Declaration of Voting Results & Voting Rights Announcements • Jun 6, 2023
Declaration of Voting Results & Voting Rights Announcements
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10 maggio 2023 15.23.46
ENEL S.p.A.
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.
| % 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 ન |
||
| 6091 | COLLEONI ANGELO | .115 ഗ |
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 | ರ 0 00 00 .417. ન 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 ਟ |
||
| 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
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 ー 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
| 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 ﺎ |
||
| **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. ದ |
.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 ਖ |
. 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 ਟ |
0.000 ਟ |
||
| **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
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. ਟ |
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 ਟ |
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 |
ನ 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 ਟ |
||||
| **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 ಷ |
||||
| **D | INVESTMENT STANLEY MORGAN |
FUNDS | 64.094 | 0 9 4 64 . |
||||
| **D | PENSIOENFORDS STICHTING |
HUISARTSEN VOOR |
0 | 900.264 | 264 00. ర |
|||
| **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 ਟ |
780 .676. ਟ |
||||
| **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. ไ |
||||
| **D | COMMINGLED | PENSION TRUST FUND (EAFE EQUITY INDEX) | OF | JP MORGAN CHASE BANK, N.A. | 159.177 বা |
177 .159. ৮ |
||
| **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
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 |
ರ 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 പ ਟ 2 |
2.165.457 | |
| **D | VERDI PAPIRFONDET | EQUINOR AKSJER EUROPA | 0 | 284.000 5 |
0 25.55 |
|
| **D | FORD PENSION UNIVERSAL | 0 | 8.246 ਟ |
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 ਟ |
|
| **D | VANTAGETRUST III MASTER COLLECTIVE | TRUST INVESTMENT FUNDS |
0 | 81 | 35.477 | |
| **D | FLEXSHARES STOXX GLOBAL ESG SELECT | INDEX FUND | . 509 ਸ |
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 ਟ |
|
| **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 ट |
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. ഹ 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. ਟ |
|
| **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 ല |
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

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 ਟ |
||
| **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 | க 6.29 |
б 6.29 |
||
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERAMMUATION FUND | 0 | 279.891 9. |
ﺎ -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 | ರ 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
| 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 ব |
|
| **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. ਟ |
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. |
ర 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
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 | ర 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 ದ |
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 ਟ |
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 ਟ |
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 |
ರ 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 | ದ 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 ਟ |
|
| **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
.
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 క |
308.130 | ||||
| **D | FUND PASSIVE WORLD NORDEA |
ਦੇ ਕ ﺎ 54. T |
164 54 - ﺎ |
|||||
| 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 ไ |
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 ಕ |
|||
| * * D | EIDELITY INVESTMENT FUNDS | l | DIVIDEND TRUST GLOBAL FIDELLAY |
FUND | 0 0 |
457 00 ਤੋਂ ਤੋਂ Ө 17 0 |
457 ਤੇ ਤੇ 8 7 ﺎ |
|
| **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 ക |
||
| **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 |
ದ ર ર 80 |
553 80 - |
|||||
| **D | AMF AKTIEFOND EUROPA | o o | 9 50.45 ਉ ਟ |
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 ਧ ไ |
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. ਟ |
.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 ટ |
ന 94.68 E C |
||||
| **D | SECULAIRE LE |
0 | 0 15 ਟ |
150 2 |
||||
| **D | LA FRANCAISE GREEN TECH EUROPE | 0 | 242 9. 0 2 |
. 242 ਹੈ ਕੇ ਟ |
||||
| **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
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 ঠ |
-798-324 ਨ |
| **D | PRAXIS INTERNATIONAL INDEX FUND | 0 | 194 63. |
63.194 |
| **D | JANUS HENDERSON GLOBAL EQUITY INCOME FUND | 0 | . 495.672 ไ |
95.672 P ﺎ |
| **D | MEAG PREMIUM | 0 | - 460 ao i ਨ |
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. โ |
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 ഹ 3 d ਟ |
. 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 ਟ |
. 693.900 S |
| **D | BANCOPOSTA AZIONARIO EURO | 615 .763 . ไ |
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 ไ t |
. 401 11 |
| **D | HENDERSON HORIZON EUROLAND FUND | 0 | 218.175 ਟ |
.175 218 ਟ |
| **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 ट 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 ഹ 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. ਟ |
26.000 | ||
| **D | MÉAG EUROBALANCE | 0 | 023 0. ತ 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 ਟ |
|
| **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. こ |
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. ப |
33.045 | |
| **D | FIDELITY SICAV EUROPE | 0 | 97 8.0 . 13 € |
3.138.097 | ||
| **D | STANDARD SICAV I ABERDEEN |
0 | . 442 2 |
. 442 ১ |
||
| **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 ﺎ |
904 . 499 T |
|
| **D | ANIMA | II 2025 PICPAC ESALOGO BILANCIATO |
585 б L |
85 ਰੇ - 5 L |
||
| **D | ANIMA | ESAGONO AZIONARIO GLOBALE | 67 ਟ రు વી ટ |
୧7 . 2 б S P |
||
| **D | MAGELLANO ANIMA |
0 | 295.232 | .232 ഗ 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
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 ਟ 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 ১ |
|
| **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 ਟ |
|
| **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. ਟ |
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 . ਪ |
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 ไ |
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 ప ഗ 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
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 ਟ |
825.000 ਟ |
|||
| **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. ໄ |
106.075 રું. |
|||
| **D | CM-AM ALIZES | DYNAMIQUE | 549 ର ୧ . N |
266.549 | |||
| **D | SA ACM IARD |
ਹੇ ਹ ന 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. ट |
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 ਟ |
26.873 |
| **D | FUND MULTI-STRATEGY ASSETS REAL STEERS ക 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 ไ |
|
| **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 | ﺎ TRUST GLOBAL DIVIDEND POOL INTERNATIONAL INSTITUTIONAL FIDERITY FONDS - SEI |
0 | 24.450.000 | 24.450.000 |
| **D | EQUITY INTERNATIONAL |
0 | ਟ ਕੋ ப 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 ಕ |
| **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 ਟ |
.491.824 ਟ |
| **D | CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD COMMON INVESTMENTS VANGUARD |
0 | 992 68. ไ |
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 . ਟ |
-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 ਟ |
| **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 ഗ |
|
| **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 ਟ |
|
| **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 ಳ |
| **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


