.290.623
0
б
DE
DE
SPC
STRATEGIC OPPORTUNITIES MASTER FUND
MASTER FUND LTD
CAPITAL
CAPITAL
COVALIS
COVALIS
29.206.10
6.094.95
0
0 29.206.109
6.094.950
DE* TD
TACTICAL OPPORTUNITIES MASTER FUND L
CAPITAL
COVALIS
20.324
0
2
. 314
0.324.314
7673 FABRIZIO
AROSSA
0
DE * LTD
COVALIS CAPITIAL TACTICAL OPPORTUNITIES MASTER FUND
654.362 654.362
7 ୧୫ 3 TIBERTI SERGIO 0 0 0
Pagına 71
Azionisti: Teste:
3.534
ਤੇ ਰੇ
Azionisti in proprio: Azionisti in delega:
27
3.507

LISTA ESITO DELLE VOTAZIONE

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione.

Totale
1.260

FAVOREVOLI
Badge
RL*
Ragione Sociale S.M.A. SERVIZI MEDICI AZIENDALISISTEMI SANITARI Ş.R.L. Proprio
1.260
Delega
Totale voti 6.553.085.686
Percentuale votanti % વેવે રેક્ટર્ડર 1
Percentuale Capitale % 64.456496

Azionisti in proprio: Azionisti:

Pagina 72

3.507

3.534 Teste:

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. CONTRARI

The Start of the R. aller and Parks Market States of the pro-
Badge
7660
PINTORE SEBASTIANO
Ragione Sociale
Propilo De Tega lotale
4.645
Percentuale Capitale %
Percentuale votanti %
Totale voti
0.000046
0.000071
4.645

Pagina 73

l Azionisti in delega:

Teste:

EMARKET
SDIR certified

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE

Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. ASTENUTI

993.869
2-000-000
23.597.143
TEACHERS. RETIREMENT SYSTEM OF THE CITY OF NEW YORK
HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND
CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY
CITY OF NEW YORK GROUP TRUST
TREVISAN DARIO
ROSICA MASSIMO
୧୫୧୬
6427
D
D
**D
2.000.000
23.597.143
456
993.869
26.593.668
0,261577
0.404178
Percentuale Capitale %
Percentuale votanti %
Totale voti
**D

Teste:
Azionisti in delega:

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

LISTA ESITO DELLE VOTAZIONE Ogetto: Bilancio di esercizio al 31 dicembre 2022. Relazio di Amministrazione, del Collegio Sindage e della Società di revisione. NON VOTANTI E PERTANTO ESCILISIDAL QUORUM DELIBERATIVO
----------------------------- ----------------------------------------------------------------------------------------------------------------------------------- --------------------------------------------------------
Badge
6421
Ragione Sociale
TREVISAN DARIO
Proprio
0
Delega
0
Totale
0
**D SICAV
MEDIOBANCA
0 .000
334
334.000
D
D
FONDO PENSIONE NAZIONALE PER IL PERSONALE DELLE BANCHE DI CREDITO COOPERATIVO CASSE RURALI ED ARTIGLAND
EUROPEAN EQUITY
- MEDIOBANCA ESG
SGR
MEDIOBANCA
0
O
335
450-300
8
335
450.300
B
**D INDEX
CAP
EUROPEAN EQUITY LARGE
EPSILON
l
ട്ടേജ
EPSILON
0 27.145 27.145
**D QVALUE
EPSILON
l
SGR
EPSILON
0 11.421 11.421
D
D
DLONGRUN
ORETURN
EPSILON
EPSILON
-
-
SGR
SGR
EPSILON
EPSILON
0
0
. 999
69.838
L
69.938
1.999
**D QEQUITY
EPSILON
l
SGR
EPSILON
0 0-058
L
10.058
**D EURING TOUCH SER - EURISONGLOBALDIAIDENDESCROTACTIOS OS S 0 576.809 576.809
**D 2027
EURIZON STEP 70 PIR ITALIA GIUGNO
EURIZONCAPITALSGR-
0 70.000 70.000
D
D
u)
EURIZONCAPITALSGR-EURIZONGLOBALDIVIDENDESG50-OTTOBRE202
FLEXIBLE TRILOGY
ਬੱਲੇ
EÜRIZON
-
ട്ടു
CAPITAL
EURIZON
0
0
30.719
607.311
30-719
607.311
**D 0

