Pre-Annual General Meeting Information • Jun 12, 2025
Pre-Annual General Meeting Information
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Eni S.p.A Enda Loale
Cantale Sociale Europoso Sur Roman Santa Portale Pool & Cooles Pool See See
Cantale Sociale Eurromono Services Roma n. 7564533
Segrillos Lundari Europa Marianes Pubblicato il 4 aprile 2025

Avviso di Convocazione Assemblea Ordinaria e Straordinaria 2025
L'Assemblea degli Azionisti di Eni S.p.A. («Eni» o «Società») è convocata, in sede ordinaria e straordinaria, il giorno 14 maggio 2025, in unica convocazione, alle ore 10:00, in Roma, Piazzale Enrico Mattei, 1, 00144, per discutere e deliberare sul seguente
In conformità all'art. 3, comma 14-sexies del decreto legge 27 dicembre 2024, n. 202, convertito in legge 21 febbraio 2025 n. 15, che ha esteso l'efficacia delle misure contenute nell'art. 106, comma 4, secondo periodo, del decreto legge 17 marzo 2020, n. 18, convertito in legge 24 aprile 2020, n. 27 alle Assemblee tenute entro il 31 dicembre 2025, l'intervento in Assemblea degli Azionisti potrà svolgersi esclusivamente tramite il rappresentante designato ai sensi dell'articolo 135-undecies del decreto legislativo 24 febbraio 1998, n. 58 («T.U.F.»), come individuato al successivo paragrafo 5 (di seguito, "Rappresentante Designato"). Al citato Rappresentante Designato possono essere conferite anche deleghe e/o sub-
deleghe ai sensi dell'articolo 135-novies del T.U.F., in deroga all'art. 135-undecies, comma 4, del medesimo decreto, come indicato al successivo paragrafo 5. Conformemente a quanto previsto dall'art. 106, comma 2, del citato decreto legge n. 18/2020, fermo quanto precede, gli altri soggetti dei quali sia richiesta la partecipazione in Assemblea, per assicurare il regolare svolgimento della stessa, potranno intervenire anche mediante mezzi di telecomunicazione che ne garantiscano l'identificazione. senza che sia in ogni caso necessario che il presidente, il segretario e il notaio si trovino nel medesimo luogo.
Ai sensi dell'articolo 83-sexies del T.U.F. e dell'articolo 13.2 dello Statuto e conformemente alle previsioni dell'art. 106 del decreto legge n. 18/2020, sono legittimati ad intervenire e votare in Assemblea, esclusivamente per il tramite del Rappresentante Designato, coloro per i quali l'intermediario abilitato ai sensi della disciplina applicabile abbia trasmesso alla Società la comunicazione attestante la titolarità del diritto al termine della giornata contabile del settimo giorno di mercato aperto precedente la data fissata per l'Assemblea in unica convocazione (5 maggio 2025 - record date). La comunicazione deve pervenire a Eni entro la fine del terzo giorno di mercato aperto precedente la data fissata per l'Assemblea (9 maggio 2025). Resta ferma la legittimazione all'intervento e al voto, sempre esclusivamente attraverso il Rappresentante Designato, qualora la comunicazione sia pervenuta a Eni oltre il suddetto termine, purché entro l'inizio dei lavori assembleari. Coloro che risulteranno titolari di azioni solo successivamente alla record date non avranno legittimazione all'esercizio del diritto di intervento e voto nell'Assemblea e, pertanto, non potranno rilasciare delega al Rappresentante Designato. Si rammenta che la comunicazione a Eni è effettuata dall'intermediario su richiesta del soggetto a cui spetta il diritto. Ai titolari del diritto di voto è richiesto di impartire istruzioni all'intermediario che tiene i relativi conti, affinché effettui la predetta comunicazione alla Società. Eventuali richieste di preavviso da parte dell'intermediario o oneri economici per il compimento degli adempimenti di competenza di quest'ultimo non sono imputabili alla Società. I possessori di azioni non ancora dematerializzate che intendano partecipare all'Assemblea dovranno consegnarle previamente a un intermediario per la loro immissione nel sistema di gestione accentrata in regime di dematerializzazione e chiedere il rilascio della comunicazione sopra citata.
Resta fermo che la legittimazione all'intervento e al voto in Assemblea è soggetta alle previsioni normative applicabili ed è consentita nei limiti di eventuali sanzioni e misure restrittive, adottate a livello nazionale e internazionale, pro-tempore vigenti.
Eni SpA Enil Sp.A.
Piede Legalerico Mattei 1 - D0144 Roma
Capitale sociale Euro 4 005.35B.876,00 Lv.
Capitale sociale Euro 4 005.35B.876,00 Lv.
Partitality Impresse di Roma, Codice F Partita TVA 009038 i roososo i roooni, 1
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Avviso di Convocazione Assemblea Ordinaria e Straordinaria 2025
Ai sensi dell'articolo 127-ter del T.U.F., coloro ai quali spetta il diritto di voto e che abbiano fatto pervenire alla Società, entro il terzo giorno successivo alla record date (8 maggio), apposita comunicazione da un intermediario autorizzato ai sensi della normativa vigente (si veda, a tal fine, il precedente paragrafo 2) possono porre domande sulle materie all'ordine del giorno prima dell'Assemblea, facendole pervenire alla Società entro il 5 maggio 2025. La Società non assicura risposta alle domande che siano pervenute successivamente a tale termine. Le domande e la predetta comunicazione dell'intermediario possono essere trasmesse esclusivamente: a) a mezzo posta elettronica certificata all'indirizzo [email protected] o b) mediante l'utilizzo di apposita sezione del sito Internet della Società dedicata all'Assemblea degli Azionisti. Alle domande pervenute nel termine indicato sarà data risposta entro l'11 maggio 2025, mediante pubblicazione in apposita sezione del sito Internet della Società dedicata all'Assemblea degli Azionisti. Eni ha deciso di anticipare il termine per fornire risposta, rispetto a quanto previsto dalla legge, per consentire agli Azionisti di effettuare, in tempo utile, una scelta consapevole ai fini del conferimento delle istruzioni di voto al Rappresentante Designato.
La Società fornirà una risposta unitaria alle domande aventi lo stesso contenuto; non è dovuta una risposta quando le informazioni richieste siano disponibili in formato «domanda e risposta» nell'apposita sezione del sito Internet della Società ovvero quando la risposta sia stata già pubblicata nella medesima sezione.
Ai sensi dell'articolo 126-bis, comma 1, primo periodo, del T.U.F. e nel rispetto di quanto previsto dall'articolo 13.1 dello Statuto, i soci che, anche congiuntamente, rappresentino almeno il 2,5% del capitale sociale, possono chiedere, entro dieci giorni dalla pubblicazione del presente avviso (i.e. entro il 14 aprile 2025), l'integrazione dell'elenco delle materie da trattare, indicando nella domanda gli ulteriori argomenti da essi proposti ovvero presentare proposte di deliberazione su materie già all'ordine del giorno. L'integrazione non è ammessa per gli argomenti sui quali l'Assemblea delibera. a norma di legge, su proposta del Consiglio di Amministrazione o sulla base di un progetto o di una relazione da esso predisposta, diversa da quella sulle materie all'ordine del giorno. Le richieste, unitamente alla
comunicazione effettuata dall'intermediario abilitato attestante la titolarità della partecipazione possono essere presentate esclusivamente: a) per iscritto, presso la sede sociale a mezzo di lettera raccomandata A/R all'indirizzo "Eni S.p.A. (Segreteria Societaria Eni S.p.A.), Piazzale Enrico Mattei, 1, 00144 Roma" ovvero b) a mezzo posta elettronica certificata, all'indirizzo corporate [email protected]. Entro il medesimo termine, e con le medesime modalità, deve essere trasmessa al Consiglio di Amministrazione della Società, dagli eventuali soci richiedenti o proponenti, una relazione che riporti la motivazione della richiesta o della proposta. Delle integrazioni all'ordine del giorno o della presentazione di ulteriori proposte di deliberazione su materie già all'ordine del giorno è data notizia con le modalità previste dalla legge almeno quindici giorni prima dell'Assemblea (entro il 29 aprile 2025).
Ciascun avente diritto di voto può presentare individualmente proposte di deliberazione sulle materie all'ordine del giorno ovvero proposte la cui presentazione è altrimenti consentita dalla legge.
Gli Azionisti legittimati a presentare tali proposte potranno trasmetterle alla Società entro il 29 aprile 2025 esclusivamente a mezzo posta elettronica certificata all'indirizzo corporate sesocorp(@pec.eni.com.
La Società pubblicherà tali proposte sul proprio sito Internet entro il 1º maggio 2025, previa verifica della loro ammissibilità, e con riserva di verifica della legittimazione a presentarle. In particolare, ai fini della relativa pubblicazione, la Società si riserva di verificare la pertinenza delle proposte rispetto agli argomenti all'ordine del giorno, la completezza delle stesse, la loro conformità alla normativa applicabile e la legittimazione dei proponenti, attestata da una comunicazione di un intermediario o dalle risultanze del libro soci.
La legittimazione a formulare le proposte dovrà in ogni caso essere confermata dalla comunicazione prevista dall'art. 83-sexies del T.U.F. effettuata dall'intermediario ai fini dell'intervento in Assemblea e dell'esercizio del diritto di voto.
Resta ferma la facoltà degli Azionisti di utilizzare i mezzi di comunicazione a loro disposizione per far conoscere agli altri Azionisti le proposte che intendono presentare in Assemblea.
In caso di proposte di delibera sui punti all'ordine del giorno alternative a quelle formulate dal Consiglio, verrà prima posta in votazione la proposta del Consiglio (salvo che non venga ritirata) e, solo nel caso in cui tale proposta fosse respinta, verranno poste in votazione le proposte degli Azionisti. Tali proposte, anche in caso di assenza di una proposta del Consiglio, verranno sottoposte all'Assemblea a partire dalla proposta presentata dagli
Eni S.D.A. Enfraspo.
Piazzalegalerico Matitej ] - 00144 Roma
Capitale sociale Euro 4.005.35B.B76,00 kw
Capitale sociale Euro 4.005.35B.B76,00 kw
Register (VATO09e di Roma, Codice Frisca Partito 107 009030 Be
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Via Emilia, 1 e Piazza Ezio Vanoni, 1
20097 San Donato Milanese (Milanese (Mi)
Avviso di Convocazione Assemblea Ordinaria e Straordinaria 2025
Azionisti che rappresentano la percentuale maggiore del capitale. Solo nel caso in cui la proposta posta in votazione fosse respinta, sarà posta in votazione la successiva proposta in ordine di capitale rappresentato.
Ulteriori informazioni saranno presenti sul sito Internet della Società.
5.1. Ai sensi dell'articolo 135-undecies del T.U.F. e dell'articolo 14.5 dello Statuto, la Società ha designato lo Studio Legale Trevisan & Associati, nella persona dell'Avv. Dario Trevisan (o suoi sostituti in caso di impedimento), quale soggetto al quale i soci possono conferire gratuitamente la relativa delega, con istruzioni di voto su tutte o alcune delle proposte all'ordine del giorno. In questo caso, la delega ai sensi dell'art. 135-undecies del T.U.F. deve essere conferita mediante sottoscrizione dello specifico modulo di delega al Rappresentante Designato, secondo le modalità ivi previste, reperibile in apposita sezione del sito Internet della Società dedicata all'Assemblea degli Azionisti. Il modulo dovrà pervenire entro e non oltre la fine del secondo giomo di mercato aperto precedente la data fissata per l'Assemblea (i.e. entro e non oltre le ore 23:59 del giorno 12 maggio 2025) mediante una delle seguenti modalità alternative: a) per le deleghe con firma autografa, in originale, tramite corriere o lettera raccomandata A/R, a:
Studio Legale Trevisan & Associati Viale Majno, 45 20122 Milano
ovvero b) per le deleghe con firma elettronica qualificata o firma digitale, mediante posta elettronica certificata all'indirizzo: [email protected].
La delega e le relative istruzioni di voto ai sensi dell'art. 135-undecies del T.U.F. sono sempre revocabili nelle modalità previste per il conferimento entro il termine predetto. La delega non ha effetto con riguardo alle proposte all'ordine del giorno per le quali non siano state conferite istruzioni di voto.
5.2. In conformità alle citate disposizioni del decreto legge n. 18/2020, al Rappresentante Designato possono essere conferite anche deleghe e/o sub-deleghe ai sensi dell'articolo 135-novies del T.U.F. da coloro a cui spetta il diritto di voto.
Si raccomanda che le deleghe e le sub-deleghe - che potranno essere conferite mediante specifici moduli di delega al Rappresentante Designato, reperibili in apposita sezione del sito Internet della Società dedicata all'Assemblea degli Azionisti, con le modalità ivi previste - pervengano, per ragioni organizzative, entro e non oltre le ore 12:00 del giorno 13 maggio 2025 allo Studio Legale Trevisan & Associati mediante una delle seguenti
modalità alternative: a) a mezzo posta all'indirizzo indicato al punto 5.1 ovvero b) mediante comunicazione elettronica all'indirizzo di posta certificata: [email protected] o all'indirizzo e-mail: [email protected].
Per ragioni organizzative, si raccomanda che le deleghe e le sub-deleghe, prive delle istruzioni di voto, siano notificate dal soggetto delegante anche alla Società entro le ore 12:00 del giorno 13 maggio 2025 a) a mezzo posta elettronica certificata all'indirizzo corporate sesocorp(apec.eni.com ovvero b) mediante l'utilizzo di apposita sezione del sito Internet della Società dedicata all'Assemblea degli Azionisti, secondo le modalità ivi indicate.
La delega e la sub-delega e le relative istruzioni di voto al Rappresentante Designato sono sempre revocabili nelle modalità previste per il conferimento. La delega e la subdelega non hanno effetto con riguardo alle proposte all'ordine del giorno per le quali non siano state conferite istruzioni di voto.
La legittimazione a rilasciare le deleghe di cui ai punti 5.1 e 5.2 dovrà essere attestata dalla comunicazione prevista dall'art. 83-sexies del T.U.F. effettuata dall'intermediario ai fini dell'intervento in Assemblea e dell'esercizio del diritto di voto (a tal fine, si veda il precedente paragrafo 2).
Per ulteriori informazioni è possibile consultare il sito Internet della Società.
Il Rappresentante Designato è a disposizione degli Azionisti per maggiori chiarimenti al Numero Verde: 800 134 679 (in giorni e orari lavorativi) e all'indirizzo di posta elettronica certificata [email protected].
I possessori di ADRs, quotati alla Borsa di New York e rappresentativi ciascuno di due azioni ordinarie di Eni, che risulteranno iscritti alla data del 10 aprile 2025 nell'apposito registro tenuto da Citibank N.A, banca depositaria degli ADRs, avranno la facoltà di esercitare il diritto di voto secondo le modalità e osservati gli adempimenti di deposito e registrazione indicati nell'"ADR Deposit Agreement", fermo quanto previsto nel paragrafo 1 del presente avviso.
Per eventuali ulteriori informazioni relative all'Assemblea e in particolare alle modalità di esercizio dei diritti è possibile consultare il sito Internet della Società www.eni.com o chiedere informazioni all'indirizzo e-mail [email protected]. Sono, inoltre, attivi (in giorni e orari lavorativi):
· il Numero Verde: 800 940 924 per le chiamate dall'Italia;

Eni S.p.A. Sina Legale
Previous Sociale Euro Anos, S. S. B. B. Banda
Previous Singlale Euro A. Bourna A. O. 184960588
Registra Manders D. R. A. Roma n. 750433
Redition Marif
20057 San D
Pubblicato il 4 aprile 2025

Avviso di Convocazione Assemblea Ordinaria e Straordinaria 2025
· il Numero Verde: + 800 112 234 56, per le chiamate dall'estero.
La documentazione relativa agli argomenti all'ordine del giorno e i testi integrali delle proposte di deliberazione, unitamente alle relazioni illustrative previste dalla normativa vigente, verranno messi a disposizione del pubblico nei termini di legge presso la sede sociale, Borsa Italiana S.p.A., sul meccanismo di stoccaggio centralizzato autorizzato da Consob denominato consultabile all'indirizzo www.linfo.it, nonché sul sito Internet della Società all'indirizzo www.eni.com, Sezione "Assemblea degli Azionisti 2025".
La documentazione potrà essere consultata presso la sede sociale secondo quanto previsto dalla normativa di riferimento (art. 130 del T.U.F.).
Si comunica che la data, il luogo e/o le modalità di svolgimento dell'Assemblea indicati nel presente avviso potrebbero subire variazioni o precisazioni qualora la normativa vigente sia modificata o siano emanati provvedimenti dalle Autorità competenti, che siano efficaci alla data di svolgimento dell'Assemblea. Le eventuali variazioni o o precisazioni saranno tempestivamente rese note con le stesse modalità previste per la pubblicazione del presente avviso.