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 . ഹ |
.337 1.830.313 993 03 4 574,195 338.338 752.997 330.765 139.482 83. ਕ 0 ਰ 82 S ਟ |
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 ਟ |
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

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 은 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 โ |
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 ம |
| **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 ਟ |
.349.139 ਟ |
|
| **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 ব 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 ਨ |
| **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 ਟ |
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 క |
-245-426 ದ |
| **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. ਟ |
58.716 ਟ |
|
| **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
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. ਟ |
.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 ਟ . O ব |
. 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 ไ 3. ﺎ |
.175.645 ਤੇ ﺎ |
|
| **D | JPMCBNA | 0 | 291 13. |
13.291 | ||
| **D | INTERNATIONAL CAPITAL |
FUND | 0 | 00 € б ഗ |
59.006 | |
| **D | PENSIONS ಳ LIFE AVIVA |
DAC IRELAND |
0 | 752 80. 2 - ব |
.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 ไ |
| **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 ਟ |
. 662 715-882 ਟ |
||
| **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 క 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
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 য |
- 527 ਸ |
||
| **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 | ರ ర 64.50 |
б 6 64.50 |
|||
| **D | EX-U.S. MSCI ACWI |
B2 IMI INDEX FUND |
409.83 | 09.83 য |
||
| **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 | ಗ . 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 ന |
|
| **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 റ |
5.931 | ||
| **D | BNP PARIBAS EASY - ECPI GLOBAL ESG INFRASTRUCTURE | 0 | 488.547 | 88.547 ব |
||
| **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 ਚ |
85.141 ಳ |
|
| **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 | ਟ 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
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 ന |
.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 ല |
||
| **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 โ |
||
| **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

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 ਟ |
|
| **D | JNL/BLACKROCK GLOBAL | ALLOCATION FUND | 0 | ਟ 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 ਟ |
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 ไ |
||
| **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 | ర 03 151. |
51-039 T |
||
| **D | CDN BLACKROCK |
FUND INDEX EX-CANADA ACWI MSCI |
ਰੇ 1 ਦ 52 - ਟ |
ਰ ਹੈ ਦ 52 - ਟ |
||
| **D | MSCI EQUITY INDEX | B - ITALY (MSITE) FUND |
0 | ਨ 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 | ర 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 ﻢ ਟ |
.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 ਨ |
137 8 - 26.59 |
|||
| **D | CREDIT CSIF12 |
BALANCED CHF FUND PORTFOLIO אנדו SUISSE |
880 0 โ |
00 8 0. โ |
||
| **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
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 ব |
.512 Totale ব |
|
| **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 ໄ |
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 ไ |
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 ਟ 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
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 ਟ |
18.144 . ব ਟ |
|
| **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 ਟ |
|
| **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 ไ |
15.891 | |
| **D | FUTURELEGACY MELLON BNY |
FUND ঘ |
0 | 23-836 | 23.836 | |
| **D | FUTURELEGACY MELLON BNY |
FUND ഹ |
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 ഗ 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
FAVOREVOLI
| .155 33.303 ದ 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 ไ B 9 ﺎ - ไ ਟ 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 ไ L 0 E E T ਨ 1 L b 70 9 T ા B ਟ 1 T 2 0 0 0 0 0 0 0 0 0 ර 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


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 ഹ |
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 ರ 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 ﺎ |
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 ರ 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 ਟ |
e 1 3 51. ਟ |
||
| **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