MULTIASSET
GLOBAL
АМ
EURIZON
l
ട്ടേജ
CAPITAL
EURIZON
0 13.722 13.722
** D I
1
MULTIASSET
GLOBAL
AM
EURIZON
ડેઉં ર
CAPITAL
EURIZON
0 7.941 7.941
**D CONTROLLO
OBIETTIVO
ਬਮ
EÜRIZON
-
SGR
CAPITAL
EURIZON
0 .001
12
12.001
D
D
EURIZONCAPITALSGR-EURIZONTHEMATICOPPORTUNITIESESG5007/2026
STABILITA
OBIETTIVO
ਬਜ
EURIZON
-
SGR
CAPITAL
EURIZON
0
0
54-222
3.803
3.803
54-222
**D 27
EURIZONCAPITALSER-EURIZONSTEP500BIETTIVONETSERO12/20
0 13.934 13.934
**D MEGATREND
TR
જીન
EURI ZON
l
ട്ടേജ
CAPITAL
EURI ZON
0 202.957 202.957
**D ı il
EURIZON AM TR MEGATREND
l
SGR
CAPITAL
EURISON
0 33.043 33-043
D
D
EURIZONCAPITALSGR-EURIZONTOPSELECTIONEQUILIBRIOMAGGIO2025
DIVIDEND
EURIZON GLOBAL
l
ട്ടിറ്റ്
CAPITAL
EURISON
0
0
b
63.651
ਰੇ
2
8
63.651
ਣ ਰੋ
**D 025
EURIZONCAPITALSGR-EURIZONGLOBALDIVIDENDESG50-MAGGIO2
0 95.604 95.60 d
**D ITALIA AZIONI
51K
EURI ZON
-
કલાર
CAPITAL
EURI ZON
G 446.690 446.690
**D EÜROPA
AZIONI
EURIZON
l
SGR
CAPITAL
EURIZON
C 98.216
-
98.216
ﻟﺴ
**D ITALIA
AZIONI
EURIZON
-
SGR
CAPITAL
EURIZON
0 571.433
B
571.433
8.
**D INTERNAZIONALI
AZIONI
EURIZON
-
SGR
CAPITAL
EURIZON
0 617.103 617-103
**D RENDITA
EURIZON
-
SGR
CAPITAL
EURIZON
0 25.924 ਕੇ 2 ਪੈ
25.
**D - EURILON AZIONARIO INTERNAZIONALE ETICO
ട്ടു
CAPITAL
EURIZON
0 425.000 425.000
D
D
ITALIA
EURO
AREA
PMI
AZIONI
AZIONI
EURIZON
EURIZON
l
l
ട്ടു
SGR
CAPITAL
CAPITAL
EURIZON
EURIZON
0
0
778.640
0
60.00
0
778.640
00
୧୦.
**D EURIZONCAPITALSGR-EURIZONTOPSELECTIONCRESCITADICEMBRE2023 0 408 8
40
**D -EURIZONTOPSELECTIONEQUILIBRIONAR202024
ÉURI ŽONCAPITALSGR
0 a 1 911
**D 24
EUR 120NCAPITALSGR-EURI 20NTOPSELECTIONCRESCITAMAR 2020
0 931 ਰੇਤੇ ਹ
**D TRENDDICEMBRE2022
-EURIZONMÜLTIASSET
SGR
EURIZONCAPITAL
0 .261
t
1.261
**D -EURISONTORSELECTIONECUIIIBRIOMAGGIO2024
EURIZONCAPITALSGR
0 782 782
D
D
-EURIZONTOPSELECTIONEQUILIBRIOGIUGNO2024
24
EURICONCAPITALSGR-EURIZONTOPSELECTIONEQUILIBRI009/20
EURIZONCAPITALSGR
0
0
ਦੇ ਹੋ ਤੇ
б
-28
T
T
1.543
1.289
**D -EURIZONTOPSELECTIONEQUILIBRI012/2024
EURIZONCAPITALSGR
0 .133
11
1.133
**D S
EURIZONTOPSELECTIONEQUILIBRIOMARZO202
EURIZONCAPITALSGR
g 1.540 1.540
**D 70
ITALIA
PROGETTO
EURI ZON
l
SGR
CAPITAL
EURIZON
g ਰੇ ਕੇ ਕੋ
98 -
ਬੈ
2
. 498 . 949
**D 40
ITALIA
EURIZON PROGETTO
l
SGR
CAPITAL
EURIZON
0 ୧୫
144.
144.685
**D 2020
-EURIZONSTEP500BIETTIVONET2ER003/
EURIZONCAPITAL5GR
0 426
24.
24.426
D
D
RESEARCH
EUROPEAN
TOP
l
-
FUND
EURIZON
0
0
222.022
5
5.222.022
**D ENHANCED CONSTANT RISK CONTRIB
-
FUND
FUND
EPSILON
0 631
350.000
32.
2
. 631
32
**D ITALIAN EQUITY OPPORTUNITIES
EUROPEAN Q-EQUITY
-
FUND
EURIZON
EPSITON
733
6.
I
ನ್
.350.000
416.733
2
** Q-FLEXIBLE
l
FUND
EPSILON
205
10.