Il Presidente del Consiglio di Amministrazione Giuseppe Zafarana

88961 54
| Dunkt | ITOMIC | |||||
|---|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |||
| 1 | AVV. DARIO TREVISAN IN QUALITA` DI RAPPRESENTANTE | 0 | 0 | |||
| DESIGNATO AI SENSI DEGLI ARTICOLI 135-NOVIES E | ||||||
| 135-UNDECIES DEL TUF | ||||||
| 2.269 | D | 1832 AM GLOBAL LOW VOLATILITY EQUITY LP | 57.218 | 57.218 | ||
| 1.118 | D | 1895 FONDS FGR | 91.991 | 91.991 | ||
| 1.043 | D | 1895 WERELDAANDELEN EN IDX AMUNDI | 395.968 | 395.968 | ||
| 757 | D | 1934 GLOBAL INVESTMENT FUND LP | 17.000 | 17.000 | ||
| 1.029 | D | 1999 VOLUNTARY EMPLOYEES BENEFICIARY ASSOCIATION | 1 | 1 | ||
| OF THE NONREPRESENTED EMPLOYEES OF SOUTHERN | ||||||
| CALIFORNIA EDISON COMPANY | ||||||
| 470 | D | 2 BE TWIN | 350 | 350 | ||
| 944 | D | 3 BANKEN-GENERALI GH STOCK | 19.560 | 19.560 | ||
| 943 | D | 3 BANKEN-GENERALI GL STOCK | 96.705 | 96.705 | ||
| 945 | D | 3 BANKEN-GENERALI GNL STOCK | 78.135 | 78.135 | ||
| 1.383 | D | 35249-ZURICH LIFE UMBRELLA FUND - VERMOGEN | 261.882 | 261.882 | ||
| ALLGEMEIN AKTIENPLUS | ||||||
| 1.382 | D | 35315-ZURICH NON LIFE UMBRELLA FUND- VERMOGEN GI | 81.868 | 81.868 | ||
| ZCH AKTIEN PLUS | ||||||
| 1.381 | D | 35335-2URICH NON LIFE UMBRELLA FUND - VERMOGEN GCIE | ||||
| 205.946 | 205.946 | |||||
| D | AKTIEN PLUS | 94 | ||||
| 934 | 405 MSTV 1 LP - AQR- NON FLIP | 94 | ||||
| 797 | D | 405 MSTV I LP | 7.362 | 7.362 | ||
| 542 | D | 6347 | 250 | 250 | ||
| 1.548 | D | 801 INVESTMENTS LLC | 88.742 | 88.742 | ||
| 1.549 | D | 801 INVESTMENTS LLC | 8.365 | 8.365 | ||
| 1.927 | D | A.A. - GROUPAMA - ISR | 202.178 | 202.178 | ||
| 1.913 | D | A.A. B DIVERSIFIE | 211.489 | 211.489 | ||
| 1.970 | D | A.A. CANDRIAM DIVERSIFIE | 133.733 | 133.733 | ||
| 1.974 | D | A.A. ODDO TACTIQUE -A- | 349.285 | 349.285 | ||
| 1.961 | D | AA SSGA ACTIONS INDICE EURO | 631.134 | 631.134 | ||
| 1.975 | D | AA TOCQUEVILLE ACTIONS EURO | 268.533 | 268.533 | ||
| 1.337 | D | AB SICAV III - DYNAMIC ALL MAR | 6.396 | 6.396 | ||
| 2.167 | D | AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC | 4.712 | 4.712 | ||
| ASSET AL LOCATION PORTFOLIO | ||||||
| 2.161 | D | AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE | 14.488 | 14.488 | ||
| PORTFOLIO | ||||||
| 1.356 | D | ABATEMATIE! AUGUSTO | 30 | 30 | ||
| 1.141 | D | ABB PENSION FUND | 6.618 | 6.618 | ||
| 972 | D | ABNFLPA RHUMBLINE INTL EQUITY 262408 | 3.182 | 3.182 | ||
| 1.748 | D | ABRDN OEIC II-ABRDN GLOBAL BALANCED GROWTH FUND | 14.033 | 14.033 | ||
| 1.769 | D | ABRDN OEIC IV-ABRDN EUROPEAN EQUITY TRACKER FUND | 123.139 | 123.139 | ||
| 469 | D | ACM IARD SA | 320.090 | 320.090 | ||
| 462 | D | ACM MUT FONDS GENERAL | 416.510 | 416.510 | ||
| 468 | D | ACM VIE S A CM CIC RETRAITE | 26.869 | 26.869 | ||
| 474 | D | ACM VIE SA FONDS GENERAL | 2.434.455 | 2.434.455 | ||
| 480 | D | ACM VIE SA PACTE RETRAITE EURO | 246.071 | 246.071 | ||
| 471 | D | ACM VIE SA SELR EURO | 197.670 | 197.670 | ||
| 1.663 | D | ACS 30:70 GLOBAL EQUITY TRACKER FUND | 25.909 | 25.909 | ||
| 1.939 | D | ACTICCIA 90 N 10 | 850.000 | 850.000 | ||
Legenda:
D: Delegante
8896152
| Badge | Titolare | Ordinaria | Straordinaria | |
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | |||
| 1.940 | D | ACTICCIA 90 N 11 | 663.660 | 663.660 |
| 1.941 | D | ACTICCIA 90 N 12 | 143.751 | 143.751 |
| 1.929 | D | ACTICCIA 90 N 7 | 823.684 | 823.684 |
| 1.931 | D | ACTICCIA 90 N 8 | 681.994 | 681.994 |
| 1.932 | D | ACT'ICCIA VIE 90 N 2 | 2.205.944 | 2.205.944 |
| 1.933 | D | ACTICCIA VIE 90 N 3 | 1.425.881 | 1.425.881 |
| 1.641 | D | ACTIVE M INTERNATIONAL EQUITY FUND | 128.472 | 128.472 |
| 1.266 | D | ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET ALLOCATION PORTFOLIO |
12.004 | 12.004 |
| 1.217 | D | ADVANCED SERIES TRUST AST ADVANCED STRATEGIES PORTFOLIO |
33.806 | 33.806 |
| 1.050 | D | ADVANCED SERIES TRUST AST BALANCED ASSET ALLOCATION PORTFOLIO |
67.606 | 67.606 |
| 1.05 1 | D | ADVANCED SERIES TRUST AST CAPITAL GROWTH ASSET ALLOCATION PORTFOLIO |
50.714 | 50.714 |
| 984 | D | ADVANCED SERIES TRUST AST INTERNATIONAL GROWTH | 138.433 | 138.433 |
| 1.049 | D | PORTFOLIO ADVANCED SERIES TRUST AST PRESERVATION ASSET |
6.322 | 6.322 |
| 1.110 | D | ALLOCATION PORTFOLIO ADVANCED SERIES TRUST AST PRUDENTIAL GROWTH |
118.701 | 118.701 |
| ALLOCATION PORTFOLIO | 12.356 | |||
| 1.757 | D | AEAM FUNDS - AEGON WORLD EQUITY BETA POOL (P | 12.356 | |
| 1.735 | D | AEGON CUSTODY B.V. | 361.739 | 361.739 |
| 1.717 | D | AEGON WORLD EQUITY INDEX FUND II | 143.191 | 143.191 |
| 91 | D | AEIS INSTITUTIONAL FUND - AKTIEN GLOBAL | 88.722 | 88.722 |
| 1.306 | D | AFER MARCHES EMERGENTS | 11.793 | 11.793 |
| 181 | D | AG2R RP MANDAT EURO | 70.000 | 70.000 |
| 1.889 | D | AGRICA ACTIONS OBJECTIF SCR | 162.426 | 162.426 |
| 1.798 | D | AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
4.443 | 4.443 |
| 1.800 | D | AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD |
1.618.890 | 1.618.890 |
| 873 | D | AIA GLOBAL MULTI-FACTOR EQUITY FUND | 10.004 | 10.004 |
| 1.097 | D | AIB GROUP IRISH PENSION SCHEME | 4.367 | 4.367 |
| 1.320 | D | AIM EQUITY EUROPE CANTONS | 66.111 | 66.111 |
| 1.273 | D | AJAY MALIK | 165.973 | 165.973 |
| 722 | D | ALASKA COMMON TRUST FUND | 86.842 | 86.842 |
| 1.099 | D | ALASKA PERMANENT FUND CORPORATION | 9.842 | 9.842 |
| ALASKA PERMANENT FUND CORPORATION | 1.591 | 1.591 | ||
| 1.234 | D | ALBATROS FD | 2.000 | 2.000 |
| 791 | D | ALBERTA INVESTMENT MANAGEMENT CORPORATION | 173.700 | 173.700 |
| 2.271 | D | ALFRED I. DUPONT CHARITABLE TRUST | 29.072 | 29.072 |
| 1.653 | D | 12.000 | 12.000 | |
| 1.888 | D | ALJACK2 ALKEN FUND - GLOBAL SUSTAINABLE CONVERTIBLE |
43.064 | 43.064 |
| 75 | D | 590.589 | 590.589 | |
| 180 | D | ALLEANZA ASSICURAZIONI SPA | 122.619 | 122.619 |
| 303 | D | ALLEANZA OBBLIGAZIONARIO | 580.000 | 580.000 |
| 2.101 | D | ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 16.200 | 16.200 |
| 916 | D | ALLIANZ CGI SUBFONDS EQUITIES | 53.006 | 53.006 |
| 2.145 | D | ALLIANZ GLOBAL INVESTORS FÜND |
Legenda:
D: Delegante
2
14/05/2025
88961 53
| Radge | litolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 917 | D | ALLIANZ GLOBAL INVESTORS GMBH | 364.077 | 364.077 |
| 95 | D | ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS | 36.140 | 36.140 |
| AOKNW-AR SEGMENT OK WLCO-AKTIEN | ||||
| 107 | D | ALLIANZ GLOBAL INVESTORS GMBFI W/ALLIANZGI-FONDS | 20.000 | 20.000 |
| S?WE | ||||
| 134 | D | ALLIANZ GLOBAL INVESTORS GMBH W/LIPCO III | 4.410 | 4.410 |
| D | ||||
| 1.321 | ALLIANZ IARD MULTI-ASSETS CORE | 130.829 | 130.829 | |
| 2.102 | D | ALLIANZ ITALIA 50 SPECIAL | 12.000 | 12.000 |
| 923 | D | ALLIANZ PV-WS RCM SYSPRO VALUE EUROPE | 9.984 | 9.984 |
| 919 | D | ALLIANZ VGL AGI QUANTAMENTAL CONVICTION ENHANCED EUROPE |
33.150 | 33.150 |
| 244 | D | ALLIANZGI FONDS OB PENSION | 10.130 | 10.130 |
| 174 | D | ALLIANZGI-FONDS AVP | 1.043 | 1.043 |
| 201 | D | ALLIANZGI-FONDS DPF DILLINGER PENSIONSFONDS MF | 13.353 | 13.353 |
| 184 | D | ALLIANZGI-FONDS GANO | 1.517 | 1.517 |
| 208 | D | ALLIANZGI-FONDS GANO 2 | 12.140 | 12.140 |
| 207 | D | ALLIANZGI-FONDS GDP | 4.000 | 4.000 |
| 178 | D | ALLIANZGI-FONDS GRILLPARZER | 16.000 | 16.000 |
| 256 | D | ALLIANZGI-FONDS PFD | 1.637 | |
| ALLIANZGI-FONDS TOSCA | 1.637 | |||
| 259 | D | 22.689 | 22.689 | |
| 254 | D | ALLIANZGI-FONDS VSBW | 28.589 | 28.589 |
| 166 | D | ALLIANZGI-SUBFONDS TOB -NEU- | 23.320 | 23.320 |
| 1.884 | D | ALLOCATION INVEST EQUITY SATELLITE | 168.414 | 168.414 |
| 2.010 | D | ALLOCATION PROTECTION 80 | 471.200 | 471.200 |
| 218 | D | ALM ACTIONS EURO | 581.398 | 581.398 |
| 2.103 | D | ALMEGLIO - FONDO PENSIONE APERTO ALLEANZA A CONTRIBUZIONE DEFINITA |
7.711 | 7.711 |
| 2.426 | D | ALPS CORECOMMODITY NATURAL RESOURCES ETF | 17.941 | 17.941 |
| 1.615 | D | ALUMBRA INNOVATIONS FOUNDATION | 885 | 885 |
| 1.497 | D | ALW 2010 FAMILY TRUST. | 373.367 | 373.367 |
| 2.409 | D | AMERICAN BEACON INTERNATIONAL EQUITY FUND | 126.838 | 126.838 |
| 2.420 | D | AMERICAN BUREAU OF SHIPPING | 4.771 | 4.771 |
| 2.430 | D | AMERICAN CENTURY S.A.A. INC STRATEGIC ALLOCATION | 8.136 | 8.136 |
| AGGRESSIVE FUND | ||||
| 2.429 | D | AMERICAN CENTURY S.A.A.INC, STRATEGIC ALLOCATION | 7.983 | 7.983 |
| MODERATE FUNDC | ||||
| 2.428 | D | AMERICAN CENTURY S.A.A.INC,STRATEGIC ALLOCATION | 2.284 | 2.284 |
| CONSERVATIVE FUN | ||||
| 2.427 | D | AMERICAN CENTURY WORLD MUTUAL FUND INC NON US | 261.016 | 261.016 |
| INTRINSIC VALUE FUND | ||||
| 386 | D | AMERICAN HEART ASSOCIATION, INC. | 9.900 | 9.900 |
| 1.328 | D | AMIF - EMU EQUITY | 16.796 | 16.796 |
| 521 | D | AMORA MAILLE DIVERSIBIE | 2.241 | 2.241 |
| 327 | D | AMP CAPITAL GLOBAL QUALITY FUND | 4.442 | 4.442 |
| 419 | D | AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND | 25.578 | 25.578 |
| 426 | D | AMP INTERNATIONAL EQUITY INDEX FUND | 170.761 | 170.761 |
| 12.991 | 12.991 | |||
| 326 | D | AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | ||
| 348 | D | AMSELECT - PICTET GLOBAL MULTI-ASSET | 3.270 | 3.270 |
| 1.811 | D | AMUNDI ACCUMULAZIONE EQUITY QUALITY 2028 | 16.373 | 16.373 |
Legenda:
D: Delegante

| Badge | Titolare | A COLOR OF COLLECT TRACTION OF COLLECTION OF | ||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | |||
| 1.812 | D | AMUNDI ACCUMULAZIONE EQUITY QUALITY 2028 DUE???? | Ordinaria | Straordinaria |
| 1.979 | D | AMUNDI ACTIONS RESTRUCTURATION | 19.480 | 19.480 |
| 1.310 | D | AMUNDI BRIDGEWATER CORE GLOB | 55.585 | 55.585 |
| 924 | D | AMUNDI DEUTSCHLAND GMBH | 649 | 649 |
| 1.810 | D | AMUNDI DIVIDENDO ITALIA | 30.780 | 30.780 |
| 1.990 | D | AMUNDI EQUITY EURO CONSERVATIV | 239.500 | 239.500 |
| 910 | D | AMUNDI ETF ICA V | 611.879 | 611.879 |
| 908 | D | AMUNDI ETF ICAV - AMUNDI S&P 500 EQUAL WEIGHT ESG | 318.720 | 318.720 |
| LEADERS UCITS ETF | 90.846 | 90.846 | ||
| 003 | D | AMUNDI ETF ICAV - AMUNDI SANDP 500 EQUAL WEIGHT ESG | ||
| LEADERS UCITS ETF | 81.574 | 81.574 | ||
| 1.827 | D | AMUNDI EURO STOXX 50 | ||
| 1.978 | D | AMUNDI EUROPE MONDE | 1.912.929 | 1.912.929 |
| 1.817 | D | AMUNDI FTSE MIB | 30.380 | 30.380 |
| 1.828 | D | AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI | 600.856 | 600.856 |
| FACTORS | 54.911 | 54.911 | ||
| 1.829 | D | AMUNDI FUNDS DYNAMIC MULTI FACTORS EURO | ||
| 1.826 | D | AMUNDI FUNDS DYNAMIC MULTI FACTORS GLOBAL EQUITY | 86.438 | 86.438 |
| - EUROPE | 14.068 | 14.068 | ||
| 1.834 | D | AMUNDI FUNDS EQUITY EURO RISK PARITY | ||
| 1.821 | D | AMUNDI FUNDS EUROLAND EQUITY | 194.900 | 194.900 |
| 1.845 | D | AMUNDI FUNDS EUROPE EX-UK EQUITY | 5.307.893 | 5.307.893 |
| 1.844 | D | AMUNDI FUNDS EUROPEAN EQUITY | 1.210.741 | 1.210.741 |
| 1.822 | D | AMUNDI FUNDS EUROPEAN EQUITY TARGET INCO | 102.912 | 102.912 |
| 1.830 | D | AMUNDI FUNDS MULTI-ASSET REAL RETURN | 919.954 | 919.954 |
| 1.836 | D | AMUNDI INDEX MSCI EUROPE | 6.091 | 6.091 |
| 1.835 | D | AMUNDI INDEX MSCI WORLD | 1.829.563 | 1.829.563 |
| 1.825 | D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 148.248 | 148.248 |
| 1.885 | D | AMUNDI IPSA ACTIONS | 35.449 | 35.449 |
| 1.322 | D | AMUNDI MSCI EMU | 10.721 | 10.721 |
| 1.330 | D | AMUNDI MSCI EMU VALUE FACTOR U | 206.254 | 206.254 |
| 1.840 | D | AMUNDI MSCI WORLD ENERGY | 141.638 | 141.638 |
| 1.996 | D | AMUNDI PATRIMOINE PEA | 195.208 484.312 |
195.208 |
| 1.824 | D | AMUNDI PRIME EUROZONE | 45.098 | 484.312 |
| 1.946 | D | AMUNDI PULSACTIONS | 99.900 | 45.098 |
| 1.332 | D | AMUNDI SGR SPA / AMUNDI RISPARMIO ITALIA | 60.749 | 99.900 |
| 1.335 | D | AMUNDI SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE | 1 | 60.749 |
| 1.333 | D | AMUNDI SGR SPA/AMUNDI SVILUPPO ATTIVO ITALIA | 290.500 | - |
| 1.334 | D | AMUNDI SGR SPA/CORE PENSION FONDO PENSIONE APERTO | 143.799 | 290.500 |
| 1.336 | D | AMUNDI SGR SPA/SECONDAPENSIONE FONDO PENSIONE | 264.263 | 143.799 |
| APERTO | 264.263 | |||
| 1.842 | D | AMUNDI STOXX EUROPE 600 | 2.065.087 | 2.065.087 |
| 1.982 | D | AMUNDI STRATEGIES ACTIONS EURO OPTIM DIV HR | 79.759 | |
| 2.005 | D | AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 52.907 | 79.759 52.907 |
| 2.003 | D | AMUNDI STRATEGIES ACTIONS EUROPE CORE + | 14.989 | |
| 2.002 | D | AMUNDI STRATEGIES ACTIONS EUROPE OPTIM DIV HR | 3.025 | 14.989 3.025 |
| 2.001 | D | AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 5.185 | 5.185 |
| 1.994 | D | AMUNDI TRANSMISSION ACTIONS | 4.342 | 4.342 |
| 659 | D | ANZ PRIVATE GLOBAL EQUITIES TRUST | 4.797 | 4.797 |
| Legenda: |
D: Delegante
4 Pagina
8896155
14/05/2025
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.952 | D | AP ACTIONS I EURO | 93.322 | 93.322 |
| 1.955 | D | APICIL ACTIONS EURO | 9.792 | 9.792 |
| 162 | D | APOLLO INFRASTRUCTURE 2027 | 50.057 | 50.057 |
| 1.768 | D | APPIAN ASSET MANAGEMENT | 44.760 | 44.760 |
| 269 | D | APPLE 401(K) PLAN | 40.220 | |
| 444 | D | 40.220 | ||
| AQR ABS RETURN MASTER NON FLIP | 56.600 | 56.600 | ||
| 1.692 | D | AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT L.P. | 46.064 | 46.064 |
| PORTFOLIO MARGIN ACCT | ||||
| 1.689 | D | AQR DELTA MASTER ACCOUNT L.P. CAD EQUITIES | 685 | 685 |
| 1.777 | D | AQR DELTA MASTER ACCOUNT LP COOGIER FIDUCIARY SERVICES (CAYMAN) LTD |
2.851 | 2.851 |
| 1.685 | D | AQR EQUITY MARKET NEUTRAL GLOBAL VALUE FUND L.P. | 586.400 | 586.400 |
| 1.778 | D | AQR EQUITY MARKET NEUTRAL GLOBAL VALUE FUND L.P. | 30.693 | 30.693 |
| C/O AQR CAPITAL MANAGEMENT LL C. | ||||
| 740 | D | AQR FUNDS - AQR INTERNATIONAL DEFENSIVE STYLE FUND | 15.770 | 15.770 |
| 2.108 | D | AQR FUNDS AQR EQUITY MARKET NEUTRAL FUND | 124.320 | 124.320 |
| 2.105 | D | AQR FUNDS AQR LONGSHORT EQUITY FUND | 56.847 | 56.847 |
| 2.116 | D | AQR FUNDS AQR STYLE PREMIA ALTERNATIVE LV FUND | 54.459 | |
| 1.682 | D | 54.459 | ||
| AQR GLOBAL STOCK SELECTION OFFSHORE FUND II L.P. | 92.169 | 92.169 | ||
| 1.776 | C/O AQR CAPITAL MANAGEMENT LLC | |||
| D | AQR LUX FUNDS-AQR SYSTEMATIC TOTAL RETURN FUND | 9.756 | 9.756 | |
| 1.678 | D | AQR REAL RETURN MASTER ACCOUNT L.P. C/O AQR | 45.072 | 45.072 |
| CAPITAL MANAGEMENT LLC ACTING AS FUND MANAGER | ||||
| 2.117 | D | AQR TA GLOBAL RELAXED CONSTRAINT EQUITY FUND, L.P. | 24.414 | 24.414 |
| 1.693 | D | AQR TAX-AWARE DELPHI LONG SHORT EQUITY FUND LLC | 64.083 | 64.083 |
| 1.779 | D | AQR TAX-AWARE DELPHI PLUS FUND LLC C/O AQR | 28.021 | 28.021 |