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 .370 843 B б 9 72 b বা 12 ਰੇ દ 250 12 ਰ ਖੋ .039 P 9 ਟ 8 8 ୧୦ .02 I ﺎ T ਟ 5 8 L ไ P 4 . 0 રે ર l 9 T t б S T T 1 ไ ਟ ไ . 208 216 . 077 ા રેણવાડી તેમ જ દિવસ તાલુકામાં આવેલું એક ગામનાં મુખ્યત્વે આવેલું એક ગામનાં મુખ્યત્વે આવેલું એક ગામનાં મુખ્યત્વે આવેલું એક ગામનાં લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ રે રે S S eat 0 ല് 6 p 27.160 598 ਕੇ ਦੇ ਹ 368 ਦ ਤੋ 463 00 g 14 026.617 б ದ ದ 8 103 44.190 967 9 S 62.040 05.251 99.000 31.094 72.215 u 0 9 63.047 - 364 000 ୧୧ 92 334 0 12 611 8 . 08 . 66 . 98 146.12 27.43 716.61 71 ਹੋ ਤੋ ਰੇ I 5 ਹੋ ਹ 97 ਰੇ 2 8 ਰੇ 4.181-23 . 4 8 ਟ ದ б . I ਟ S 9.1 12.0 314 - 26. 570 - ୧୧. 526. 27. 250. 9. 2. ਤੇ ਦੇ ਤੇ 13. II ર્ભ 16 ર વ 9 б 024 9 232 E ರಿ 25 51 8 4 .370 ნ E 24 6 T a 8 . 60 8 4 41 21 L 03 T 9 9 ದ 1 € E 8 I L ਟ б P 1. б 10 9 5 ไ 10 L 1 C T ﺎ ਟ S 0 C 0 0 0 0 0 C 0 0 0 0 0 D 0 0 0 0 0 0 0 0 C 0 l 0 0 A ASSET CB RASTRUCTURE QUALIFIED INVESTORS PRIVATE PLACEMENT SPECIAL CPUC DECOMMISSIONING MASTER TRUST FOR ACCOUNT OF ZFO AKTIEN EUROPA DPCTA MASTERFONDS PRUDENTIAL GROWIH ALLOCATION PORTFOLIO QUALIFIED 50 50 BALANCED PORTFOLIO GRID INFRASTRUCTURE IND GLOBAL INFRASTRUCTURE UTILITIES DIVID SASIS EQUITY FUND PORT TAKTISK ALLOKERING PORTFOLIO INC AKTIER FLEXIBLE MANAGED GLOBAL FUNDS PIC BNY MELLON GLOBAL EQUITY FOND FACILITIES INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING MARTIN CORPORATION MASTER RETIREMENT TRUST TRUSTEE OF HANA ALTERNATIVE OF I GESELLSCHAFT MBH ON BEHALF EQUITY III GLOBALE EQUITIES GROWTH FUND AP 7 PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX S ETF ETF THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST INVEST GLOBALE AKTIER UK COMPANY NUCLEAR FUND U MARKETS UCITS INTERNATIONAL ADVANCED SERIES TRUST AST INTERNATIONAL FUND UK X INVEST INVEST UK 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 |
||||
| ਦਰ ਦੇ ਰੇਖ | ||||
| ୧୦ б |
||||
| ్ర | ||||
| 215 | ||||
| б | ||||
| 8 | ||||
| . d | ||||
| ਟ | ||||
| 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 |
| こ 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 ਟ |
|
| HEDGED EQUITY ETF MSCI EUROPE |
362.217 | 362.217 | |
| ELE FTSE DEVELOPED EX NORTH AMERICA INVESCO PUREBETA |
5.167 | .167 ഹ |
|
| ી રે ದ 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 ದ 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 |
ਟ 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 |


10 maggio 2023 15.23.46
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |||
|---|---|---|---|---|---|---|---|
| **D | NEW HAMPSHIRE RETIREMENT SYSTEM | 0 | 927.145 ไ |
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 ਟ |
|||
| **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 ల |
|||
| **D | ALTE LEIPZIGER TRUST INVESTMENT GMBH | 0 | 38.167 ਟ |
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 |
ರ .412.98 ਟ |
||
| **D | SCHOOL PUBLIC |
FUND PENSION AND RETIREMENT TEACHERS |
OF CHICAGO | ತ -059-48 ไ |
ಮ .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. |
ದ 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 - ਟ |
|||
| **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 ไ |
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. ਟ |
||
| **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 ﺎ |
. 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 ਟ |
||
| 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. ర б b |
. 450 1.717 ಡಿರಿ б |
|||
| **D | LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD | NATIONAL SECURITY LIC DEFINED BENEFIT FINA GROUP TRUST | 31 ਟ 187. |
187.231 b |
|||
| Azionisti: | Teste: 3.534 |
ਤੇ ਰੇ | Pagina 30 | ||||
| Azionisti in proprio: | Azionisti in delega: 27 |
3.507 |
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 ਟ |
||
| **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 ਟ |
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 ಕ |
||
| **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
イ
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 | ഹ 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 | ದ . 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. ന |
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 ਟ |
| **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 प 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