.205
.110
**D EQUITY EUROPE LTE
-
FUND
EURIZON
રે વ
2
630.
.254
630
Pagina 75
Azionisti: Teste:
75
Azionisti in proprio: 1
Azionisti in delega:
0
S

10 maggio 2023 15.23.46

Assemblea Ordinaria del 10 maggio 2023

Oggetto: Bilancio di esercizio al 31 dicembre 2022. Relazioni del Co
LISTA ESITO DELLE VOTAZIÓNE

Relazioni del Consiglio di Amministrazione, del Collegio Sindacale e della Società di revisione. NON VOTANTI E, PERTANTO ESCLUSI DAL QUORUM DELIBERATIVO

Badge Sociale
Ragione
**D EURO LTE
FUND - EQUITY
EURIZON
Proprio Delega Totale
0 5
341.15
S
341-15
**D ITALY SMART VOLATILITY
EQUITY
l
FUND
EURIZON
C 0
0

729.
0
729.58
**D ALLOCATION
ACTIVE
l
FUND
EURIZON
0
0
800.0
1.
800.000
1.
**D STRATEGIA MEGATREND
l
NEXT
EURIZON
m
967.59
67.593
6
**D ESG ITE
EUROPE
EQUITY
l
FUND
EURIZON
8
417.64
B
417.64
**D I TEE
ESG LEADERS
EX-EUROPE
WORLD
EQUITY
l
EUND
EURIZON
0
9
94.1
0
94.16
**D PEOPLE
EQUITY
l
EUF
047.227
2 -
2.047.227
**D STRATEGIA AZIONARIA DINAMICA
l
ENEXT
43.793
43.79
**D -MONTECUCC. DIVERSIFIEDMULTI-ASSETFUND-SLEEVEIMAMUNDI
ISESIF
0
31.73
31.730
**D DIVIDEND
EQUITY HIGH
EUF -
438.624 p
438.62
**D ITALIAN EQUITY
l
SICAV
ਉਜ
EURIZON
0 1.400.000 1.400.000
**D LOW CARBON EURO
l
SICAV
AM
EURIZON
б
ਦ ਭੇ
285.
б
285.59
**D OBIETTIVO CONTROLLO
l
SICAV
АМ
EURIZON
S
55.99
u
55.99
**D EQUILIBRIO
OBIETTIVO
l
SICAV
AM
EURIZON
G p
111.15
111-154
**D STABILITA
OBIETIIVO
l
SICAV
દાન
EURIZON
6.652
6.65:
**D SVILUPPO
OBIETTIVO
l
SICAV
AM
EURIZON
8
57
8
.578
B
**D EUROPEAN EQUITY
l
SICAV
AM
EURIZON
g S
24.42
S
24.42
**D DYNAMIC ALLOCATION
GLOBAL
l
SICAV
AM
EURIZON
201.501 201.501
**D EQUITY
GLOBAL
l
SICAV
АМ
EURT ZON
40.801 40.801
**D 15
MULTIASSET
GLOBAL
l
SICAV
AM
EURIZON
5
B
43 - 2
n
43.28
* * D 30
MULTIASSET
GLOBAL
l
SICAV
AM
EURIZON
62
48.5
48.562
**D EURIZONINVESTMENTSICAV-EUROPEEQUITY NSURANCECAPITALLIGHT 73.172 73.172
**D OVERLAY
RISK
MULTIASSET
l
SICAV
INVESTMENT
EURIZON
97
67.8
1
67.89
**D OVERLAY MODERATO
RISK
MÜLTIASS
l
SICAV
INVESTMENT
EURIZON
7.174 7.174
**D EIS - DONATELLO 2 35.000 35.000
**D A2 IMUT
SLEEVE IN
l
DIVERSIFIED ALLOCATION FUND 4
l
ISFSIF
17.165 17.165
Totale voti 38.400,290
Percentuale votanti % 0 583619
Percentuale Capitale % 0,377707

Pagina 76

ಗಳು

75

Azionisti in proprio: Azionisti:

EMARKET
SDIR
CERTIFIED
ATLANTE - CERASI
STUDIO NOTARILE ASSOCIATO
AUTENTICA NOTARILE DI DICHIARAZIONE RESA AI SENSI DELL'ART.
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.
None of the
. -
156 P.le di Porta Pia, 121
00198 Roma

Tel. 44250157 Fax 44250130

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