| CAPITAL MANAGEMENT LLC | ||||
| 390 | D | AQUARIUS INTERNATIONAL FUND | 9.979 | 9.979 |
| 245 | D | ARABELLE ROTHSCHILD | 1.339 | 1.339 |
| 2.423 | D | ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 62.587 | 62.587 |
| 1.297 | D | ARCO FONDO NAZIONALE PENSIONE COMPLEMENTARE | 429 | 429 |
| 2.133 | D | ARERO - DER WELTFONDS - ESG | 76.948 | 76.948 |
| 1.035 | D | ARGA EAFE VALUE EQUITY CIT FUND ARGA EAFE VALUE | 183.792 | 183.792 |
| EQUITY CHI FUND | ||||
| 1.513 | D | ARGA FUND TRUST SERIES - ARGA INTERNATIONAL FUND | 87.914 | 87.914 |
| 431 | D | ARGA INTERNATIONAL VALUE FUND | 57.957 | 57.957 |
| 1.156 | D | ARIZONA PSPRS TRUST | 272.238 | 272.238 |
| 1.054 | D | ARIZONA STATE RETIREMENT SYSTEM | 235.701 | 235.701 |
| 1.998 | D | ARKEA DS - LIQUIDITES PEA | 87.399 | 87.399 |
| 1.997 | D | ARKEA SELECT - ACTIONS EUROPE | 75.069 | 75.069 |
| 2.202 | D | ARKWRIGHT, LLC | ||
| 20.484 | 20.484 | |||
| 242 | D | ARRCO QUANT I | 75.746 | 75.746 |
| 1.951 | D | ARRCO QUANT 2 | 53.715 | 53.715 |
| 2.300 D ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND 1 | 74.214 | 74.214 | ||
| 2.301 D ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 19.603 | 19.603 | ||
| 2.068 D ARROWSTREET (CANADA) GLOBAL WORLD ALPHA EXTENSION FUND I |
26.368 | 26.368 | ||
| 1.686 | D | ARROWSTREET CAPITAL GLOBAL ALL COUNTRY ALPHA EXTENSION FUND (CAYMAN)LTD |
158.975 | 158.975 |
Legenda:
D: Delegante
8896156
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | ||
| 978 | D | ARROWSTREET COLLECTIVE INVESTMENT TRUST | Straordinaria | |
| 657 | D | ARROWSTREET GLOBAL EQUITY FUND | 202.900 | 202.900 |
| 1.168 | D | ARROWSTREET US GROUP TRUST | 129.177 | 129.177 |
| 1.484 | D | ARVEST FOUNDATION | 219.843 | 219.843 |
| 62 | D | ASAST AKTIEN AUSLAND PASSIV UBS FUND MANAGEMENT | 1.014 | 1.014 |
| SWITZERLAND AG | 9.071 | 9.071 | ||
| 1.325 | D | ASB AXION SCV-BANCASTATO AZION | ||
| 1.326 | D | ASB AXION SICAV BANCASTATO RED | 12.000 | 12.000 |
| 1.327 | D | ASB AXION SICAV-BANCASTATO BIL | 14.000 | 14.000 |
| 1.324 | D | ASI - PROGETTO SVILUPPO ORIENT | 30.000 | 30.000 |
| 1.329 | D | ASI PROGETTO AZIONE RESS OPP ( | 2.863 | 2.863 |
| 1.323 | D | ASI -PROGETTO SVILUPPO ORIENTE | 21.994 | 21.994 |
| 1.389 | D | ASSET MANAGEMENT EXCHANGE UCIT'S CCF | 5.927 | 5.927 |
| 319 | D | ASSICURAZIONI GENERALI SPA | 4.012 | 4.012 |
| 1.980 | D | ASSURDIX | 2.429 | 2.429 |
| 233 | D | ATCP-UI-FONDS | 177.760 | 177.760 |
| 1.775 | D | ATLAS MACRO MASTER FUND LTD. C/O MAPLES CORPORATE | 8.556 | 8.556 |
| SERVICES LIMITED | 1.454 | 1.454 | ||
| 1.781 | D | ATLAS TERRA INTERMEDIATE FUND LTD. | ||
| 1.972 | D | AUDIENS DIVERSIFIE L - ACTION | 2.297 | 2.297 |
| 1.216 | D | AURION GLOBAL EQUITY FUND | 82.120 | .82.120 |
| 297 | D | AUROFONDO EQUILIBRADO FP | 7.794 | 7.794 |
| 2.084 | D | AUSTRALIAN RETIREMENT TRUST | 36.026 | 36.026 |
| 615 | D | AUSTRALIANSUPER | 146.111 | 146.111 |
| 966 | D | AUTORIDADE MONETARIA DE MACAU | 931.605 | 931.605 |
| 149 | D | AVADIS FUND-AKTIEN WELT AST 2 | 3.157 | 3.157 |
| 151 | D | AVADIS FUND-AKTIEN WELT CO2 SELECT AST 2 | 45.033 | 45.033 |
| 1.550 | D | AVALON PORTFOLIO II LLC | 14.178 | 14.178 |
| 2.032 | D | AVENIR PROTECTION 90 | 1.286 | 1.286 |
| 877 | D | AVIVA INVESTORS FUNDS ACS - AI BALANCED LIFE FUND | 34.130 | 34.130 |
| 878 | D | AVIVA INVESTORS FUNDS ACS - AI BALANCED PENSION | 8.497 | 8.497 |
| FUND | 4.699 | 4.699 | ||
| 874 | D | AVIVA INVESTORS FUNDS ACS - AI CAUTIOUS PENSION FUND | ||
| 900 | D | AVIVA INVESTORS FUNDS ACS - AI DISTRIBUTION LIFE FUND | 2.094 | 2.094 |
| 884 | D | AVIVA INVESTORS FUNDS ACS - AVIVA INVESTORS UK | 6.519 | 6.519 |
| LISTED EQUITY INCOME FUND | 106.717 | 106.717 | ||
| 579 | D | AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA | ||
| INVESTORS INTERNATIONAL INDEX TRACKING FUND | 36.145 | 36.145 | ||
| 894 | D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 30:70 GLOBAL | ||
| EQUITY (CURRENCY HEDGED) INDEX FUND | 11.661 | 11.661 | ||
| 886 | D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 50:50 GLOBAL | ||
| EQUITY INDEX FUND | 14.855 | 14.855 | ||
| 909 | D AVIVA INVESTORS PASSIVE FUNDS ACS - AI 60:40 GLOBAL | |||
| EQUITY INDEX FUND | 57.482 | 57.482 | ||
| 882 | D AVIVA INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL | |||
| EUROPEAN EQUITY INDEX FUND | 4.983 | 4.983 | ||
| 880 | D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED | ||
| EUROPEAN EX UK EQUITY INDEX FUND | 4.350 | 4.350 | ||
| 906 | D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED | ||
| I coenda | 2.856 | 2.856 |
D: Delegante
14/05/2025
14/05/2025
88961 (57
| numer | LIGHTC | Ordinaria | |||||
|---|---|---|---|---|---|---|---|
| Deleganti / Rappresentati legalmente Straordinaria Tipo Rap. |
|||||||
| 580 | D | WORLD EX UK EQUITY INDEX FUND | |||||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA | 292 | 292 | |||||
| D | INVESTORS MULTI-ASSET CORE FUND I | ||||||
| 682 | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA | 3.196 | 3.196 | ||||
| 669 | D | INVESTORS MULTI-ASSET CORE FUND II AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS |
|||||
| MULTI-ASSET CORE FUND II | 6.975 | 6.975 | |||||
| 665 | D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC A VIVA | |||||
| INVESTORS MULTI-ASSET CORE FUND IV | 5.812 | 5.812 | |||||
| 690 | D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA | 2.074 | ||||
| INVESTORS MULTI-ASSET CORE FUND V | 2.074 | ||||||
| 901 | D | AVIVA INVESTORS UK FUND SERVICES LIMITED | 117.655 | ||||
| 671 | D | AVIVA LIFE & PENSIONS IRELAND DAC | 52.023 | 117.655 52.023 |
|||
| 565 | D | AVIVA LIFE & PENSIONS UK LIMITED | 131.995 | ||||
| 879 | D | AVIVA LIFE AND PENSIONS UK LIMITED | 18.456 | 131.995 18.456 |
|||
| 2.078 | D | AWARE SUPER | 9.548 | 9.548 | |||
| 220 | D | AXA AA DIVERSIFIE INDICIEL 1 | 171.498 | 171.498 | |||
| 219 | D | AXA INDICE EURO | 113.271 | 113.271 | |||
| 2.239 | D | AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF | 61.308 | 61.308 | |||
| AXA (CH) STRATEGY FUND - GLOBAL EQUITY CHF | |||||||
| 1.150 | D | AXA MPS FINANCIAL DESIGNATED ACTIVITY CO | 192.000 | 192.000 | |||
| 2.480 | D | AXA MPS PREVIDENZA PER TE - CRESCITA | 827.870 | 827.870 | |||
| 231 | D | AXA OR ET MATIERES PREMIERES | 71.228 | 71.228 | |||
| 225 | D | AXA PEA REGULARITE | 3.022.447 | 3.022.447 | |||
| 53 | D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS | 347.598 | 347.598 | |||
| PASSIVE UBS FUND MANAGEMENT SWITZERLAND AG | |||||||
| 60 | D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS | 812.828 | 812.828 | |||
| UBS FUND MANAGEMENT SWITZERLAND AG | |||||||
| 2.146 | D | AZ EURO INVESTMENTS S.A. | 439.830 | 439.830 | |||
| 325 | D | AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 145.213 | 145.213 | |||
| 435 | D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 468.400 | 468.400 | |||
| 337 | D | AZ FUND 1 CGM OPPORTUNISTIC EUROPEAN | 20.000 | 20.000 | |||
| 420 | D | AZ FUND 1-AZ ALLOCATION-STRATEGICBALANCED | 3.200 | 3.200 | |||
| CATHOLIC VALUES | |||||||
| 200 | D | AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 361.843 | 361.843 | |||
| 1.697 | D | AZIMUT LIFE DAC | 135.852 | 135.852 | |||
| 1.220 | D | AZL DFA INTERNATIONAL CORE EQUITY FUND | 44.072 | 44.072 | |||
| 1.074 | D | AZL GLOBAL EQUITY INDEX FUND 114072 AZL MSCI GLOBAL | 10.875 | 10.875 | |||
| EQU | |||||||
| 1.219 | D | AZL INTERNATIONAL INDEX FUND | 141.079 | 141.079 | |||
| 343 | D | AZTF - AZ EQUITY -SPACE | 1.538 | 1.538 | |||
| 506 | D | BALL PACKAGING EUROPE | 1.004 | 1.004 | |||
| 49 | D | BALOISE FUND INVEST 2 CHIF AKTIEN WELT EX SCH WEIZ | 15.079 | 15.079 | |||
| PASSIV UBS FUND MANAGEMENT SWITZERLAND AG | |||||||
| 65 | D | BALOISE FUND INVEST CH AKTIEN WELT EX SCHWEIZ | 10.572 | 10.572 | |||
| PASSIV UBS FUND MANAGEMENT SWITZERLAND AG | |||||||
| 960 | D | BANCO BILBAO VIZCA YA ARGENTARIA SA | 216.964 | 216.964 | |||
| 961 | D | BANCO BILBAO VIZCA YA ARGENTARIA SA | 2.000 | 2.000 | |||
| 758 | D BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 124.663 | 124.663 | ||||
Legenda:
D: Delegante
Pagina
7
68961 88
ENI S.p.A.
| Badge | Titolare | ||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| 1.666 | D | BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE | 9.476 | 9.476 | |
| FIDEICOMISO DE FOND O DE AFORRO DE PAÑAMA | |||||
| 1.098 | D | BANK OF KOREA | 95.729 | 95.729 | |
| 2.270 | D | BANK OF KOREA | 33.611 | 33.611 | |
| 289 | D | BANSABADELL 1006, FONDO DE PENSIONES | 3.117 | 3.117 | |
| 372 | D | BANSABADELL 1007, FONDO DE PENSIONES | 3.905 | 3.905 | |
| 359 | D | BANSABADELL 1008, FONDO DE PENSIONES | 3.813 | 3.813 | |
| 361 | D | BANSABADELL 1009, FONDO DE PENSIONES | 5.587 | 5.587 | |
| 314 | D | BANSABADELL 2000 FP | 238 | 238 | |
| 376 | D | BANSABADELL 36, F.P. | 895 | 895 | |
| 366 | D | BANSABADELL 5, FONDO DE PENSIONES | 7.061 | 7.061 | |
| 311 | D | BANSABADELL 59, FONDO DE PENSIONES | 3.374 | 3.374 | |
| 396 | D | BANSABADELL 60, FONDO DE PENSIONES | 2.994 | 2.994 | |
| 397 | D | BANSABADELL 62, FONDO DE PENSIONES | 3.156 | 3.156 | |
| 310 | D | BANSABADELL 64, FONDO DE PENSIONES | 2.399 | 2.399 | |
| 400 | D | BANSABADELL 65, FONDO DE PENSIONES | 1.098 | 1.098 | |
| 402 | D | BANSABADELL 66, FONDO DE PENSIONES | 681 | 681 | |
| 375 | D | BANSABADELL 67, FONDO DE PENSIONES | 584 | 584 | |
| 371 | D | BANSABADELL 68, FONDO DE PENSIONES | 331 | 331 | |
| 302 | D | BANSABADELL PREVISION EPSV INDIVIDUAL | 7.113 | 7.113 | |
| 1.363 | D | BANTLEON SELECT SICAV, BANTLEON GLOBAL MULTI ASSET | 2.881 | 2.881 | |
| 1.634 | D | BAPTIST FOUNDATION OF TEXAS DBA HIGHGROUND | 82.690 | 82.690 | |
| ADVISORS | |||||
| 1.613 | D | BAPTIST HEALTH SOUTH FLORIDA INC. | 107.051 | 107.05 I | |
| 1.358 | D | BARBERO LORENZO | 537 | 537 | |
| 40 | D | BARTOLINI EMANUELE | म | 1 | |
| 1.482 | D | BATTELLE PENSION TRUST | 56.500 | 56.500 | |
| 679 | D | BAYERNINVEST AA I-FONDS | 68.158 | 68.158 | |
| 744 | D | BAYERNINMEST HAI-FONDS | 44.654 | 44.654 | |
| 793 | D | BAYERNINVEST HC1-FONDS | 27.167 | 27.167 | |
| 2.326 | D | BAYERNINVEST KAPITALVERWALTUNGSGESELLSCHAFT MBH | 5.442 | 5.442 | |
| FOR BAYERNINVEST BAY I-FONDS | |||||
| 116 | D | BAYERNINVEST KAPITALVERWALTUNGSGESELLSCHAFT MBH | 12.540 | 12.540 | |
| W/LIBI-FONDS | |||||
| 141 | D | BAYERNINVEST KAPITALVERWALTUNGSGESELLSCHAFT MBH | 13.356 | ||
| W/VECO (AKTIEN) | 13.356 | ||||
| 795 | D | BAYERNINVEST KVG MBH | 782.645 | 782.645 | |
| 660 | D | BAYERNINVEST PEE-FONDS | 88.000 | 88.000 | |
| 703 | D | BAYERNINVEST VRK-FONDS | 22.100 | 22.100 | |
| 585 | D | BBP INKA | 25.134 | 25.134 | |
| 1.862 | D | BBVA GLOBAL FUNDS - ROBLE FUND | 2.900 | ||
| 1.046 D | BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN | 2.900 | |||
| EQUITY FUND | 26.008 | 26.008 | |||
| 1.516 D | BEAR CREEK INVESTMENT LLC | 8.377 | 8.377 | ||
| 1.500 D | BEAT DRUGS FUND ASSOCIATION | 4.269 | 4.269 | ||
| 1.614 D | BECHTEL NR PROGRAM PENSION MASTER TRUST | 20.479 | 20.479 | ||
| 1.893 D | BEL EQUITY EUROPE | 111.05 1 | 11.051 | ||
| 1.688 D | BEMAP MASTER FUND LTD | 2.463 | 2.463 | ||
| 1.754 | D | BERESFORD FUNDS ICA V | 35.992 | 35.992 | |
Legenda:
D: Delegante
14/05/2025
88961 59
| Dauge | T ITOMIT C | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 508 | D | BERGERIE FAMILY | 2.200 | 2.200 |
| 2.147 | D | BERGOS | 67.570 | 67.570 |
| 54 | D | BERNISCHE LEHRERVERSICHERUNGSKASSE | 62.166 | 62.166 |
| 47 | D | BERNISCHE PENSIONSKASSE | 197.616 | 197.616 |
| 951 | D | BESSEMER TRUST CO CLEARING ACCT | 164.740 | 164.740 |
| 861 | D | BEST INVESTMENT CORPORATION | 640.308 | 640.308 |
| 1.846 | D | BEST OF FUNDS GLOBAL SELECTION | 318.930 | 318.930 |
| 1.809 | D | BG MASTER FUND ICA V. | 514 | 514 |
| 377 | D | BG PENSIONES CRECIMIENTO, FONDODE PENSIONES | 12.588 | 12.588 |
| 1.187 | D | BGF DYNAMIC HIGH INCOME FUND | 117.513 | 117.513 |
| 1.186 | D | BGF GLBL MLTI ASSET IN FD EQ BSKT | 74.253 | 74.253 |
| 203 | D | BI AKTIENFONDS | 161.754 | 161.754 |
| 367 | D | BIDEPENSION EPSV | 1.719 | 1.719 |
| 1.793 | D | BIMCOR GLOBAL EQUITY POOLED FUND | 1 | 1 |
| 733 | D | BKM | 668.823 | 668.823 |
| 1.163 | D | BLACKROCK ADVANTAGE INTERNATIONAL FUND | 278.710 | 278.710 |
| 2.118 | D | BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR | 81.894 | 81.894 |
| ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY | ||||
| INDEX | ||||
| 1.662 | D | BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 3.472.441 | 3.472.441 |
| 628 | D | BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 76.144 | 76.144 |
| 634 | D | BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 386.637 | 386.637 |
| 644 | D | BLACKROCK CDN WORLD INDEX FUND | 155.803 | 155.803 |
| 1.247 | D | BLACKROCK FUND MANAGERS LTD | 706.389 | 706.389 |
| 281 | D | BLACKROCK FUNDS I ICA V | 100 | 100 |
| 1.127 | D | BLACKROCK GLOBAL FUNDS | 635 | 635 |
| 2.143 | D | BLACKROCK GLOBAL INDEX FUNDS | 113.082 | 113.082 |
| 1.161 | D | BLACKROCK IG INTERNATIONAL EQUITY POOL | 10.240 | 10.240 |
| 574 | D | BLACKROCK INDEX SELECTION FUND | 1.574.507 | 1.574.507 |
| 576 | D | BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 152.371 | 152.371 |
| 623 | D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. | 17.888.132 | 17.888.132 |
| INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS | ||||
| 666 | D | BLACKROCK INTERNATIONAL INDEX V.I. FUND OF | 27.210 | 27.210 |
| BLACKROCK VARIABLE SERIES FUNDS, INC. | ||||
| 1.119 | D | BLACKROCK LIFE LIMITED | 45.416 | 45.416 |
| 1.162 | D | BLACKROCK LIFE LTD | 371.134 | 371.134 |
| 643 | D | BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK | ||
| 1.653 | 1.653 | |||
| VARIABLE SERIES FUNDS, INC. | 401.686 | |||
| 653 | D | BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B |
401.686 | |
| 1.250 | D | BLACKROCK SOLUTIONS FUNDS ICA V | 151.839 | 151.839 |
| 596 | D | BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL | 619 | 619 |
| EQUITY FUND OF BLACKROCK FUNDS | ||||
| 645 | D | BLACKROCK TACTICAL OPPORTUNITIES FUND OF | 56.546 | 56.546 |
| BLACKROCK FUNDS | ||||
| 1.670 | D | BLACKROCK UCHN CCP | 143.742 | 143.742 |
| 2.064 | D . | BLACKROCK WORLD EX US CARBON TRANSITION READINESS | 43.248 | 43.248 |
| ETF | ||||
| 2.503 | D | BLACKSTONE ALTERNATIVE MULTI-STRATEGY SUB FUND II | 9.447 | 9.447 |
| Legenda: |
D: Delegante
9

ﻟﻤﺎ ﺗﻮ ﻭ
ENI S.p.A.