| 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 | ಷ 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 ਟ |
|
| **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 ไ |
|||
| **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 . ਟ |
|||
| **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 | ਟ 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 - ਟ |
||||
| **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 | ਟ | 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 | ு ਟ |
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 | ﺎ | 3.765 | 13.765 | ||||
| **D | TS FUN INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFI |
0 | ా 8 |
ਰੇ ਦੇ ਟ |
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 ਟ |
||||
| **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 ದ |
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 は 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 | ક LEGAL |
GENERAL MULTI-ASSET TARGET RETURN FUND | 0 | ర 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. ਨ |
9 187.466 569.30 m ਨ |
||
| **D | KBI FUNDS ICAV | 0 | 6 954.24 21. |
б 954.24 21. |
||
| **D | NORTHERN TRUST UCITS FGR FUND | 0 | S .027.96 L |
த 027.96 I |
||
| **D | KLP VERDI PAPIRFONDET |
AKSJEGLOBAL INDEX 1 | 0 | 943 231. ਟ |
.231.943 ਟ |
|
| **D | KLP AKSJEEUROPA INDEKS VERDIPAPIRFONDET |
0 | 508.628 | 508.628 | ||
| **D | SICAV. LEGAL & GENERAL |
0 | C ਕੇ ਰੋ ு. 5 |
ਟ 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 ਟ 5. 8 ﺎ |
. 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 ದ 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 ರ 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 |

И

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 ਟ |
|||
| **D | MERCER | PASSIVE INTERNATIONAL SHARES FUND | 0 | 5 ਧ 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

| 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 ട 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 ਟ 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 |
ട NO. TRUST |
PORT EQUITY 3 UAD 01/17/03 |
12. no. TRUST |
ട 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 | য IDAHO TRUST OF STATE JTW |
ไ NO. NO. TRUST JTH |
ഗ 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 |
|
|---|---|
| -- | ---------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- |

|
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 | 그 SCHEME CONTRACTUAL AUTHORISED BLACKROCK |
0 | 6.661.601 L |
.601 ୧୧ । 9 ﺎ |
| **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 |
ర 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. ಕ |
| **D | CONTRACTUAL SCHEME AUTHORISED POOL ACCESS LE DHE |
0 | 048-731 2. |
731 .048. ਟ |
| **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 ഹ |
|
| **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 ﺎ |
230 .309 T |
|
| **D | INSURANCE COMPANY INSURANCE COMPANY EDO MULUAL PENSION PENSION MUTUAL ELO |
515 .170. I |
515 .170. ﺎ |
|
| **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 । ਟ |
839 ୧୧ - ਟ |
|
| **D | PENSIOENFORDS PGB STICHTING |
325 54 - ਟ 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. ໄ |
|
| **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 ম |
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 ഗ 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 ﺎ |
| **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 ಷ Teste 3 534 |