| Badge | Titolare | ||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| LTD | |||||
| 1.346 | D | BLK MAGI FUND, A SERIES TRUST | 489 | 489 | |
| 912 | D | BLKB EQUITY SWITZERLAND FOCUS | 1.264.806 | 1.264.806 | |
| 1.212 | D | BLL GLOBAL EQ LARGE CAP SCR INX F | 17.858 | 17.858 | |
| 730 | D | BLM | 112.507 | 112.507 | |
| 2.229 | D | BMO INTERNATIONAL EQUITY FUND | 27.390 | 27.390 | |
| 2.417 | D | BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 127.517 | 127.517 | |
| 2.416 | D | BMO MSCI EAFE INDEX ETF | 735.508 | 735.508 | |
| 160 | D | BNP PARIBAS CARDIF VITA COMPAGNIA DI ASSICURAZIONE | 71.849 | 71.849 | |
| E RIASSICURAZ SPA | |||||
| 182 | D | BNP PARIBAS DEEP VALUE | 45.759 | 45.759 | |
| 408 | D | BNP PARIBAS EASY - MSCI EUROPE ESG FILTERED MIN TE | 247.796 | 247.796 | |
| 430 | D | BNP PARIBAS EASY - MSCI EUROPE EX CW | 391.124 | 391.124 | |
| 438 | D | BNP PARIBAS EASY ICAV - BNP PARIBAS EASY MSCI WORLD | 23.310 | 23.310 | |
| ESCRICITERED MIN TENCHISTO | |||||
| 188 | D | BNP PARIBAS ENERGIE & INDUSTRIE EUROPE ISR | 232.666 | 232.666 | |
| 214 | D | BNP PARIBAS EQUITY - FOCUS ITALIA | 56.102 | 56.102 | |
| 336 | D | BNP PARIBAS FUNDS - EURO LOW VOL EQUITY | 13.950 | 13.950 | |
| 425 | D | BNP PARIBAS FUNDS - SEASONS | 3.422.210 | 3.422.210 | |
| 227 | D | BNP PARIBAS MULTISTRATEGIES PROTECTION 80 | 33 219 | 331.219 | |
| 334 | D | BNPP DUBLIN / FAM SERIES UCITS ICAV ESG TAR GLOB | 139.567 | 139.567 | |
| COUPON 2026 FAM FD II | |||||
| 332 | D | BNPP DUBLIN / FAM SERIES UCITS ICAV/DYNAMIC PROFILE | 169.064 | 169.064 | |
| FINECO AM FUND II | |||||
| 433 | D | BNPP DUBLINIFAM SERIES UCITS ICAV - ESG TARG GLOB | 42.254 | 42.254 | |
| COUPON 2026 FAM FD | |||||
| 427 | D | BNPP DUBLIN/FAM SERIES UCITS ICAV ESG TAR GLOB COUPON | 34.866 | 34.866 | |
| 2026 FAM FD II | |||||
| 330 | D | BNPP DUBLIN/FAM SERIES UCITS ICAV ESG TGC 2026 FAM FD | 47.362 | 47.362 | |
| IV | |||||
| 391 | D | BNPP DUBLIN/FAM SERIES UCITS ICAV/ TARGET CHINA | 418.703 | 418.703 | |
| COUPON 2026 FAM FUND | |||||
| 344 | D | BNPP DUBLIN/FAM SERIES UCITS ICAV/DYNAMIC PROFILE | 19.887 | ||
| FINECO AM FUND I | 19.887 | ||||
| 1.082 | D | BNY MELLON INTERNATIONAL EQUITY ETF | 62.907 | ||
| 1.221 | D | BNY MELLON INTERNATIONAL FUND | 106.125 | 62.907 | |
| 1.181 | D | BNY MELLON INTERNATIONAL STOCK INDEX FUND | 37.438 | 106.125 | |
| 1.009 | D | BNY MELLON INVESTMENT FUNDS VI BNY MELLON | 10.020 | 37.438 | |
| BALANCED OPPORTUNITY FUND | 10.020 | ||||
| 1.180 | D | BNY MELLON STOCK FUNDS BNY MELLON INTERNATIONAL | |||
| 62.437 | 62.437 | ||||
| CORE EQUI BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND |
|||||
| 1.041 | 164.669 | 164.669 | |||
| 974 | D | BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 74.343 | 74.343 | |
| 976 | D BNYM MELLON PE NSL INTERNATIONAL EQUITY FUND | 37.889 | 37.889 | ||
| 1.261 | D BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN | 2 | 2 | ||
| CHURCH IN AMERICA | |||||
| 1.262 | D | BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN | 4.559 | 4.559 | |
| CHURCH IN AMERICA | |||||
| 1.272 | D | BOCI PRUDENTIAL TRUSTEE LIMITED BOCPIFS EUIF | 134.931 | 134.931 | |
| Legenda: |
D: Delegante
14/05/2025
88961/61
| Dunke | THOUSEC | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.455 | D | BON SECOURS MERCY HEALTH | 39.408 | 39.408 |
| 318 | D | BOOSTER WHOLESALE SCHEME | 16.387 | 16.387 |
| 416 | D | BPI GLOBAL INVESTMENT FUND- MAVERICK GLOBAL FUND | 5.727 | 5.727 |
| 1.554 | D | BRANDES INSTITUTIONAL EQUITY TRUST. | 328.326 | 328.326 |
| 1.607 | D | BRANDES INTERNATIONAL EQUITY FUND | 1.425.078 | 1.425.078 |
| 1.016 | D | BRANDES INTERNATIONAL ETF | 167.900 | 167.900 |
| 1.608 | D | BRANDES INTERNATIONAL VALUE FUND | 183.327 | 183.327 |
| 2.415 | D | BRANDES INVESTMENT FUNDS PLC | 676.627 | 676.627 |
| 1.434 | D | BRANDES INVESTMENT PARTNERS LP 401K PLAN | 20.814 | 20.814 |
| 1.344 | D | BRIDGE BUILDER INTERNATIONAL E | 115.816 | 115.816 |
| 796 | D | BRIDGEWATER PURE ALPHA TRADING COMPANY IV, LP | 1.530 | 1.530 |
| 2.074 | D | BRIGHTER SUPER | 6.696 | 6.696 |
| 2.454 | D | BRIGHTHOUSE FUNDS TRUST I MFS RESEARCH | 732.217 | 732.217 |
| INTERNATIONAL PORTFOLIO | ||||
| 2.411 | D | BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL | 13.052 | 13.052 |
| MULTIASSE PORTFOLIO | ||||
| 2.449 | D | BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX | 163.579 | 163.579 |
| PORTFOLIO | ||||
| 1.664 | D | BRITISH COLUMBIA INVESTMENT MANAGEMENT | 3.116 | 3.116 |
| CORPORATION. | ||||
| 1.146 | D | BRUCE POWER PENSION PLAN | 9.841 | 9.841 |
| 995 | D | BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 30.191 | 30.191 |
| 317 | D | BS PREVISION EMPRESAS EPSV DE EMPLEO | 513 | 513 |
| 1.213 | D | BSF FORMUE EUR EQUITY INDEX FUND | 63.941 | 63.941 |
| 1.515 | D | BUILDERS ASSET MANAGEMENT WATER LLC | 68.503 | 68.503 |
| 1.598 | D | BUILDERS INITIATIVE FOUNDATION | 15.292 | 15.292 |
| 751 | D | BUMA-UNIVERSAL-FONDS I | 25.881 | 25.881 |
| 749 | D | BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 12.171 | 12.171 |
| 647 | D | BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 201.092 | 201.092 |
| 530 | D | CETA | 574 | 574 |
| 790 | D | C.A.A.A. 68 | 1.000 | 1.000 |
| 41 | D | CACEIS BANK, LUXEMBOURG BRANCH | 111.856 | 11.856 |
| 82 | D | CAISSE DE PR?VOYANCE DU PERSONNEL DE L'ETAT | 21.643 | 21.643 |
| (PENSIONSKASSE DES STAATSPERSONALS) | ||||
| 221 | D | CAISSE DES DEPOTS ET CONSIGNATIONS | 11.360.807 | 11.360.807 |
| 2.252 | D | CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 3.455.603 | 3.455.603 |
| 2.247 | D | CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 1.027.905 | 1.027.905 |
| 1.486 | D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE | 21.766 | 21.766 |
| QUALIFIED FUND | ||||
| 1.465 | D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT TWO | 31.286 | 31.286 |
| QUALIFIED FUND | ||||
| 2.404 D | CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 21.035 | 21.035 | |
| 323 | D | CAMBRIA FOREIGN SHAREHOLDER YIELD ETF | 213.735 | 213.735 |
| 165 | D | CAMGESTION A VENIR INVESTISSEMENT | 17.227 | 17.227 |
| 234 | D | CAMGESTION CLUB PATRIMOINE | 5.313 | 5.313 |
| 1.729 | D | CANADA LIFE ASSURANCE EUROPE LIMITED | 2.1 15.567 | 2.115.567 |
| 1.758 | D | CANADA LIFE ASSURANCE EUROPE PLC | 11.606 | 11.606 |
| 2.127 D | CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 4.234.861 | 4.234.861 | |
| 1.355 D CAP CONVICTIONS | 4.300 | 4.300 | ||
Legenda:
88961 62
14/05/2025
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 71 | D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS GLOBALES | 90.406 | 90.406 |
| 515 | D | CAPSUGEL | 3.533 | 3.533 |
| 2.412 | D | CAPULA TAIL RISK MASTER FUND LIMITED | 14.330 | 14.330 |
| 163 | D | CARDIF ASSURANCE VIE | 685 | 685 |
| 759 | D | CARESOPER | 120.122 | 120.122 |
| 549 | D | CARGILL ACTIONS | 5.772 | 5.772 |
| 552 | D | CARGILL MIXTE | 1.824 | 1.824 |
| 1.056 | D | CAROL SPEARS REV TRUST DTD 9 29 2006 | 1.975 | 1.975 |
| 1.911 | D | CARPIMKO LAZARD ACTIONS EURO | 341.265 | 341.265 |
| 1.067 | D | CASEY FP JP MORGAN GREI 014528 | 955 | 955 |
| 2 | D | CASSA DEPOSITI E PRESTITI SPA | 936.179.478 | 936.179.478 |
| 387 | D | CASTELLANA PENSIONES FP | 204 | 204 |
| 2.356 | D | CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 13.713 | 13.713 |
| 2.020 | D | CB IRE UCITS CLENTS ASSETS TAXABLE | 171.800 | 171.800 |
| 1.093 | D | CBIS GLOBAL FUNDS PUBLIC LTD CO | 50.000 | 50.000 |
| 1.552 | D | CC&L Q WORLD EX-USA EQUITY EXTENSION MASTER FUND | 3.072 | 3.072 |
| LIND. | ||||
| 1.095 | D | CCCVM TRANSITION ACTS MONDIALES | 29.462 | 29.462 |
| 625 | D | CDN MSCI EATE EXTENDED ESG FOCUS INDEX FUND A | 392.305 | 392.305 |
| 624 | D | CDN MSCI WORLD EX-CANADA MINIMUM VOLATILITY | 23.545 | 23.545 |
| INDEX FUND | ||||
| 1.011 | D | CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF | 221.025 | 221.025 |
| OPERATING | ||||
| 998 | D | CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF | 98.092 | 98.092 |
| OPERATING ENGINEERS AND PARTICIPATING EMPLOYERS | ||||
| 2.487 | D | CENTRAL PROVIDENT FUND BOARD | 4.341 | 4.341 |
| 1.207 | D | CENTRAL STATES SE AND SW FLAND W FUNDS | 43.979 | 43.979 |
| 213 | D | CERES FONDS D ACTIONS MONDE | 37.222 | 37.222 |
| 1.004 | D | CERVURITE INTERNATIONAL LLC | 17.244 | 17.244 |
| 1.749 | D | CI SIL RE CNEALTH GS FD 16 | 50.648 | 50.648 |
| 1.709 | D | CFSIL-COMMONWLTH GBL SHARE FD 17 | 51.699 | 51.699 |
| 525 | D | CGI DYNAMIQUE | 6.438 | 6.438 |
| 928 | D | CH RIVER LABORAT FRANCE | 2.468 | 2.468 |
| 1.466 | D | CHARLES C. GATES TRUST OF 6/30/1941 | 531 | 531 |
| 784 | D | CHAROBAROLE | 1.200 | 1.200 |
| 1.433 | D | CHEVRON MASTER PENSION TRUST | 196.000 | 196.000 |
| 1.566 | D | CHEVRON UK PENSION TRUSTEE LIMITED AS TRUSTEE OF | 8.626 | 8.626 |
| THE CHEVRON | ||||
| 1.950 | D | CHORELIA | 1.097.006 | 1.097.006 |
| 1.949 | D | CHORELIA N 2 | 338.238 | 338.238 |
| 1.891 | D | CHORELIA N 3 | 400.000 | 400.000 |
| 1.890 | D | CHORELIA N 6 | 580.256 | 580.256 |
| 1.892 | D | CHORELIA N 7 | 500.000 | 500.000 |
| 1.902 | D | CHORELIA N? 1 | 700.000 | 700.000 |
| 1.897 | D | CHORELIA N?9 | 700.000 | |
| 1.594 | D | CHRISTIE M. NAIFY 2016 TRUST UAD FEB 8 1991 | 4.325 | 700.000 |
| 1.080 | D | CIBC EUROPEAN INDEX FUND | 4.325 | |
| 1 | 1 | |||
| 1.078 | D | CIBC INTERNATIONAL EQUITY INDEX ETF | 5.636 | 5.636 |
| 1.081 | D | CIBC INTERNATIONAL EQUITY INDEX POOL | 3.344 | 3.344 |
Legenda:
Elenco Intervenuti (Tutti ordinati alfabeticamente)
88961 63
| 200000 | THOMALL Tipo Rap. |
Ordinaria | Straordinaria | |
|---|---|---|---|---|
| 1.075 | D | Deleganti / Rappresentati legalmente CIBC INTERNATIONAL EQUITY PRIVATE POOL |
||
| 1.079 | D | CIBC INTERNATIONAL INDEX FUND | 5.931 | 5.931 |
| 1.033 | D | 1.026 | 1.026 | |
| 1.225 | CIDEL BANK AND TRUST INC | 6.702 | 6.702 | |
| 1.034 | D D |
CIDEL INTERNATIONAL EQUITY FUND | 51.825 | 51.825 |
| D | CIDEL TRUST CO | 13.521 | 13.521 | |
| 87 | CIEPP - CAISSE INTER-ENTREPRISES DE PREVOYANCE PROFESSIONNELLE |
197.248 | 197.248 | |
| 1.528 | D | CINDY SPRINGS LLC | 165.370 | 165.370 |
| 1.249 | D | CITI RETIREMENT SA VINGS PLAN | 77.230 | 77.230 |
| 1.274 | D | CITIBANK NEW YORK A.D.R. DEPT | 28.165.142 | 28.165.142 |
| 1.275 | D | CITIBANK NEW YORK A.D.R. DEPT | 116.910 | 116.910 |
| 1.276 | D | CITIBANK NEW YORK A.D.R. DEPT | 3.628 | 3.628 |
| 1.277 | D | CITIBANK NEW YORK A.D.R. DEPT | 5.660 | 5.660 |
| 1.278 | D | CITIBANK NEW YORK A.D.R. DEPT | 39.150 | 39.150 |
| 1.279 | D | CITIBANK NEW YORK A.D.R. DEPT | 4.300 | 4.300 |
| 1.280 | D | CITIBANK NEW YORK A.D.R. DEPT | 15.490 | 15.490 |
| 1.281 | D | CITIBANK NEW YORK A.D.R. DEPT | 9.492 | 9.492 |
| 1.282 | D | CITIBANK NEW YORK A.D.R. DEPT | 2.124 | 2.124 |
| 1.283 | D | CITIBANK NEW YORK A.D.R. DEPT | 59.938 | 59.938 |
| 1.284 | D | CITIBANK NEW YORK A.D.R. DEPT | 1.542 | 1.542 |
| 1.285 | D | CITIBANK NEW YORK A.D.R. DEPT | 13.992 | 13.992 |
| 1.286 | D | CITIBANK NEW YORK A.D.R. DEPT | 1.560 | 1.560 |
| 1.287 | D | CITIBANK NEW YORK A.D.R. DEPT | 524 | 524 |
| 1.288 | D | CITIBANK NEW YORK A.D.R. DEPT | 036 | 936 |
| 1.289 | D | CITIBANK NEW YORK A.D.R. DEPT | 6.830 | 6.830 |
| 1.290 | D | CITIBANK NEW YORK A.D.R. DEPT | 6.080 | 6.080 |
| 1.291 | D | CITIBANK NEW YORK A.D.R. DEPT | 10.752 | 10.752 |
| 1.292 | D | CITIBANK NEW YORK A.D.R. DEPT | 96.822 | 96.822 |
| 1.086 | D | CITIGROUP PENSION PLAN | 32.222 | 32.222 |
| 1.763 | D | CHITRUST LIMITED | 72.350 | 72.350 |
| 1.765 | D | CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER | 20.347 | 20.347 |
| FUNDS-BLACKROCK WORLD EQUITY INDEX FUND | ||||
| 1.014 | D | CITW FUND LP | 2.455 | 2.455 |
| 1.636 | D | CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 1.557.817 | 1.557.817 |
| 1.637 | D | CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 253.324 | 253.324 |
| 1.650 | D | CITY OF MILWAUKEE EMPLOYEES RETIREMENT SYSTEM. | 267.757 | 267.757 |
| 2.302 | D | CITY OF NEW YORK GROUP TRUST | 284.949 | 284.949 |
| 2.312 | D | CITY OF NEW YORK GROUP TRUST | 2.120 | 2.120 |
| 2.488 | D | CITY UNIVERSITY OF NEW YORK | 1.365 | 1.365 |
| 1.944 | D | CL CENTRE MANCHE | 4.202 | 4.202 |
| 806 | D | CLARITY GLOBAL SHARES FUND | 66.467 | 66.467 |
| 1.851 D | CLEOME INDEX - EMU EQUITIES | 108.789 | 108.789 | |
| 1.849 D | CLEOME INDEX - EUROPE EQUITIES | 309.629 | 309.629 | |
| 1.850 D | CLEOME INDEX - WORLD EQUITIES | 7.151 | 7.151 | |
| 1.463 | D CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 28.624 | 28.624 | |
| 547 | D | CM-AM ADVANCED | 5.000 | 5.000 |
| 507 | D | CM-AM ALIZES DYNAMIQUE | 23.615 | 23.615 |
| 203 | D | CM-AM ALIZES EQUILIBRE | 113.687 | 113.687 |
| 550 | D | CM-AM ALIZES TEMPERE | 11.370 | 11.370 |
Legenda:
D: Delegante
13
8896169
Titolare
Badge
| Tipo Rap. Deleganti / Rappresentati legalmente |
||||
|---|---|---|---|---|
| 526 | D | CM-AM EUROPE DIVIDENDES | Ordinaria | Straordinaria |
| 560 | D | CM-AM EUROPE VALUE | 249.962 | 249.962 |
| 536 | D | CMI MEDIA | 1.235.804 | 1.235.804 |
| 1.854 | D | CMIG ACCESS 70% FLEXIBLE | 158 | 158 |
| 2.012 | D | CNP ASSUR VALUE ET MOMENTUM | 753 | 753 |
| 1.962 | D | CNP TOCQUEVILLE VALUE EUROPE I | 28.320 | 28.320 |
| 1.037 | D | CO OPERATIVE SUPERANNUATION SOCIETY PENSION PLAN | 184.308 | 184.308 |
| 1.866 | D | CO PERATIE KLAVERBLAD VERZEKERINGEN U.A. | 46.389 | 46.389 |
| 538 | D | COFACE N 1 | 43.339 | 43.339 |
| 2.452 | D | COLLEGE RETIREMENT EQUITIES FUND | 4.147 | 4.147 |
| 2.458 | D | COLLEGE RETIREMENT EQUITIES FUND | 494.619 | 494.619 |
| 1.747 | D | COLONIAL FIRST STATE GLOBAL SHARES FUND 13 | 2.064.325 | 2.064.325 |
| 1.710 | D | COLONIAL FIRST STATE INVESTMENT FUND 50. | 404.299 | 404.299 |
| 1.711 | D | 24.767 | 24.767 | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND |
131.195 | 131.195 | ||
| 1.021 | D | |||
| COLUMBIA SUSTAINABLE INTERNATIONAL EQUITY INCOME ETF |
29.666 | 29.666 | ||
| 265 | D | COMCAST CORPORATION RETIREMENT-INVESTMENT PLAN | ||
| 1.354 | D | COMITATO ARIA PULITA | 140.500 | 140.500 |
| 761 | D | COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) | 1 | - |
| OF JP MORGAN CHASE BANK, N.A. | 1.182.714 | 1.182.714 | ||
| 764 | D | COMMINGLED PENSION TRUST FUND (GLOBAL ALL COUNTRY | ||
| 2.846 | 2.846 | |||
| RESEARCH ENHANCED EQUITY) OF JPMORGAN CHASE BANK, N.A. |
||||
| 2.159 | D | |||
| 1.624 | D | COMMONFUND STRATEGIC SOLUTIONS GLOBAL EQUITY, LLC COMMONWEALTH OF MASSACHUSETTS EMPLOYEES |
11.174 | 11.174 |
| DEFERRED COMPENSATION PLAN | 117.524 | 117.524 | ||
| 524 | D | CONGREGATION DES SOEURS DE LA CROIX | ||
| 575 | D | CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 237 | 237 |
| 992 | D | CONSOLIDATED EDISON RETIREMENT PLAN | 39.263 | 39.263 |
| 1.478 | D | 80.951 | 80.951 | |
| 1.476 | D | CONSTELLATION FITZPATRICK QUALIFIED FUND | 47.691 | 47.691 |
| 1.475 | D | CONSTELLATION LIMERICK UNIT I QUALIFIED FUND | 24.883 | 24.883 |
| 1.473 | D | CONSTELLATION LIMERICK UNIT 2 QUALIFIED FUND | 26.627 | 26.627 |
| 1.472 | D | CONSTELLATION PEACH BOTTOM UNIT I QUALIFIED FUND. | 7.483 | 7.483 |
| 1.474 | D | CONSTELLATION PEACH BOTTOM UNIT 2 QUALIFIED FUND | 15.134 | 15.134 |
| 1.479 | D | CONSTELLATION PEACH BOTTOM UNIT 3 QUALIFIED FUND | 16.399 | 16.399 |
| 1.480 | D | CONSTELLATION SALEM UNIT 1 QUALIFIED FUND | 13.921 | 13.921 |
| 771 | D | CONSTELLATION SALEM UNIT 2 QUALIFIED FUND | 10.506 | 10.506 |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND |
60.041 | 60.041 | ||
| 1.464 | D | |||
| CONSUMERS ENERGY COMPANY NON-UNION WELFARE | 2.321 | 2.321 | ||
| BENEFIT TRUST TO PROVIDE FOR RETIREE HEALTH CARE AND |
||||
| 1.937 D | CONTI DIVERSIFIE | |||
| 1.917 | D | CONTI GESTION | 54.738 | 54.738 |
| 1.977 | D | CONTI PLACEMENTS | 23.329 | 23.329 |
| 533 | D | CONTINENTAL | 70.395 | 70.395 |
| 1.357 | D | CONTU GIUSEPPE | 5.351 | 5.351 |
| 518 | D | CONVERGENCE ACTIONS EUROPE | 2.042 | 2.042 |
| 51.848 | 51.848 | |||
| Legenda: |
D: Delegante
14/05/2025
| Assemblea Ordinaria/Straordinaria | ||
|---|---|---|
| -- | -- | ----------------------------------- |
| Radite | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 529 | D | CONVERGENCE ACTIONS FRANCE | 31.964 | 31.964 |
| 930 | D | CONVICTION PATRIMOINE | 15.000 | 15.000 |
| 2.030 | D | CORALIUM PEA SANT? | 177.096 | 177.096 |
| 1.801 | D | CORECOMMODITY MANAGEMENT - FOUNDERS ABSOLUTE | 490 | 490 |
| RETURN MASTER FUND LTD. C/O DMS CORPORATE SERVICES | ||||
| LTD | ||||
| 394 | D | CORECOMMODITY MANAGEMENT COMPLETECOMMODITIES | 612 | 612 |
| CIT FUND | ||||
| 1.001 | D | COUNSEL DEFENSIVE GLOBAL EQUITY | 2.209 | 2.209 |
| 1.223 | D | COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF | 124.608 | 124.608 |
| COOK COUNTY | ||||
| 2.341 | D | COUNTY OF LOS ANGELES SAVINGS PLAND THRIFT PLAN | 240.598 | 240.598 |
| 1.596 | D | COVENANT HEALTH | 15.600 | 15.600 |
| 1.698 | D | CPL-ACF BS FUELGENERGY CO-CCYHDG | 102.116 | 102.116 |
| 1.988 | D | CPR EUROLAND PREMIUM ESG | 5.510 | 5.510 |
| 1.818 | D | CPR INVEST - GLOBAL RESOURCES | 478.851 | 478.851 |
| 785 | D | CR DIT MUTUEL ALLIANCE | 2.000 | 2.000 |
| 266 | D | CREDIT SUISSE INDEX FUND (LUX) | 941.573 | 941.573 |
| 1.935 | D | CRN AMUNDI ACTIONS | 129.883 | 129.883 |
| 543 | D | CRYOSTAR SAS | 321 | 321 |
| 1.649 | D | CSAA INSURANCE EXCHANGE | 9.932 | 9.932 |
| 1.378 | D | CSS VERSICHERUNG AG | 16.699 | 16.699 |
| 777 | D | CSTISS-CM | 1.200 | 1.200 |
| 1.681 | D | CTC ALTERNATIVE STRATEGIES LTD. | 18.206 | 18.206 |
| 1.154 | 1.154 | |||
| 495 | D | Cucurbine | ||
| 655 | D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN | 158.040 | 158.040 |
| SCIENCE AND TECHNOLOGY AGENCY 16619-9962 | ||||
| 2.421 | D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MHTB AMO | 76.538 | 76.538 |
| FISHER FOREIGN EQUITY TOTAL RETURN FUND (ELI | ||||
| 746 | D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO | 382.505 | 382.505 |
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR | ||||
| INTERNATIONAL EQUITY PASSIVE | ||||
| 578 | D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO | 230.600 | 230.600 |
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR PENSION | ||||
| FUND ASSOCIATION | ||||
| 1.342 | D | CUSTODY BANK OF JAPAN, LTD. RE | 34.859 | 34.859 |
| 810 | D | CUSTODY BANK OF JAPAN. LTD. RE: CMA MFS GLOBAL EX | 102.965 | 102.965 |
| JAPAN VALUE PENSION MOTHER FUND | ||||
| 335 | D | CUSTODY BANK OF JAPAN, LTD. RE: SMTB | 136.657 | 136.657 |
| DAIWA/WELLINGTON EUROPEAN EQUITY FUND (FOFS | ||||
| ONLY)(QII ONLY) | ||||
| 801 | D CUSTODY BANK OF JAPAN, LTD. RE: SMTB MFS BLENDED | 418.467 | 418.467 | |
| RESEARCH EUROPEAN EQUITY MOTHER FUND | ||||
| 385 | D CUSTODY BANK OF JAPAN, LTD. RE: STB BNP PARIBAS | 8.018 | 8.018 | |
| EUROPE EQUITY INCOME AND GROWTH MOTHER FUND | ||||
| 374 | D CUSTODY BANK OF JAPAN, LTD. RE: STB DATWA OUSHU | 14.180 | 14.180 | |
| KOU-HAITOU KABU MOTHER FUND | ||||
| 413 | D CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK | 29.793 | 29.793 | |
| INDEX MOTHER FUND(CURRENCY HEDGED) |
Legenda:
8896166
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 965 | D | CWB MCLEAN AND PARTNERS INTERNATIONAL EQUITY | 71.471 | 71.471 |
| POOL | ||||
| 1.467 | D | CYSTIC FIBROSIS FOUNDATION | 16.423 | 16.423 |
| 315 | D | D A S DIFESA AUTOMOBILISTICA SINISTRI SPA DI | 4.789 | 4.789 |
| ASSICURAZIONE | ||||
| 81 | D | DANSKE BANK PULJEINVEST | 56.524 | 56.524 |
| 640 | D | DANSKE INVEST ALLOCATION | 119.688 | 119.688 |
| 561 | D | DANSKE INVEST COMPASS EQUITY FUND | 1.607 | 1.607 |
| 654 | D | DANSKE INVEST SICA V | 395.160 | 395.160 |
| 194 | D | DBI-STIFTUNGSFONDS WISSENSCHAFT | 3.973 | 3.973 |
| 1.022 | D | DE DB WELLINGTON INTL LG | 153.730 | 153.730 |
| 1.797 | D | DE SHAW ORIENTEER PORTFOLIOS LLC | 10.369 | 10.369 |
| 1.209 | D | DEAM FONDS ZDV | 16.860 | 16.860 |
| 604 | D | DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING | 11.800 | 11.800 |
| ERGO FUND | ||||
| 4 | D | DEGUSSA BANK-UNIVERSAL-RENTENFONDS | 87.000 | 87.000 |
| ਹੇਤੇ | D | DEKA INTERNATIONAL S.A. W/DEKA-EUROLAND | 74.370 | 74.370 |
| AKT.LOWRISK | ||||
| 153 | D | DEKA INTERNATIONAL S.A. | 99.000 | 99.000 |
| W/DEKALUX-GLOBALRESOURCES | ||||
| 135 | D | DEKA INTERNATIONAL S.A. W/HASPA MULTIINVEST CHANCE | 11.355 | 11.355 |
| 7 | D | DEKA INVESTMENT GMBH A FU 1 FONDS AKTIEN | 25.000 | 25.000 |
| 8 | D | DEKA INVESTMENT GMBH A FU 2 FONDS | 23.097 | 23.097 |
| 0 | D | DEKA INVESTMENT GMBH DEKA VALUE EXTRA SE | 156.039 | 156.039 |
| 5 | D | DEKA INVESTMENT GMBH RE BV-PAR-FONDS | 20.640 | 20.640 |
| 6 | D | DEKA INVESTMENT GMBH SHC AKTIEN | 16.000 | 16.000 |
| 775 | D | DEKA INVESTMENT GMBH W/ MULDENTAL MULTI ASSET | 1.800 | 1.800 |
| FONDS | ||||
| 103 | D | DEKA INVESTMENT GMBH W/ ROMA A-ROSE | 12.799 | 12.799 |
| 774 | D | DEKA INVESTMENT GMBH W/A-AMISIA-FONDS | 18.000 | 18.000 |
| 138 | D | DEKA INVESTMENT GMBH W/A-ASD-FONDS | 7.400 | 7.400 |
| 121 | D | DEKA INVESTMENT GMBH W/A-BAD HERSFELD-FONDS W/U01 | 8.700 | 8.700 |
| 106 | D | DEKA INVESTMENT GMBH | 7.550 | 7.550 |
| W/A-DIM-WETZLAR-BALANCED-FONDS | ||||
| 02 | D | DEKA INVESTMENT GMBH W/A-DIM-WETZLAR-FONDS | 6.350 | 6.350 |
| 146 | D | DEKA INVESTMENT GMBH W/A-HAM-FONDS W/U02 | 13.888 | 13.888 |
| 113 | D | DEKA INVESTMENT GMBH W/A-HECKER-FONDS I | 8.000 | 8.000 |
| 132 | D | DEKA INVESTMENT GMBH W/A-HFD-FONDS W/S2 AKTIEN | 19.000 | 19.000 |
| 130 | D | DEKA INVESTMENT GMBH W/A-LANDGRAF PHILIPP FONDS | 31.200 | 31.200 |
| W/001 WERTPAPIERE | ||||
| 120 | D | DEKA INVESTMENT GMBH W/A-PERSPEKTIVE | 7.346 | 7.346 |
| 105 | D | DEKA INVESTMENT GMBH W/APOFONDS-KIEL | 8.938 | 8.938 |
| 118 | D | DEKA INVESTMENT GMBH W/A-REVI 3 | 7.000 | 7.000 |
| 150 D | DEKA INVESTMENT GMBH W/ARGO NA VIS U2 | 5.000 | 5.000 | |
| 148 D | DEKA INVESTMENT GMBH W/A-TURTLE-FONDS | 15.400 | 15.400 | |
| 101 | D | DEKA INVESTMENT GMBH W/A-VSA-FONDS W/SONSTIGES | 13.295 | 13.295 |
| 145 | D | DEKA INVESTMENT GMBH W/A-WEBI-FONDS | 4.491 | 4.491 |
| 124 | D | DEKA INVESTMENT GMBH W/BODENSEE-FONDS | 1.800 | 1.800 |
| 127 | D | DEKA INVESTMENT GMBH W/DEKA BIV-B | 473 | 473 |
| Legenda: | ||||
D: Delegante
8896164
| Ordinaria Straordinaria Tipo Rap. Deleganti / Rappresentati legalmente 99 DEKA INVESTMENT GMBH W/DEKA EURO STOXX 50 UCITS D 547.100 547.100 ETFF 112 D DEKA INVESTMENT GMBH W/DEKA MSCI EUROPE UCITS ETF 187.736 187.736 131 D DEKA INVESTMENT GMBH W/DEKA MSCI WORLD UCITS ETF 112.169 112.169 129 D DEKA INVESTMENT GMBH W/DEKA-ABSOLUTE RETURN 1.818 1.818 DEFENSIV 144 D DEKA INVESTMENT GMBH 100.000 100.000 W/DEKA-DIVIDENDENSTRATEGIE-EUROPA 136 D DEKA INVESTMENT GMBH W/DEKA-EURO-IST. EX FIN 631.502 631.502 DI. +UC. BIRP 125 D DEKA INVESTMENT GMBH W/DEKA-FONDS KLP 1 18.000 18.000 94 D DEKA INVESTMENT GMBH W/DEKA-PRIVATVORSORGE AS 62.400 62.400 109 D DEKA INVESTMENT GMBH W/DOHAMUN-FONDS 838 838 115 D DEKA INVESTMENT GMBH W/FULDA-FONDS 1.440 1.440 140 D DEKA INVESTMENT GMBH W/HD-PHILOSOPHENWEG 10.700 10.700 137 D DEKA INVESTMENT GMBH W/HEGAU-BODENSEE FM 1 W/U02 6.885 6.885 133 DEKA INVESTMENT GMBH W/HIMMELSSTUERMER D 4.000 4.000 DEKA INVESTMENT GMBH W/KAISERSTUHL-FONDS 104 D 14.218 14.218 |
|---|
| 122 D DEKA INVESTMENT GMBH 3.003 3.003 |
| W/KOMMUNAL-TUT-BALANCED-FONDS |
| D DEKA INVESTMENT GMBH 123 6.475 6.475 |
| W/MAULBRONN-STROMBERG-FONDS |
| DEKA INVESTMENT GMBH W/NEO-FONDS AKTIEN 142 D 57.285 57.285 |
| DEKA INVESTMENT GMBH W/NM1 - FONDS U01 143 D 900 900 |
| 139 D DEKA INVESTMENT GMBH WAUILL-FONDS WU01 AKTIEN 12.718 12.718 |
| 128 D DEKA INVESTMENT GMBH W/OBERES-SCHLOSS-U2 15.000 15.000 |
| 110 D DEKA INVESTMENT GMBH W/PALATIA FONDS W/U3 DEKA 43.650 43.650 |
| AKTIEN |
| છેર D DEKA INVESTMENT GMBH W/PRODOMO 7.500 7.500 |
| 147 D DEKA INVESTMENT GMBH W/ROLAND-MASTERFONDS 18.575 18.575 |
| W/ROLAND U1 |
| 114 D DEKA INVESTMENT GMBH W/S BROKER I FONDS 2.930 2.930 |
| DEKA INVESTMENT GMBH W/S-GELSEN-FONDS W/GE D 117 35.664 35.664 |
| AKTIEN GLOBAL |
| D 126 DEKA INVESTMENT GMBH W/SPARKASSE-SHG-FONDS 23.000 23.000 |
| 100 DEKA INVESTMENT GMBH W/VER 03-FONDS W/U1 D 1.741 1.741 |
| DEKA INVESTMENT GMBH W/VRS-FONDS I 119 D 3.600 3.600 |
| D DEKA VALUE PLUS 735 637.229 637.229 |
| DEKA VERMOEGENSMANAGEMENT GMBH, NIEDERLASSUNG 108 D 46.506 46.506 |
| LUXEMBURG W/SPARKASSE KREFELD BALANCE |
| DEKA VERMOEGENSMANAGEMENT GMBH. NIEDERLASSUNG તે જ D 56.280 56.280 |
| LUXEMBURG W/SPARKASSE KREFELD DYNAMIK |
| . DEKA-MASTER-HAEK I 206 D 66.998 66.998 |
| DELA NATURA- EN LEVENSVERZEKERINGEN N.V. 1.673 D 164.118 164.118 |
| DELFINCO LP 1.534 D 11.457 11.457 |
| 405 DEMOCRACY INTERNATIONAL FUND D 1.176 1.176 |
| 2.268 DESJARDINS INTERNATIONAL EQUITYIND EX ETF D 88.826 88.826 |
| 2.267 DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 D 1.280 1.280 INDEX ETF |
Legenda:

Titolare
Radge
14/05/2025
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
|---|---|---|---|---|---|
| 2.407 | D | DESJARDINS SECURITE FINANCIERE COMPAGNIE | 8.134 | 8.134 | |
| D'ASSURANCE VIE | |||||
| 1.349 | D | DESTINATIONS INTERNATIONAL EQU | 34.933 | 34.933 | |
| 2.408 | D | DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING | 5.666 | 5.666 | |
| TRUST | |||||
| 1.179 | D | DEUTSCHE DCG EQ | 6.129 | 6.129 | |
| 1.908 | D | DIEZE | 3.014 | 3.014 | |
| 1.535 | D | DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 1.073 | 1.073 | |
| 2.476 | D | DIMENSIONAL FUNDS ICVC INTERNATIONAL VALUE FUND | 585 | 585 | |
| 2.410 | D | DIMENSIONAL FUNDS PLC | 1.217.494 | 1.217.494 | |
| 1.740 | D | DIMENSIONAL INTERNATIONAL VALUE ETF OF DIMENSIONAL | 5.668.235 | 5.668.235 | |
| ETF TRUST | |||||
| 1.716 | D | DIMENSIONAL INTERNATIONAL VECTOR EQUITY ETF OF | 12.219 | 12.219 | |
| DIMENSIONAL E | |||||
| 2.065 | D | DIVERSIFIED EQUITY MASTER PORTFOLIO OF MASTER INV | 6.377 | 6.377 | |
| PORTFOLIO | |||||
| 34 | D | DJ ALPHA UI | 37.600 | 37.600 | |
| 463 | D | DNCA OPPORTUNITES ZONE EURO | 160.000 | 160.000 | |
| 1.496 | D | DORIS DUKE CHARITABLE FOUNDATION INC | 1.597 | 1.597 | |