3.507
27 Azionisti in delega:
Azionisti in proprio:
12
10 maggio 2023 15.23.46


| 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 ದ |
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 ਟ |
- 4 ਦੇ ਰੋ ટ |
||
| **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 |
2.327 | 2.327 | |
| **D | FAMILY SAO 2015 |
ORTHWEIN TRUST UAD 08/31/15 V F ORTHWEIN & A |
TTEES ORTHWEIN Б ട് JR |
0 | 5-823 | 5.823 |
| **D | STEPHEN AUGUST ORTHMEIN | ORTHWEIN JR & V A B 02/11/93 UAD MAR TR |
ORTHWEIN TTEES B പ ORTHWEIN & E |
.794 D |
4-794 | |
| **D | LLC INVESTMENTS FAMILY RED |
13 | 0 | 14.623 | 14.623 | |
| **D | INVESTMENTS FAMILY RED |
LIC 12 | 0 | 5.192 | 5.192 | |
| **D | LLC INVESTMENTS FAMILY GOLD |
ਦ ਤੇ | 0 | . 558 ਾ |
4-558 | |
| **D | LLC INVESTMENTS FAMILY GOLD |
52 | 0 | 3.453 | 3-453 | |
| **D | LLC INVESTMENTS FAMILY GOLD |
(C) ਟ 1 |
0 | ક કે રે | 9 8 ਰੇ |
|
| **D | LLC INVESTMENTS FAMILY GOLD |
(A) 21 |
. 899 I |
б 1.89 |
||
| **D | LLC INVESTMENTS FAMILY GOLD |
(B) 51 |
0 | 2.086 | 2-086 | |
| **D | FUND & DOUGLAS GOLDMAN LISA |
0 | . 828 P |
4.828 | ||
| **D | FDN & MARCIA GOLDMAN JOHN |
0 | . 024 L |
7.024 | ||
| **D | ENVIRONMENTAL GOLDMAN |
FOUNDATION | 0 | 3.267 | 3.267 | |
| **D | SAMUELS FAMILY TRUST UAD LORI 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 PARACHINI |
PARACHINI & V | PARACHINI TTEES NUSE | 0 | - 964 ம் |
3.964 |
| **D | CRAWFORD TRUST UAD GORDON AND DONA |
CRAWFORD & GORDON 08/23/77 |
TTEES AND 01/11/19 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 | ||
| **D | & LARY MULLER ANTHONY |
& L L MULLER TRUST UAD 07/01/81 A R MULLER |
11/24/15 TTEES AMD |
.787 ਟ |
2.787 | |
| **D | MARK DALZELL REV. LIVING TRUST UAD | DALZELL TTEE 06/16/95 MARK H |
0 | .541 D |
4.541 | |
| **D | MCF PARTNERSHIP L.P. | 0 | 3.949 | б 3.94 |
||
| ** D | MEATHERSFIELD LLLP | .821 ನ |
.821 ਟ |
|||
| **D | WELLMAN ROBINSON REVOCABLE TRUST UAD 01/22/15 TOM ROBINSON & JOAN & WELLMAN TTEES | 0 | 2.378 | 2.378 | ||
| **D | 2012 NONEXEMPT GRAT UAD 04/30/12 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 L |
8 ਰੇ 8 1. |
|
| * D | MUDDY PAWS LP | 0 | 6.201 | 6.201 | ||
| * D | COX INVESTMENT COMPANY LP | 0 0 |
326 6.143 7. |
7.326 6.143 |
||
| **D | DIMARCO / HARLEEN 1990 REV | UAD 09/20/90 S G DIMARCO & J TRUST |
HARLEEN TTEES AMD 06/01/12 B |
0 | 4.690 | 4.690 |
| **D | ANN C BARTRAM RÉVOCABLE | ANN C BARTRAM TTEE UAD 01/06/10 WILLIAM M TRUST |
( BNY MELLON NA AS SECURED PARTY BARNUM TTEES ם. |
842 2. |
2.842 | |
| * * D | BARNUM REVOCABLE TR UAD 05/13/94 | AMD 02/11/10 DONNALISA BARNUM & AL TTEES ET MUZZY P |
PARTNERS ખટે |
0 | 981 5. |
5.981 |
| **D | TRUST UAD 01/10/89 FAMILY MU22Y |
7.621 | 7.621 | |||
| D D |
CHALLENGE GOLDSTINE l FUNDS ROSILYN CHALLENGE ABNER & |
03/05/91 A GOLDSTINE & R GOLDSTINE TTEES 2 PROVIDENT FUND UAD LIV TR |
12/10/04 NON-US EQUITY AMD |
63.834 | 63 - 83 4 | |
| **D | SOLUTIONS FUND MACQUARIE |
INFRASTRU LISTED MACQUARIE GLOBAL l |
483.249 | 483.249 | ||
| **D | FUND SOLUTIONS MACQUARIE |
MACOUARIE GLOBAL CONVERTIBLE FUND - |
99.661 | 99.661 | ||
| **D | BEST BRANDS - MEDIOLANUM |
GLOBAL SE MEDIOLANUM MORGAN STANLEY |
ਰੇ ਦੇ ਰੋ 618. |
618-959 | ||
| **D | l BEST BRANDS MEDIOLANUM |
DYNAMIC INTERNATIONAL VALUE OPPORTU | 2.628.826 | 2.628.826 | ||
| 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 ર્ટ રે રે રે સ્ 2.033.639 86-799 703.141 952 9-037 376. ટે વે - 584 . 11. 683 - Delega 86.799 703.141 952 107.827 683.556 2.033.639 376.829 84.935 54.567 9.037 11.! S Proprio |
516 320 29.406 59.099 148.000 97.000 5.771 277.871 158.054 595. 1. б 158.054 000 29.406 95.771 595.516 59.099 140.000 .320 277.871 1 ન 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. L 1.627.569 131.686 103.347 43.850 466.108 4.430.077 77.787 9.508.254 63-992 ﺎ 0 U 0 0 0 0 0 0 O |
907.517 1.759.983 290.348 40.605 57.736 186-127 23.319 14.238 .181.626 3.125.583 947-495 1. ਟ 1.290.348 S 40.605 23.319 14.238 2.181.626 3.125.583 1.759.983 57.736 186.127 907.517 947.49 0 0 0 0 0 0 O 0 C 0 0 |
.157.960 492.754 160.592 246.562 9-898 288.114 56.040 299.311 7 425-880 49.164 47.951 S E 2 ਟ 8 88.114 0 .157.960 47.951 492.754 246.562 99.311 7-425-880 160.592 49.164 56.04 9 - 8 9 2 ഗ് ਟ 2. ਟ E O 0 0 0 0 0 0 0 0 |
|---|---|---|---|---|
| II - DOE & BRETES GLOBAT PISTED INERASLANCIAL OPPORTUNIT CMI CONTINENTAL EURO BALANCED VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE MEDICLANUM BEST BRANDS = MEDIOLANUM ENERGY TRANSITION l l SOLUTION SOLUTION HIGH DIVIDEND l PORTFOLIO PORTFOLIO INDEX POOL GLOBAL GLOBAL GLOBAL EUROPE |
JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL ÉQUITY INDEX TRUST. (CAYMAN) LIMITED ACTING SOLELY IN ITS CAP |
SUN LIFE AN GLOBAL LOW CAR THE MASTER TRUST BANK OF JAPAN LTD. AS TRUSTEE OF GREEN TEC LARGE COMPANY INDEX FUND LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED l INTERNATIONAL END ಕೆ. II |
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 PMC Teste: AANDELENFO OF DEA 1 1 1 27 |
| CMI GLOBAL NETWORK FUND BALANCED l l l l GLOBAL SICAV SICAV SICAV SICAV Ragione Sociale INVEST VONTOBEL FUND INVEST INVEST INVEST OCF - UNIVERSE THE MMA VIE SA GBPO - 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 MS |
MANAGEMENT FUNDS SCHWAB INTERNATIONAL INDEX FUND ESG SCREENED FUND ABERDEEN STANDARD SICAV METI T ട് ട് SCHWAB FUNDAMENTAL SUN LIFE ASSET ALLIANZ WORLD RAFIMF MFAK83 ILA-LA ILA - |
LIFE ASSURANCE PLC MN SERVICES LIFE ASSURANCE. CUSTODY B.V. A-ILGLOEOG A-ILGLOEON A-ILEZEQN A-ILEZEOG A-ILDSCG ILA-A-ILSDMH STICHTING STICHTING IRISH AEGON IRISH l - - - l IIA IIA IIA I LA ITA |
WRLD ESG DEV IDX (6734) TSGX SOLACT ESG TBACO EX UNHG (3387) LEGAL AND GENERAL ASSURANCE ( WORLD MULTI ASSET FUND OVERLAY MGNT ) LTD MGNT) LTD MGNT) LTD 3.534 INTL PORTFOLIO SERVICES G ASSUR ( PENS ASSUR (PENS ASSUR ( PENS MULTI ASSET CMLA MN E BAL purpore CAP ATF STICHTING SHE ઉ હ CFSIL LARGE AND AND I, AND LGAS PMC PMC ﺳﻠ I |
| Badge D + + D D D D D D D D **D |
D D D D D D D D **D |
D D D D D D D D **D |
D D D D D D D D D D **D |
Azionisti in proprio: Azionisti: D D D D D D D D D D **D |
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 ਛ LIFE) (STANDARD ASI FOR TRUSTEE AS UK LIMITED CITIBANK |
0 | 092 - 622 ਟ |
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 ਟ |
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 . য |
| **D | SEC FUND NATIONAL COUNCIL FOR SOCIAL |
0 | N 8 . d 118 |
C 118.48 |
| **D | LEGG MASON INC. | 0 | 00 . 2 て |
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 ಷ |
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 ਪ B |
4.320 8 |
| **D | CITIBANK UK LIMITED AS TRUSTEE OF ABERDEEN STANDARD CAPITAL | 0 | - 405 . 412 0 |
.412.405 ব |
| **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 ಕ .231 L |
ਤੇ ਰੇਖੋ .231 ไ |
| **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 こ દ |
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 ഹ I |
5.920 I |
| **D | ETF. INDEX INTERNATIONALVOLATILITY WID VICTORYSHARES |
0 | 32 ﺎ 6 ਟ |
9.732 ਟ |
| **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 ਟ |
28-067 |
| **D | FUN INSTITUTIONAL CLIENTS GROUP SECURITIES AND FUND SERVICES INVESCO POOLED INVESTMENT FUND - GLOBAL STRATEGIC EQUITY |
0 | 67.088 | |
| 8 ਉ 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

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 EÜ 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 ਟ |
|
| **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

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 ไ |
||
| **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 ਟ |
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 | ರ | 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 ਨ |
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
| 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 | ப . 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 ಟ 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


| 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 ไ |
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 | ਜ 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. ไ |
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

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 ਟ |
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 ਟ |
||||
| **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 | ర 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 ਟ |
||
| **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


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. ਟ |
500.000 ਟ |
|
| 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 ਕ |
| **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 ব |
| **D | NARANJA MODERADO, FI FONDO DIRECT ING |
0 | 9 20.04 |
20.045 |
| **D | ET SOSTENIBLE I SANTANDER |
0 | 557.314 1 |
.557.314 โ |
| **D | FONDO NARANJA DINAMICO, FI DIRECT ING |
0 | ರ 28.75 |
758 28 - |
| **D | FONDO NARANJA CONSÉRVADOR, FI DIRECT ING |
0 | 3.043 | 3.043 |
| **D | ET EUROPA DIVIDENDO SANTANDER |
0 | .738.092 ব |
.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 ไ |
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:


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 म 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 ਟ |
-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 ਟ |
2.098.014 | ||
| **D | FACTOR ETF SIZE INTL MSCI ISHARES |
0 | ਰੇ 3 ਤੋ N |
913 ਟ |
|
| **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 ਟ ા |
2.471.402 ﺎ |
||
| 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