| 1.814 | D | DPAM B EQUITIES EMU BEHA VIORAL VALUE | 15.000 | 15.000 | |
| 1.815 | D | DPAM DBI-RDT B EQUITIES EMU INDEX | 131.000 | 131.000 | |
| 1.847 | D | DPAM L EQUITIES EUROPE BEHA VIORAL VALUE | 13.000 | 13.000 | |
| 1.848 | D | DPAM L EQUITIES EUROPE VALUE TRANSI | 81.074 | 81.074 | |
| 1.591 | D | DREW M ANDRADE 2016 TR UAD FEB 8 1991. | 4.979 | 4.979 | |
| 725 | D | DT EQUITY | 139.053 | 139.053 | |
| 1.592 | D | DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 183.011 | 183.011 | |
| 1.254 | D | DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 115.294 | 115.294 | |
| 313 | D | DUNHAM INTERNATIONAL STOCK FUND | 11.818 | 11.818 | |
| 2.128 | D | DWS INVESTMENT GMBH FOR ALBATROS FONDS | 4.034 | 4.034 | |
| 2.153 | D | DWS INVESTMENT GMBH FOR DEAM FONDS BBS | 4.761 | 4.761 | |
| 2.294 | D | DWS INVESTMENT GMBH FOR DEAM-FONDS CPT | 26.000 | 26.000 | |
| 2.240 | D | DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 24.724 | 24.724 | |
| 2.292 | D | DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 16.577 | 16.577 | |
| 2.244 | D DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 47.800 | 47.800 | ||
| 2.129 | D | DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 97.352 | 97.352 | |
| 2.305 | D | DWS INVESTMENT GMBH FOR DWS-FONDS SFT MASTER | 4.445 | 4.445 | |
| 2.130 | D | DWS INVESTMENT GMBH FOR MULTI-INDEX EQUITY FUND | 20.327 | 20.327 | |
| 1.159 | D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS AVD 2 | 5.549 | 5.549 | |
| 1.157 | D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 390.000 | 390.000 | |
| 1.158 | D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS PKN 2 | 324.359 | 324.359 | |
| 1.211 | D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS RPK 1 | 19.714 | 19.714 | |
| 1.205 | D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS ZDV EVO |
5.17 | 5.117 | |
| 799 | D | DWS INVESTMENT GMBH W/DWS-FONDS BBME AI | 38.000 | 38.000 | |
| 2.296 | D | DWS INVESTMENTAKTIENGESELLSCHAFT MIT | 19.561 | 19.561 | |
| TEILGESELLSCHAFTSVERMOEGENFOR DWS-FONDS PAN | |||||
| 2.144 | D | DWS MULTI ASSET PIR FUND | 109.400 | 109.400 | |
| 1.109 | D DYNAMIC EQUITY GLOBAL EQUITY MANAGERS PORTFOLIO 3 SERIES |
11.600 | 11.600 |
Legenda:
14/05/2025
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.536 | D | DYNASTY INVEST LID | 9.200 | 9.200 |
| 2.318 | D | E TRADE NO FEE INTERNATIONAL INDEX FUND | 1.409 | 1.409 |
| 832 | D | ECHIQUIER VALUE EURO | 124.502 | 124.502 |
| 535 | D | ECOLAB DIVERSIDE | 4.027 | 4.027 |
| 239 | D | ECOLAB PRUDENT | 246 | 246 |
| 559 | D | ECRINS CAPITAL | 12.500 | 12.500 |
| 2.016 | D | EDR SICAV - EQUITY EURO SOLVE | 42.104 | 42.104 |
| 911 | D | ELEVA UCHIS FUND | 37.125 | 37.125 |
| 883 | D | ELEVA UCITS FUND - ELEVA ABSOLUTE RETURNEUROPE | 1.235.561 | 1.235.561 |
| 544 | D | ELIOR EPARGNE DIVERSIFIE | 358 | 358 |
| 767 | D | EMBO-FONDS | 54.364 | 54.364 |
| 2.077 | D | EMERGENCY SERVICES SUPERANNUATION SCHEME | 10.569 | 10.569 |
| 1.317 | D | EMG EUROPE NYKREDIT | 93.865 | |
| 1.153 | D | EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF | 93.865 | |
| BALTIMORE | 14.365 | 14.365 | ||
| 2.438 | D | EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF | ||
| PROVIDENCE | 36.951 | 36.951 | ||
| 2.222 | D | EMPOWER ANNUITY INSURANCE COMPANY | ||
| 1.268 | D | ENERGY INSURANCE MUTUAL LIMITED | 368.224 | 368.224 |
| 5.689 | 5.689 | |||
| 320 | D | ENHANCED INDEX INTERNATIONAL SHARE FUND | 24.678 | 24.678 |
| 1.241 | D | ENSIGN PEAK ADVISORS INC | 461.275 | 461.275 |
| 038 | D | ENTE NAZIONALE DI PREVIDENZA ED ASSISTENZA DEI | 6.776.376 | 6.776.376 |
| MEDICI E DEGLI ODONTOLATRI | ||||
| 739 | D | EPS | 29.299 | 29.299 |
| 2.484 | D | EPSILON ASSOCIATI SGR - EPSILONSGR DLONGRUN | 694 | 694 |
| 2.483 | D | EPSILON ASSOCIATI SGR - EPSILONSGR QRETURN | 14.928 | 14.928 |
| 2.482 | D | EPSILON ASSOCIATI SGR - EPSILONSGR QVALUE | 3.261 | 3.261 |
| 2.140 | D | EPSILON FUND | 414.422 | 414.422 |
| 2.485 | D | EPSILON FUND - EURO Q-EQUITY | 1.173 | 1.173 |
| 485 | D | EPSON FRANCE EURO ACTIONS | 561 | 561 |
| 545 | D | EPTA | 8.097 | 8.097 |
| 745 | D | EQ ADVISORS TRUST - 1290 VT NATURAL RESOURCES PORTFOLIO |
22.350 | 22.350 |
| 704 | D | EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
132.535 | 132.535 |
| 611 | D | EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
19.973 | 19.973 |
| 607 | D | EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 25.581 | 25.581 |
| 715 | D | EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | 34.950 | 34.950 |
| 760 | D | PORTFOLIO EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED |
49.922 | 49.922 |
| VOLATILITY PORTFOLIO | ||||
| 709 | D | EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
72.589 | 72.589 |
| 707 | D | EQ ADVISORS TRUST - EQ/INTERNATIONAL EQUITY INDEX PORTFOLIO |
355.677 | 355.677 |
| 742 | D | EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
206.624 | 206.624 |
| 681 | D | EQ ADVISORS TRUST - EQ/INTERNATIONAL VALUE MANAGED | 130.170 | 130.170 |
| Legenda: |

14/05/2025
| Badge | Titolare | STATUS OF ATTITUTION OF SULTIVE IS | ||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | |||
| VOLATILITY PORTFOLIO | Ordinaria | Straordinaria | ||
| 1.585 | D | EQUIPSUPER | ||
| 754 | D | EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 193.755 | 193.755 |
| 933 | D | ERAFP ACTIONS EURO II | 13.690 | 13.690 |
| 936 | D | ERAFP ACTIONS EURO IV | 1.539.433 | 1.539.433 |
| 833 | D | ERAFP ACTIONS EURO V | 1.279.788 | 1.279.788 |
| 929 | D | ERAFP ACTIONS EURO VIII | 1.589.930 | 1.589.930 |
| 502 | D | ERAMALED | 172.811 | 172.811 |
| 250 | D | ERI BAYERNINVEST FONDS AKTIEN EUROPA | 2.006 | 2.006 |
| 2.401 | D | ERIE INSURANCE GROUP RETIREMENTPLAN FOR EMPLOYEES | 39.550 | 39.550 |
| TRUST | 70.901 | 70.901 | ||
| 1.802 | D | ERSTE STOCK VALUE | ||
| 626 | D | ESG INSIGHTS WORLD EX USA FUND B | 151.518 | 151.518 |
| 436 | D | ESG TARGET GLOBAL INFRASTRUCTURE COUPON 2026 | 81.261 | 81.261 |
| FINECO AM FUND | 34.889 | 34.889 | ||
| 1.590 | D | ESSENTIA HEALTH | ||
| 2.486 | D | EURIZON ALTERNATIVE SICAV-SIF | 5.942 | 5.942 |
| 2.092 | D | EURIZON AM BILANCIATO ETICO | 42.601 | 42.601 |
| 2.093 | D | EURIZON AM RILANCIO ITALIA TR | 5.287 | 5.287 |
| 2.138 | D | EURIZON AM SICAV | 12.754 | 12.754 |
| 2.096 | D | EURIZON AZIONI ITALIA | 13.292 | 13.292 |
| 2.095 | D | EURIZON CAP SGR-RENDITA | 1.952.400 | 1.952.400 |
| 2.099 | D | EURIZON FUND | 8.072 | 8.072 |
| 2.141 | D | EURIZON INVESTMENT SICA V | 783.609 | 783.609 |
| 2.139 | D | EURIZON NEXT 2.0 | 22.607 | 22.607 |
| 2.094 | D | EURIZON PIR ITALIA AZIONI | 54.039 | 54.039 |
| 2.097 | D | EURIZON PROGETTO ITALIA 40 | 82.680 | 82.680 |
| 2.098 | D | EURIZON PROGETTO ITALIA 70 | 317.416 | 317.416 |
| 458 | D | 515.970 | 515.970 | |
| 1.348 | D | EUROP ASSISTANCE DIVERSIFIE | 1.695 | 1.695 |
| 1.532 | D | EUROPAC INTERNATIONAL DIVIDEND EVA VALLEY MAI LLC |
85.000 | 85.000 |
| 1.461 | D | 6.245 | 6.245 | |
| EXELON CORPORATION EMPLOYEES BENEFIT TRUST FOR | 160 | 160 | ||
| 1.459 | D | MANAGEMENT EM | ||
| EXELON CORPORATION EMPLOYEES' BENEFIT TRUST FOR | 5.364 | 5.364 | ||
| 1.477 | D | UNION EMPLOYEES | ||
| 1.489 | EXELON FOUNDATION | 1.173 | 1.173 | |
| D | EXELON GENERATION CO. LLC TAX QUALIFIED NUCLEAR | 288.722 | 288.722 | |
| 269 | D | DECOMMISSIO | ||
| F M KIRBY TRUST DATED 1/3/75 FBO JEFFERS | 5.770 | 5.770 | ||
| 288 | D | F.M. KIRBY TRUST DATED 1/3/1975 F/B/O FR | 2.672 | 2.672 |
| 718 | D | F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC | 13.647 | 13.647 |
| 1.589 | D | FALKIRK COUNCIL PENSION FUND | 280.840 | 280.840 |
| וכב | D | FAMEN-F | 2.591 | 2.591 |
| 504 | D | FAMILLE FERRAND | 267 | 267 |
| 2.462 | D | FAMILY INVESTMENTS CHILD TRUST FUND | 34.361 | 34.361 |
| 2.463 | D FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | 19.646 | 19.646 | |
| INTERNATIONALFUND | ||||
| 1.547 | D | FCM INTERNATIONAL LLC | 15.779 | |
| 822 | D | FCP - PRAIRIAL LAZARD FRERES GESTION SAS | 137.900 | 15.779 137.900 |
| Legenda: |
88961(44
14/05/2025
| Badge Titolare |
||||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.976 | D | FCP BOURBON 1 | 207.409 | 207.409 |
| 1.938 | D | FCP CARP - INDO | 93.994 | 93.994 |
| 1.939 | D | FCP CARPIMKO EUROPE | 110.000 | 110.000 |
| 824 | D | FCP CNP ACTIONS EMULF | 529.295 | 529.295 |
| 1.875 | D | FCP DES CAISSES LOCALES GROUPAMA PARIS VAL DE LOIRE | 6.140 | 6.140 |
| 1.924 | D | FCP GROUPAMA PHARMA DIVERSIFIE | 7.000 | 7.000 |
| 1.957 | D | FCP HAMELIN DIVERSITIE FLEX II | 13.300 | 13.300 |
| 216 | D | FCP HGA ACTIONS SOLIDAIRE EMPLOI SANTE | 93.910 | 93.910 |
| 186 | D | FCP HUMANIS RETRAITE ACTIONS | 1.030.847 | 1.030.847 |
| 155 | D | FCP HUMANIS RETRAITE ACTIONS BAS CARBONE | 564.844 | 564.844 |
| 183 | D | FCP KDESIA K ACTIONS EURO | 11.335 | 11.335 |
| 224 | D | FCP KLESIA K RETRAITE EURO | 346.373 | 346.373 |
| 1.989 | D | FCP OTEA ACTIONS EUROPE | 63.000 | 63.000 |
| 1.964 | D | FCP PEA COURT TERME | 19.042.749 | 19.042.749 |
| 154 | D | FCP SODIUM I | 142.569 | 142.569 |
| 1.934 | D | FCP VILLIERS ALLEGRO | 218.140 | 218.140 |
| 1.958 | D | FCPE IBM FRANCE C | 22.000 | 22.000 |
| 1.923 | D | FCPE IBM FRANCE H | 759 | 759 |
| 499 | D | FCPE PHOENIX OCP | 1.397 | 1.397 |
| 776 | D | FDF1 1133 | 1.500 | 1.500 |
| 450 | D | FDF I FIPDMC | 685 | 685 |
| 451 | D | FDF I FONDS BOOS | 167 | 167 |
| 522 | D | FDFI LANDRY II | 1.887 | 1.887 |
| 783 | D | FDF I LE DAHU | 1.200 | 1.200 |
| 473 | D | EDFI LEANDRE | 800 | 800 |
| 788 | D | FDF SCESS FITO Ines | 1.500 | 1.500 |
| 483 | D | FDFI LT 60 | 556 | 556 |
| 445 | D | FDF I MESANGES | 1.310 | 1.310 |
| 447 | D | I'DFI PWD FINANCES | 1.474 | 1.474 |
| 479 | D | FDF SCORE 4 VENTS | 1.984 | 1.984 |
| 537 | D | FDFI SIGMA | 7.430 | 7.430 |
| 478 | D | FDFI YOUSELY | 1.200 | 1.200 |
| 517 | D | FDF2 30.04 | 3.427 | 3.427 |
| 448 | D | FDF2 ALL IN ONE | 1.492 | 1.492 |
| 497 | D | FDF2 COBRA | 1.300 | 1.300 |
| 446 | D | FDF2 DOSKONIEV 2 | 1.821 | 1.821 |
| 476 | D | FDF2 GLOBAL JEAMBRUN | 6.176 | |
| 500 | D | EDF2 HERISSON | 2.209 | 6.176 2.209 |
| 501 | D | FDF2 KALAKAJORO | 4.000 | |
| 454 | D | FDF2 LES MERLES | 1.623 | 4.000 |
| 787 | D | FDP2 THANOS | 1.623 | |
| 780 D | FDF3 FAMILLE BREFORT D | 2.000 | 2.000 | |
| 1.500 | 1.500 | |||
| 2.491 D | FDP GLOBAL EQUITY PORTFOLIO | 371.650 | 371.650 | |
| 1.936 D | FDRN AMUNDI | 35.478 | 35.478 | |
| 1.198 D | FEDEARTED HERMES INTERNATIONAL EQUITY FUND | 605.400 | 605.400 | |
| 556 | D | FEDEX | 2.264 | 2.264 |
| 305 | D | FERROATLANTICA 92 FP | 237 | 237 |
| 461 | D | FERTILSODEBO | 6.311 | 6.311 |
| 1.986 | D | FG BALANCED | 14.135 | 14.135 |
Legenda:
D: Delegante
88961 72
Titolare
Badge
| Tipo Rap. Deleganti / Rappresentati legalmente |
||||||
|---|---|---|---|---|---|---|
| 1.966 | D | FGV - ACTIONS EUROPE LM B | Ordinaria | Straordinaria | ||
| 1.920 | D | FGV ACTIONS EUROPE LM A | 212.371 | 212.371 | ||
| 440 | D | FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 67.418 | 67.418 | ||
| 1.537 | D | FIDDLER PARTNERS LLC | 3.556.700 | 3.556.700 | ||
| 1.177 | D | FIDELITY CONCORD STREET TRUST FIDELITY | 1.378 | 1.378 | ||
| INTERNATIONAL INDEX FUND | 6.935.164 | 6.935.164 | ||||
| 355 | D | FIDELITY CONCORD STREET TRUST: FIDELITY SERIES | ||||
| INTERNATIONAL INDEX FUND | 71.906 | 71.906 | ||||
| 270 | D | FIDELITY CONCORD STREET TRUST: FIDELITY ZERO | ||||
| INTERNATIONAL INDEX FUND | 381.193 | 381.193 | ||||
| 354 | D | FIDELITY FUNDS - EURO 50 INDEX POOL | ||||
| 2.392 | D | FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL | 378.062 | 378.062 | ||
| TRUST | 3.049 | 3.049 | ||||
| 2.391 | D | FIDELITY INTERNATIONAL VALUE INSTIT UTIONAL TRUST | ||||
| 2.390 | D | FIDELITY INTERNATIONAL VALUE MULTI- ASSET BASE FUND | 131.132 | 131.132 | ||
| 2.192 | D | FIDELITY INV TRUST FIDELITY SERIES INT VALUE FUND | 876.900 | 876.900 | ||
| 2.194 | D | FIDELITY INV TRUST FIDELITY TOTAL INT EQUITY FUND | 8.749.900 | 8.749.900 | ||
| 586 | D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX | 77.168 | 77.168 | ||
| UK FUND | 236.858 | 236.858 | ||||
| 677 | D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD | ||||
| ESG SCREENED FUND | 581 | 581 | ||||
| 726 | D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD | ||||
| FUND | 447.556 | 447.556 | ||||
| 2.191 | D | FIDELITY INVESTMENT TRUST FIDELITY SERIES | ||||
| SUSTAINABLE NON-U.S.DEVELOPED MARKETS FUND | 2.980 | 2.980 | ||||
| 1.570 | D | FIDELITY INVESTMENT TRUST: FIDELITY INTERNATIONAL | ||||
| VALUE FUND. | 1.143.000 | 1.143.000 | ||||
| 1.458 | D | FIDELITY INVESTMENTS CHARITABLE GIFT FUND DTD | ||||
| 8/18/2009 | 23.395 | 23.395 | ||||
| 2.190 | D | FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADV | ||||
| FIDELITY INT FND | 2.924.300 | 2.924.300 | ||||
| 2.193 | D | FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS | ||||
| INT FUND | 717.834 | 717.834 | ||||