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 ਜ |
|||
| INFRASTRUCT EQUITY CANADA LIFE GLOBAL |
FUND | 8 16.59 |
ರಿ ಆ ഗ 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 す .637. ไ |
||
| 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 ਟ |
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. ไ |
||
| GLOBAL GREENCHIP |
FUND ENVIRONMENTAL |
250 9 ਟ |
250 26. |
||
| PENSION THE GLENCORE CANADIAN |
FUND ASSETS FUNDS TRUST-REAL |
0 | . 655 б ਨ |
55 9.6 ਨ |
|
| STRATEGIC FUNDS | 0 | 83 ไ 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 ਟ |
||
| 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 ப |
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 ﺎ ਸ |
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 |
ਟ 8.05 ਬ |
|||
| 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 | |||


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

| FAVOREVOLI | |
|---|---|
| Totale 37.808 |
. 837 . 98 ਟ |
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 ਟ |
ਕਾ 276.38 |
72.260 | 26.125 | 9.320 | .728.747 0 ਟ |
97.743 23.24 C |
74.746 | 103 67 - ਟ |
15.000 | 800 8 |
000 30 |
.597 67.225 గా |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 37.808 |
837.981 ਟ |
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 ਟ |
319.572 | 671.822 ਟ ਕੇ ਰੋ 45 |
.267 ਹੋ ਦੇ |
17.190 | 2-767 | 407.560 | . 483 6 ਟ |
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 ਟ |
97.743 ਟ |
74.746 | 103 67. ਟ |
15.000 | 000 8. |
000 0 E |
97 7.225 ഗ്വ ო 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: |



| 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. ਟ |
9.830 ਟ |
|
| **D | DEAM FOR САВН INVESTMENT DMS |
0 | 303 339. |
339.303 |
| D D |
EQUITY FUND FUND LOW VOLATILITY STOCK GLOBAL THRIVENT |
0 | -722 ਰ |
. 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 ഗ |
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 ల |
.972.519 947 E |
| **D | COMPANY PUBLIC LIMITED I EUROPE ETFS SPDR ટકલ્પ |
0 | 947 5 97 16. 88 1 ഹ ﺎ |
ਕੇ 7 ਤ . 588 . .116. L S |
| **D | II PUBLICLIMITED COMPANY EUROPE ETFS SPDR SSGA |
0 | 463 24. 5 ਟ |
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. ਟ |
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 ਜ NOB SECURITIES TRUST-LORD DEAMFONDS FOR INVESTMENT GMBH ABBETT LORD DMS |
0 | . 356 478 |
478.358 |
| **D | LLC SELECT, FIBG |
0 | . 625 ਨ 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 음 . ਤੇ 241 |
241.988 |
| **D | STRATEGY FUND EATON VANCE RICHARD BERNSTEIN ALL ASSET |
0 | б 180.03 |
180.039 |
| **D | INC FOUNDATION PARKER |
0 | ట 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 ﻟ |

3.507

| Badge | Ragione Sociale | Proprio | Delega | Totale | ||
|---|---|---|---|---|---|---|
| **D | WILLIAM BLAIR INTERNATIONAL SMALL | CAP GROWTH FUND | 0 | V . 78 ﺎ |
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 - ದ |
173 34. |
||
| **D | BRIGHTHOUSE | FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED | RISK PORTFOLIO | 0 | 8 4 8 1. ব |
1.848 ਖ |
| **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 ಕ 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 ದ |
|
| **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 ਟ |
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. प t |
40.000 ไ |
|
| **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 - て |
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 | ਟ 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 ਟ |
|
| **D | STREET CCF STATE |
O | 2 60.85 |
ਟ 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. ದ |
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 ਟ |
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. ന |
88 d .441. క |
|
| **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 ഗ S б |
- 000 94.429 55 |
||
| **D | GOLDMAN | SACHS MULTIMANAGER REALASSETS STRATEGY FIND | 4.429 ବିପ ୧ ഹ |
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. ﻠ |
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 ਟ |
598.049 ਟ |
||
| **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 ਟ |
23.632 | ||
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR HI RESERVEUIFONDS | 0 | 00 ਉ 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 క |
. 07 3 |
|||
| **D | SPDR MSCI WORLD STRATEGICFACTORS ETF | 52 . 9 ತ |
ਟ . 95 ut |
|||
| Pagma 61 | ||||||
| Azionisti: | ਤੇ ਰੇ Teste: 3.534 |
|||||
| Azionisti in proprio: | 3.507 Azionisti in delega: 27 |
|||||


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. โ L |
1.210.490 .692.521 ไ |
|||
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FINREON SGKB | TAIL RISK CONTROL (WORLD, | ﺗ ES |
0 | 60.000 | 60.000 | |||||
| **D | LM FUND LP | 0 | 355 3. |
3.355 | |||||||
| **D | LP VNL |
030 1. |
. 030 ไ |
||||||||
| **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 ਟ 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. ਟ |
|||||
| **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 ਟ |
|||||
| **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 ഹ B |
85.201 | ||||
| **D | DEVELOPED FTSE VANGUARD |
ALL | NORTH AMERICA INDEX САРЕХ |
ETF | 0 | .016-133 ﺎ |
.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: |