| 1.210 | D | FIDELITY SAI INTERNATIONAL INDEX FUND | ||||
| 1.572 | D | FIDELITY SALEM STREET TRUST: FIDELITY FLEX | 860.085 | 860.085 | ||
| INTERNATIONAL INDEX FUND | 221.907 | 221.907 | ||||
| 350 | D | FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. | ||||
| INDEX FUND | 876.894 | 876.894 | ||||
| 291 | D | FIDELITY SALEM STREET TRUST: FIDELITY SAI | ||||
| INTERNATIONAL VALUE INDEX FUND | 4.460.312 | 4.460.312 | ||||
| 1.571 | D | FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX | ||||
| U.S. | 3.883.541 | 3.883.541 | ||||
| 271 | D | FIDELITY SALEM STREET TRUST: FIDELITY TOTAL | ||||
| INTERNATIONAL INDEX FUND | 936.415 | 936.415 | ||||
| 373 | D | FIDELITY UCITS II ICAVIFIDELITY MSCI EUROPE INDEX FUND | ||||
| 307 | D | 24.249 | 24.249 | |||
| 1.655 | D | FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND FIFE COUNCIL PENSION FUND |
56.394 | 56.394 | ||
| 1.987 | D | FINALTIS EFFICIENT BETA EURO | 124.400 | 124.400 | ||
| 949 | D | FINANZIARIA CERAMICA CASTELLARANO S PA | 11.992 | 11.992 | ||
| 2.198.900 | 2.198.900 | |||||
| Legenda: |
D: Delegante
Pagina 22
88961 (3
| Badge Titolare |
|||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| 51 | D | FINREON WORLD EQUITY ECONOMIC EXPOSURE PENSION UBS FUND MANAGEMENT SWITZERLAND AG |
7.117 | 7.117 | |
| 58 | D | FINREON WORLD EQUITY MULTI PREMIA DEFENSIVE | 4.470 | 4.470 | |
| PENSION UBS FUND MANAGEMENT SWITZERLAND AG | |||||
| 1.196 | D | FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 23.469 | 23.469 | |
| 1.654 | D | FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 80.669 | 80.669 | |
| 1.265 | D | FIRST PRIVATE INVESTMENT MANAGEMENT KAG MBH FIRST | 18.576 | 18.576 | |
| PRIVATE WEALTH | |||||
| 1.013 | D | FIRST TRUST DEVELOPED MARKETS EX US ALPHADEX FUND | 30.512 | 30.512 | |
| 1.121 | D | FIRST TRUST DOW JONES GLOBAL SELECT DIVIDEND INDEX FUND |
448.336 | 448.336 | |
| 1.189 | D | FIRST TRUST EUROPE ALPHADEX FUND | 71.365 | 71.365 | |
| 1.190 | D | FIRST IROST EUROZONE ALPHADEX ETF | 25.137 | 25.137 | |
| 1.222 | D | FIRST TRUST EUROZONE ALPHADEX UCITS ETF | 38.299 | 38.299 | |
| 1.193 | D | FIRST TRUST HORIZON MANAGED VOLATILITY DEVELOPED | 12.526 | 12.526 | |
| INTERNATIONAL ETT | |||||
| 1.192 | D | FIRST TRUST RIVERFRONT DYNAMIC DEVELOPED | 47.219 | 47.219 | |
| INTERNATIONAL ETF | |||||
| 1.191 | D | FIRST TRUST RIVERFRONT DYNAMIC EUROPE ETT | 4.786 | 4.786 | |
| 1.533 | D | FISHER ASSET MANAGEMENT LLC. | 411 | 411 | |
| 294 | D | FISHER INVESTMENTS ALL FOREIGN EQUITY COLLECTIVE FUND |
16.337 | 16.337 | |
| 417 | D | FISHER INVESTMENTS ALL WORLD EQUITY COLLECTIVE FUND |
50.686 | 50.686 | |
| 1.658 | D | FISHER INVESTMENTS GLOBAL TOTAL RETURN UNIT TRUST FUND |
14.376 | 14.376 | |
| 2.397 | D | FISHER INVESTMENTS INSTITUTIONAL FUNDS PLC | 422.593 | 422.593 | |
| 1.539 | D | FISHER INVESTMENTS INSTITUTIONAL GROUP FOREIGN | 33.181 | 33.181 | |
| EQUITY FUND | |||||
| 1.805 | D | FJARDE AP-FONDEN. | 132.896 | 132.896 | |
| 616 | D | FLEXSFARES DEVELOPED MARKETS EX - US QUALITY LOW | 17.605 | 17.605 | |
| VOLATILITY INDEX FUND | |||||
| 750 | D | FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US | 39.649 | 39.649 | |
| FACTOR TIE IS NDEX FUND | |||||
| 728 | D | FLEXSHARES MORNINGSTAR GLOBAL UPSTREAM NATURAL | 1.913.910 | 1.913.910 | |
| RESOURCES INDEX FUND | |||||
| 573 | D | FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 5.130 | 5.130 | |
| 1.065 | D | FLORIDA BIRTH RELATED NEUROLOGICAL INJURY | 7.987 | 7.987 | |
| COMPENSATION ASSOCIATION | |||||
| 1.017 | D | FLORIDA GLOBAL EQUITY FUND LLC | 21.303 | 21 303 | |
| 1.140 | D | FLORIDA RETIREMENT SYSTEM | 397.158 | 397.158 | |
| 1.248 D | FLORIDA RETIREMENT SYSTEM TRUST FUND | 1 | 11 | ||
| 1.073 D | FLORIDA RETSYS MINERVA 1009008 | 70.361 | 70.361 | ||
| 2.459 D | FLOURISH INVESTMENT CORPORATION | 98.639 | 98.639 | ||
| 2.276 D | FOLKSAM OMSESIDIG LIVFORSAKRING | 186.103 | 186.103 | ||
| 2.272 D | FOLKSAM OMSESIDIG SAKFORSAKRING | 52.181 | 52.181 | ||
| 2.253 D | FOLKSAM TJANSTERENSION AB | 296.888 | 296.888 | ||
| 1.296 | D | FONCHIM | 417.692 | 417.692 | |
| 512 | D | FONCIL | 14.243 | 14.243 | |
Legenda:
88961
| Badge Titolare |
|||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| 324 | D | FONDACO OBIETTIVO WELFARE UCITS SICA V - EQUITY- | 746 | 746 | |
| EURO EQUITY | |||||
| 415 | D | FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 6.783 | 6.783 | |
| 577 | D | FONDO CONSOLIDADO DE RESERVAS PREVISIONALES | 4.698 | 4.698 | |
| 792 | D | FONDO NAZIONALE PENSIONE COMPLEMENTARE COMETA | 33.132 | 33.132 | |
| 794 | D | FONDO PENSIONE FONDENERGIA | 278.530 | 278.530 | |
| 2.481 | D | FONDO PENSIONE LABORFONDS | 46.878 | 46.878 | |
| 828 | D | FONDOROSTE | 47.458 | 47.458 | |
| 72 | D | FONDS DE PLACEMENT UNIGE - ACTIONS ETRANGERES | 13.084 | 13.084 | |
| 168 | D | FONDS DE RESERVE POUR LES RETRAITES | 509.784 | 509.784 | |
| 380 | D | FONECONOMISTES, FONS DE PENSIONS | 235 | 235 | |
| 309 | D | FONSOLBANK FP | 1.137 | 1.137 | |
| 1.560 | D | FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED | 6.681 | 6.681 | |
| NATIONS | |||||
| 1.470 | D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 17.838 | 17.838 | |
| 1.471 | D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 25.336 | 25.336 | |
| 1.659 | D | FORD MOTOR COMPANY OF CANADA LIMITED PENSION | 4.332 | 4.332 | |
| TRUSSI | |||||
| 572 | D | FORD PENSION UNIVERSAL | 10.715 | 10.715 | |
| 441 | D | FOREIGN STOCK INDEX MOTHER FUND | 138.654 | 138.654 | |
| 1.603 | D | FORUM FUNDS - POLARIS GLOBAL VALUE FUND | 300.400 | 300.400 | |
| 1.538 | D | FOURTH AVENUE INVESTMENT COMPANY LIMITED | 4.606 | 4.606 | |
| PARTNERSHIP | |||||
| 201 | D | FOVERUKA PENSION UNIVERSAL | 53.252 | 53.252 | |
| 1 63 | D | FRANCE D ACTIONS 1 | 81.261 | 81.261 | |
| 2.359 | D | FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 3.094 | 3.094 | |
| 2.395 | D | FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 27.132 | 27.132 | |
| 2.492 | D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE | 15.484 | 15.484 | |
| ETF | |||||
| 2.396 | D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE | 7.624 | 7.624 | |
| EUROZONE ETF | |||||
| 2.399 | D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN | 2.688 | 2.688 | |
| INTERNATIONAL DIVIDEND MULTIPLIER INDEX ETF | |||||
| 2.394 | D | FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ | 477.992 | 477.992 | |
| INT. L EQUITy HEDG | |||||
| 2.490 | D | FRANKLIN TEMPLETON ICA V | 418 | 418 | |
| 449 | D | FRIMOUSSE | 914 | 914 | |
| 701 | D | FUNDACAO CALOUSTE GULBENKIAN | 11.167 | 11.167 | |
| 1.540 | D | FUNDO DE PENSOES. | 21.379 | 21.379 | |
| 1.804 | D | FUNDO DE PENSOES ABERTO CAIXA REFORMA DEFENSIVO | 400 | 400 | |
| 1.803 | D | FUNDO DE PENSOES ABERTO CAIXA REFORMA MODERADO | 600 | 600 | |
| 2.106 | D | FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO | 45.311 | 45.311 | |
| ADMINISTRATIVA ESPECIAL DE MACAU | |||||
| 1.444 | D FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF | 1.269.416 | 1.269.416 | ||
| OF FUTURE F | |||||
| 1.443 | D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF | 114.457 | 114.457 | |
| OF THE MEDI. | |||||
| 1.743 | D | FUTURE WORLD DEVELORED EQUITY INDEX FUND (3200) | 5.481 | 5.481 | |
| 170 | D | G RET2 E EPARGNE GIAM | 3.707 | 3.707 | |
| Legenda: |
D: Delegante
8896175
14/05/2025
ENI S.p.A.
| Patter Pr | Tipo Rap. |
Ordinaria | Straordinaria | |
|---|---|---|---|---|
| 158 | D | Deleganti / Rappresentati legalmente G RET2 E HORIZON GIAM |
12.213 | 12.213 |
| 172 | D | G RET2 FRANCE 2 GIAM | 13.724 | 13.724 |
| 226 | D | G RET2 RETR IRP GIAM | 188.618 | 188.618 |
| 407 | D | G.A .- FUND-B - EQUITY BROAD EURO P | 53.202 | 53.202 |
| 345 | D | G.A .- FUND-B - WORLD EQUITIES | 75.993 | 75.993 |
| 948 | D | GARNIER MARTINE | 800 | 800 |
| 1.843 | D | GARRAISKA INVESTMENTS | 12.000 | 12.000 |
| 1.425 | D | GARRISON PROPERTY AND CASUALTY INSURANCE | 9.473 | 9.473 |
| COMPANY | ||||
| 3 | D | GATTI MARCO | 10.000 | 10.000 |
| 1.392 | D | GENERAL ORGANISATION FOR SOCIAL INSURANCE. | 2.264.403 | 2.264.403 |
| 1.393 | D | GENERAL ORGANISATION FOR SOCIAL INSURANCE. | 97.063 | 97.063 |
| 1.652 | D | GENERAL PENSION AND SOCIAL SECURITY AUTHORITY | 33.359 | 33.359 |
| 1.236 | D | GENERAL SYNOD PENSION PLAN | 22.134 | 22.134 |
| 351 | D | GENERALI 2035 FP | 409 | 409 |
| 378 | D | GENERALI 2045 FP | 301 | 301 |
| 298 | D | GENERALI 2055 FP | 162 | 162 |
| 197 | D | GENERALI AKTIVMIX DYNAMIK PROTECT 80 | 3.271 | 3.271 |
| 432 | D | GENERALI CUATRO FP | 18.880 | 18.880 |
| 328 | D | GENERALI DIVERSIFICATION | 2.829 | 2.829 |
| 338 | D | GENERALI DOS FP | 20.940 | 20.940 |
| 434 | D | GENERALI EMPLEO PYME FP | 380 | 380 |
| 424 | D | GENERALI EMPLEO TRES FI' | 1.690 | 1.690 |
| 358 | D | GENERALI ESPAÑA S A DE SEGUROS Y REASEGUROS | 51.028 | 51.028 |
| 217 | D | GENERALI GLOBAL - FONDO PENSIONE APERTO A | 309.610 | 309.610 |
| CONTRIBUZIONE DEFINITA | ||||
| 347 | D | GENERALI INVESTMENTS SICA V | 79.512 | 79.512 |
| 409 | D | GENERALI INVESTMENTS SICA V | 661 | 661 |
| 159 | D | GENERALI ITALIA SPA | 1.612.521 | 1.612.521 |
| 321 | D | GENERALI PREVISION INDIVIDUAL EPSV | 4.218 | 4.218 |
| 189 | D | GENERALI REVENUS | 4.628 | 4.628 |
| 352 | D | GENERALI SEGUROS SA | 3.665 | 3.665 |
| 422 | D | GENERALI SMART FUNDS | 90.000 | 90.000 |
| 423 | D | GENERALI UNO FP | 13.468 | 13.468 |
| 161 | D | GENERALI VIE | 431.951 | 431.951 |
| 185 | D | GENERTIEL SPA | 11.687 | 11.687 |
| 229 | D | GENERTEL SPA | 4.643 | 4.643 |
| 235 | D | GENERIEL SPA | 15.503 | 15.503 |
| 240 | D | GENERTEL SPA | 3.809 | 3.809 |
| 275 | D | GENERIEL SPA | 7.626 | 7.626 |
| 511 | D | GERARD PERRIER INDUSTRIE | 933 | 933 |
| 946 | D | GESPROFIT, S.A. SGIIC | 385.000 | 385.000 |
| 459 | D | CESTION PLACEMENT I | 1.673 | 1.673 |
| 199 | D | GID-FONDS AVAOT 2 | 43.450 | 43.450 |
| 247 | D | GID-FONDS GPRET MULTIFLEX | 870 | 870 |
| 205 | D | GID-FONDS GPRET MOLLINEEX II | 1.671 | 1.671 |
| 940 | D | GIIC FINECO SCIIC SAU | 47.310 | 47.310 |
| 370 | D | GIM SPECIALIST INVESTMENT FUNDS - GIM GL RESEARCH ENHNCD INX MIN VLTY EQTY FQTry FD |
9.327 | 9.327 |
Legenda:
88961 46
| Tipo Rap. Deleganti / Rappresentati legalmente Ordinaria Straordinaria 238 D GINJER ACTIFS 360 329.300 329.300 192 D GINJER DETOX EURO EQUITY 46.550 46.550 2.006 D GLOBAL ALLOCATION M 4.371 4.371 GLOBAL BOND FUND WAYCROSSF. INC 1.517 D 84.152 84.152 1.438 D GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND 12.980 12.980 404 D GLOBAL EQUITIES ENHANCED INDEX FUND 310.924 310.924 GLOBAL EQUITY SERIES OF SALT CREEK INVESTMENTS LLC 1.523 D 2.689 2.689 GLOBAL MANAGED VOLATILITY FUND 1.036 D 96.300 96.300 GLOBAL MULTI-FACTOR EQUITY FUND 1.985 D 180.018 180.018 88 D GLOBAL OPPORTUNITIES FUND LIMITED 26.838 26.838 937 D GLOBAL X MANAGEMENT (AUS) LIMITED 77.556 77.556 1.184 D GLOBAL X MSCI SUPERDIVIDEND EARE ETF 10.026 10.026 GLOBAL X SANDP CATHOLIC VALUES DEVELOPED EX US ETF 1.185 D 3.284 3.284 1.387 D GMAS 46.000 46.000 2.091 D GMO MULTI-ASSET TRUST 3.355 3.355 GMT I PLACEMENTS TRADITIONNELS ACTIONS ETRANGERES 1.385 D 19.504 19.504 1.149 GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA D 22.444 22.444 EUROPE E D GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE 1.148 641.385 641.385 BETA INTERNAT GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVEBETA ઠેરિકે D 139.596 139.596 MORED LOW VOL PLUS EQUILLY ELL GOLDMAN SACHS ETF TRUST GOLDMAN SACHS 1.138 D 101.698 101.698 MARKETBETA INTERNATIO GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS 983 D 36.249 36.249 MARKETBETA TOTAL INTERNATIONAL EQUITY ETF 2.170 GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL D 26.898 26.898 MANAGED BETA FUND 2.165 D GOLDMAN SACHS TRUST II- GOLDMANSACHS 92.035 92.035 |
Badge Titolare |
|||||
|---|---|---|---|---|---|---|
| MULTI-MANAGER GLOBAL EQUITY FUND | ||||||
| 2.169 GOLDMAN SACHS TRUST II MULTIMANAGER D 411.750 411.750 INTERNATIONAL EQUITY FUND |
||||||
| 1.799 D GOTHAM CAPITAL V LLC 238 238 |
||||||
| GOTTHARD INSTITUTIONAL FUND - GLOBAL EQUITIES 637 D 47.224 47.224 |
||||||
| GOVERNMENT EMPLOYEES SUPERANNUATION BRD 1.575 D 277.402 277.402 |
||||||
| GOVERNMENT PENSION INVESTMENT FUND 2.275 D 7.996.364 7.996.364 |
||||||
| GOVERNMENT PENSION INVESTMENT FUND 2.386 D 1.477.642 1.477.642 |
||||||
| 1.416 D GQG GLOBAL UCITS ICAV. 1.644 1.644 |
||||||
| D 312 GQG PARTNERS GLOBAL QUALITY VALUE FUND 25.073 25.073 |
||||||
| GQG PARTNERS INTERNATIONAL QUALITY VALUE FUND 418 D 173.758 173.758 |
||||||
| GRANITIFIANDRE SOCIETA' PER AZIONI 44 D 27.483.700 27.483.700 |
||||||
| di cui 515.000 azioni in garanzia a CREDITO ITALIANO; di cui 515.000 azioni in garanzia a CREDITO ITALIANO; di cui 1.030.000 azioni in garanzia a CREDITO ITALIANO; |
||||||
| 514 D GR-AVENIR 3.332 3.332 |
||||||
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY 1.115 D 106.276 106.276 FUND |
Legenda:
D: Delegante
26 Pagina
88961 47
14/05/2025
ENI S.p.A.