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 ไ |
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 |
ర 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 ਟ |
875.177 - ਟ |
| **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 こ |
.184.671 ਟ |
|
| D D |
смян INVESTMENT INVESTMENT DWS DWS |
GMBH FOR DEAMFONDS PG EO FOR DEAM-FONDS MASP |
0 | 100 07. 168. ১ |
207.100 |
| 000 | 168 - 000 | ||||
| Pagina 63 | |||||
| Azionistı: | ਤੇਰੇ Teste: 3,534 |
||||
| Azionisti in proprio: | 3.507 Azionisti in delega: 27 |


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 ਨ |
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. ไ |
.115.686 L |
| **D | FUND VANGUARD ENERGY |
0 | 169 5.297. t |
5.297.169 ﺎ |
|
| **D | LLC ARKWRIGHT, |
0 | 8 5 ਟ 36. |
36.285 | |
| **D | INTERNATIONAL SCHWAB |
ETF DIVIDEND EQUIT Y |
0 | તે છે દ S 8 - ਟ . 8 P |
. 828.596 D |
| **D | INTERNATIONAL SCHWAB |
ETF EQUITY |
0 | 304 . 854 . ਟ t |
854-304 ਟ I |
| **D | NORTD TOTAL VANGUARD |
FUND INDEX STOCK |
0 | 35 B .101. ਸ |
.101.835 ರ |
| **D | MARKETS DEVELOPED VANGUARD |
FUND INDEX |
0 | 029 చ 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 ব |
| **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 ไ |
| **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 ഹ |
| **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
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 て |
716.910 ਟ |
| **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 ﺎ |
.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 ﺎ |
.495.423 ໄ |
| **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 ਟ |
| **D | MACAU ESPECIAL DE REGIAO ADMINISTRATIVA FUNDO DE SEGURANCA SÓCIAL DO GOVERNO DA |
0 | 239.303 | 39.303 ਟ |
| **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 | ਹ 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 ਟ |
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 ਟ |
- 500 ਟ |
||||
| ★★★ | 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 ದ |
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 ਟ |
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

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 ঠ |
||
| INTERNATIONAL VALUE FUND PZENA |
59.051 L |
59.051 ໄ |
||
| WILSHIRE INTERNATIONAL EQUITY FUND INC. - FUNDS, MUTUAL MILSHIRE |
147.172 | 147.172 | ||
| INVESTMENT TRUST HEALTH COVENANT |
208.323 | 08.323 ਟ |
||
| 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. ไ |
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 ﺎ |
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 |
ไ | 61.132 T |
||
| GLOBAL VALUE UCITS FUND CAUSEWAY |
0 G |
61.132 05.013 ਟ |
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 ਟ 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:


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 ರ 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 ﺎ |
151 6. L |
|||
| **D | FINANCIAL DESIGNATED ACTIVITY CO MBS AXA |
.000 0 D - 4 2 |
- 400 - 000 ನ |
|||
| **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. |
ന 070.33 3. |
||
| **D | SIEMENS BALANCED | 0 | 137.619 | 137.619 | ||
| **D | OF BOARD OF PENSIONS |
THE EVANGELICAL LUTHERAN CHURCH IN | AMERICA | 0 | 00 ਟ . 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 |
ਟ 418.89 ా |
| **D | l FUND INSTITUTIONAL (LUX) ubs |
CH) (EX EUROPE EQUITIES |
PASSIVE | C | S - 4 ਰੋ 071 I |
17 071.49 ไ |
| **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 ไ |
|
| **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 ﺎ |
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 ব t |
06.213 র্য ไ |
||
| **D | INVESTMENTS, MC LIMITED MIC |
0 | 289.090 2 |
-289,090 ਟ |
||
| **D | PENSIONSKASSE BASEL-STADT | 0 | এ 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 ﺎ |
||
| **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 | |||


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 ไ 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 ದ 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. ம ર વે ર ਟ 867 E 35 2 ਪ ਦੇ L .5 ದ प 6 5. 2 L 2 2 2 E ਹ 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


| 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 ਟ б p |
| **D | FUND EQUITY INFRASTRÜCTURE LETKO BROSSEAU |
38.750 | 38.750 | |
| **D | ENDEAVOUR II FUND. THE |
0 | 1.154 て |
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 ਟ |
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 ਜ |
| 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 ਟ |
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 വ |
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 ਟ |
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. प |
| **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 ತ |
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 |



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 |
ঘ 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 ਟ 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 ಒ 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 | ไ | 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
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
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:
બ
10 maggio 2023 15.23.46

| 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 ঠ |
0 778.640 00 ୧୦. ਟ |
|
| **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 ん |
|
| **D | 40 ITALIA EURIZON PROGETTO l SGR CAPITAL EURIZON |
0 | ୧୫ 144. ટ |
144.685 ਟ |
|
| **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. ો ໄ |
.205 .110 |
||
| **D | EQUITY EUROPE LTE - FUND EURIZON |
રે વ 2 630. |
.254 630 |
||
| Pagina 75 | |||||
| Azionisti: | Teste: 75 |
ਟ | |||
| Azionisti in proprio: | 1 Azionisti in delega: 0 |
S | |||


| 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 ப 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 | ದ 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 | ਟ 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
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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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