Roll
| ar the last to the be | Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria |
|---|---|---|---|---|
| 1.126 | D | GREAT WEST INTERNATIONAL INDEX FUND | 302.429 | 302.429 |
| 1.114 | D | GREAT WEST INTERNATIONAL VALUE FUND | 163.700 | 163.700 |
| 1.468 | D | GREENFINCH FOUNDATION | 18.510 | 18.510 |
| 1.879 | D | GROUPAMA CR GENOVA | 18.020 | 18.020 |
| 1.910 | D | GROUPAMA CR LAZARD ACT INTERNATIONALES | 22.251 | 22.251 |
| 1.900 | D | GROUPAMA CR LAZARD ACTIONS EURO | 80.885 | 80.885 |
| 1.887 | D | GROUPAMA CR TOTAL RETURN ALL CAP EUROPE | 30.500 | 30.500 |
| 1.882 | D | GROUPAMA EURO DIVERSIFIE | 13.184 | 13.184 |
| 1.999 | D | GROUPAMA EURO STOCK | 5.736 | 5.736 |
| 2.000 | D | GROUPAMA EUROPE STOCK | 51.758 | |
| 1.883 | D | GROUPAMA EUROSTRATEGIE | 36.127 | 51.758 |
| 1.942 | D | GROUPAMA GRAND EST | 36.127 | |
| 1.943 | D | GROUPAMA LOIRE BRETAGNE LOCAL I | 11.671 | 11.671 |
| 1.881 | D | GROUPAMA LOIRE BRETAGNE LOCAL 2 | 9.372 | 9.372 |
| 1.876 | D | GROUPAMA LOIRE BRETAGNE REGIONAL 1 | 9.274 | 9.274 |
| 1.873 | 7.481 | 7.481 | ||
| D | GROUPAMA MEDITERRANEE | 12.114 | 12.114 | |
| 1.874 | D | GROUPAMA NORD EST | 9.997 | 9.997 |
| 1.878 | D | GROUPAMA NORD EST ACTIONS | 18.483 | 18.483 |
| 1.981 | D | GROUPAMA OPPORTUNITIES EUROPE | 72.000 | 72.000 |
| 493 | D | GROUPE ROCHE | 48.616 | 48.616 |
| 306 | D | GUIDEMARK WORLD EX-US FUND | 24.355 | 24.355 |
| 1.616 | D | GUIDESTONE FUNDS INTERNATIONAL EQUITY FUND | 10.092 | 10.092 |
| 1.657 | D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 160.136 | 160.136 |
| 349 | D | GUINNESS ASSET MANAGEMENT FUNDS PLC/ GUINNESS | 389.694 | 389.694 |
| GLOBAL ENERGY FUND | ||||
| 439 | D | GUINNESS ATKINSON GLOBAL ENERGY FUND | 22.746 | 22.746 |
| 488 | D | GUITENBERG | 10.377 | 10.377 |
| 460 | D | HAGER INVESTMENT FUND | 4.591 | 4.591 |
| 1.925 | D | HAMELIN DIVERSITIE LEXI | 47.804 | 47.804 |
| 1.918 | D | HAMELIN DIVERSIFIE FLEX III AC | 21.790 | 21.790 |
| 2.383 | D | HAND COMPOSITE EMPLOYEE BENEFITTRUST | 10.035 | 10.035 |
| 18 | D | HANNOVERSCHEMAXINVEST | 25.565 | 25.565 |
| 29 | D | HANNOVERSCHEMEDIUMINVEST | 15.717 | 15.717 |
| વેવેરે | D | HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING | 13.389 | 13.389 |
| PUND | ||||
| 2.385 D | HARTFORD INTERNATIONAL EQUITY FUND | 129.579 | 129.579 | |
| 2.384 | D | HARTFORD MULTI-ASSET INCOME FUND | 17.268 | 17.268 |
| 2.263 | D | HARTFORD SCHRODERS DIVERSIFIED GROWTH FUND | 3.418 | 3.418 |
| 2.262 | D | HARTFORD SCHRODERS INTERNATIONAL CO NTRARIAN VALUE FUND |
88.422 | 88.422 |
| 2.261 | D | HARTFORD SCHRODERS INTERNATIONAL MULTI-CAP VALUE | 173.751 | 173.751 |
| FUND | ||||
| 1.542 | D | HASLAM FAMILY INVESTMENT PARTNERSHI | 292 | 292 |
| 1.026 D | HAWKES FAMILY LLC | 1.978 | 1.978 | |
| 1.555 | D | HAWTHORN DM LLC | 44.192 | 44.192 |
| 1.556 D | HAWTHORN EQ LLC | 51.904 | 51.904 | |
| 2.209 D | HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 3.247 | 3.247 | |
| 2.205 D | HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 1.669 | 1.669 | |
| 2.206 | D HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL | 34.368 | 34.368 | |
| Legenda: |
88961 48
| Badge | Titolare | |||||
|---|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |||
| EQUITY PORTFOL | ||||||
| 601 | D | HC RENTE | 10.132 | 10.132 | ||
| 14 | D | HELABA INVEST KAG MBH HI KAPPA 10 SFONDS | 26.600 | 26.600 | ||
| 11 | D | HELABA INVEST KAG MBH HI SZVA 23 SFONDS | 32.700 | 32.700 | ||
| 12 | D | HELABA INVEST KAG MBH HI SZVA 24 SFONDS | 22.820 | 22.820 | ||
| 865 | D | HELSANA VERSICHERUNGEN AG COMMODITY AKTIEN | 45.715 | |||
| GEBUNDENES VERMOEGEN DUEBENDORF | 45.715 | |||||
| 2.019 | D | HELVETIA I EUROPA | 113.614 | 113.614 | ||
| 481 | D | HENKEL DIVERSIFIEN I | 5.344 | |||
| 1.359 | D | HERMANDAD NACIONAL ARQUITECTOS TECNI. Y QUIM. M.P.S. | 145.152 | 5.344 | ||
| 582 | D | HIBSTCA | 348.041 | 145.152 | ||
| 262 | D | HI PNWL DIVIDENDE PLUS FONDS | 903.404 | 348.041 | ||
| 239 | D | HI-172915-FONDS | 903.404 | |||
| 209 | D | HI-AKTIEN-AKTIV-FUNDAMENTAL-SFONDS | 5.923 | 5.923 | ||
| 272 | D | HI-AKTIEN-AKTIV-VALUE-SFONDS | 185.000 | 185.000 | ||
| 177 | D | HI-PROAM-STIFTUNGSFONDS | 188.000 | 188.000 | ||
| 30 | D | HMT EURO SEASONAL LONGSHORT | 5.346 | 5.346 | ||
| 19 | D | HMT GLOBAL OPTIMAL DYNAMICS | 14.015 | 14.015 | ||
| 31 | D | HMT HANSEMERKUR AKTIEN INVEST | 8.880 | 8.880 | ||
| 1.499 | D | HONG KONG SPECIAL ADMINISTRATIVE REGION | 9.088 | 9.088 | ||
| GOVERNMENT EXCHANGE | 869.275 | 869.275 | ||||
| 1.503 | D | HONG KONG SPECIAL ADMINISTRATIVE REGION | ||||
| GOVERNMENT EXCHANGE | 117.777 | 117.777 | ||||
| 1.501 | D | HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | ||||
| 1.502 | D | HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 159.479 | 159.479 | ||
| 1.762 | D | HOSTPLUS POOLED SUPERANNUATION TRUST | 42.576 | 42.576 | ||
| 1.604 | D | HRW TESTAMENTARY TRUST NO. 1 | 245.011 | 245.011 | ||
| 1.605 | D | HRW TESTAMENTARY TRUST NO. 2 | 10.542 | 10.542 | ||
| 1.597 | D | HRW TESTAMENTARY TRUST NO. 3 | 12.137 | 12.137 | ||
| 1.609 | D | HRW TESTAMENTARY TRUST NO. 4. | 11.018 | 11.018 | ||
| 1.610 | D | HRW TESTAMENTARY TRUST NO. 6 | 9.994 | 9.994 | ||
| 1.606 | D | HRW TESTAMENTARY TRUST NO. 9. | 3.575 | 3.575 | ||
| 1.611 | D | HRW TRUST NO. 3 UAD 01/17/03 | 5.027 | 5.027 | ||
| 2.008 | D | HSBC ACTIONS FRANCE | 17.518 | 17.518 | ||
| 2.009 | D | 235.356 | 235.356 | |||
| 2.501 | D | FISBC ACTIONS PATRIMOINE | 188.409 | 188.409 | ||
| HSBC BANK PLC AS TRUSTEE OF STATE STREET AUT EUROPE | 88.444 | 88.444 | ||||
| 1.960 | D | EX UK S CREENED INDEX EQUITY FUND | ||||
| 905 | HSBC EE ACTIONS FRANCE | 52.907 | 52.907 | |||
| D | HSBC ETFS PLC | 34.090 | 34.090 | |||
| 891 | D | HSBC ETFS PLC - HSBC EUROPE SUSTAINABLE EQUITY UCITS ETFF |
1.615 | 1.615 | ||
| 881 | D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC EURODE EX | 6.204 | 6.204 | ||
| UK SUSTAINABLE EQUITY UCITS ETF | ||||||
| 904 | D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITIS ETTE |
56.503 | 56.503 | ||
| 907 | D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD ISLAMIC ESG UCITS ETF |
6.386 | 6.386 | ||
| 902 | D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD UCHES EINE |
447.632 | 447.632 | ||
Legenda:
D: Delegante
14/05/2025
28
88961199
14/05/2025
ENI S.p.A.
Badge
Titolare
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
|---|---|---|---|---|---|
| 888 | D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC DEVELOPED | 3.107 | 3.107 | |
| WORLD SUSTAINABLE EQUITY UCITS ETF | |||||
| 885 | D | HSBC GLOBAL FUNDS ICA V | 2.418 | 2.418 | |
| 890 | D | HSBC INDEX TRACKER INVESTMENT FUNDS - DEVELOPED | 102.154 | 102.154 | |
| WORLD SUSTAINABLE EQUITY INDEX FUND | |||||
| 893 | D | HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN | 1.620.321 | 1.620.321 | |
| INDEX FUND | |||||
| 876 | D | HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE | 159.312 | 159.312 | |
| ALL-WORLD INDEX FUND | |||||
| 897 | D | HSBC INSTITUTIONAL TRUST SERVICES IRELAND LIMITED RE | 716.744 | 716.744 | |
| 872 | D | HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE | 63.706 | 63.706 | |
| EQUITY INDEX TRACKING FUND | |||||
| 1.680 | D | HUDSON BAY MASTER FUND LTD. | 31.122 | 31.122 | |
| 97 | D | HUK-COBURG DRITTE FINANZVERWALTUNGS-GMBH | 6.500 | 6.500 | |
| ALLGEMEINES DEPOT I HF3 | |||||
| 111 | D | HUK-COBURG-LEBENSVERSICHERUNG AG | 390.000 | 390.000 | |
| SICHERUNGSVERM?GEN - AKTIEN VALUE HCL | |||||
| 215 | D | HUMANIS RETRAITE ACTIONS EMPLOI SANTE | 467.820 | 467.820 | |
| 175 | D | HUMANIS RETRAITE DIVERSIEIE | 603.206 | 603.206 | |
| 1.143 | D | IA CLARINGTON GLOBAL VALUE FUND | 39.900 | 39.900 | |
| 1.397 | D | TADB POST REFIREMENT BENEFITS FUND | 4.586 | 4.586 | |
| 1.394 | D | IADB STAFF RETIREMENT FUND | 12.558 | 12.558 | |
| 1.492 | D | IALUMBRA HOLDING TRUST | 18.200 | 18.200 | |
| 2.168 | D | IBM 401(K) PLUS PLAN TRUST | 418.543 | 418.543 | |
| 84 | D | IF IST - GLOBE INDEX | 82.272 | 82.272 | |
| 1.730 | D | ILA - A-ILDSCG | 9.449 | 9.449 | |
| 1.732 | D | ILA - A-ILEZEQG | 45.334 | 45.334 | |
| 1.733 | D | ILA - A-ILEZEQN | 5.993 | 5.993 | |
| 1.731 | D | ILA - A-ILGLOEQG | 15.216 | 15.216 | |
| 1.726 | D | ILA - A-ILGLOEQN | 3.350 | 3.350 | |
| 1.727 | D | ILA - RAFIMF | 47.083 | 47.083 | |
| 1.728 | D | ILA-A-ILSDMI-I | 389.571 | 389.571 | |
| 1.725 | D | ILA-ILSEAFE - SUSTAINABLE EAFE EQUITY | 88.693 | 88.693 | |
| 1.720 | D | ILA-LA WORLD ESG SCREENED FUND | 19.442 | 19.442 | |
| 1.807 | D | ILEX MASTER FUND LP | 192.885 | 192.885 | |
| 1.806 | D | ILEX MASTER FUND LP WALKERS CORPORATE LIMITED | 183.370 | 183.370 | |
| 1.435 | D | ILLINOIS MUNICIPAL RETIREMENT FUND | 743.192 | 743.192 | |
| 1.053 | D | IMCO GLOBAL PUBLIC EQUITY LP | 76.960 | 76.960 | |
| 1.076 | D | IMPERIAL INTERNATIONAL EQUITY POOL | 41.485 | 41.485 | |
| 1.077 | D | IMPERIAL OVERSEAS EQUITY POOL | 603 | 603 | |
| 1.303 | D | INARCASSA - CASSA NAZIONALE DI PREVIDENZA ED | 7.898.070 | 7.898.070 | |
| ASSISTENZA PER | |||||
| 813 | D | INCOME INSURANCE LIMITED | 4.234 | 4.234 | |
| 1.258 | D | INDIANA PUBLIC RETIREMENT SYSTEM | 93.772 | 93.772 | |
| 1.992 | D | INDOSUEZ EURO PATRIMOINE | 168.906 | 168.906 | |
| 1.991 | D | INDOSUEZ EURO RENDEMENT | 71.113 | 71.113 | |
| 1.144 | D | INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL | 70.555 | 70.555 | |
| SERVICES INC | |||||
| 668 | D | INDUSTRIENS PENSIONSFORSIKRING A/S | 26.322 | 26.322 | |
| Legenda: |
Titolare
Badge
8896180
| Tipo Rap. Deleganti / Rappresentati legalmente |
|||||||
|---|---|---|---|---|---|---|---|
| 2.021 | D | ING DIRECT FONDO NARANJA CONSERVADOR FI | Ordinaria | Straordinaria | |||
| 2.025 | D | ING DIRECT FONDO NARANJA DINAMICO FI | 2.681 | 2.681 | |||
| 2.026 | D | ING DIRECT FONDO NARANJA EUROSTOXX 50 FI | 22.969 | 22.969 | |||
| 2.024 | D | ING DIRECT FONDO NARANJA MODERADO FI | 127.245 | 127.245 | |||
| 362 | D | ING DIRECT SICA V | 16.009 | 16.009 | |||
| 1.984 | D | INKIPIT MANDAT CROISSANCE | 94.182 | 94.182 | |||
| 1.345 | D | INSPIRE INTERNATIONAL ETF | 2.554 | 2.554 | |||
| 2.354 | D | INSTITUTIONAL RETIREMENT TRUST | 94.855 | 94.855 | |||
| 2.100 | D | INSTITUTIONAL SOLUTIONS FUND FCP-SIF | 48.239 | 48.239 | |||
| 2.348 | D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC | 116.757 | 116.757 | |||
| EUROLAND EQUITIES | 322.873 | 322.873 | |||||
| 2.494 | D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR | |||||
| ENTSORGUNGSFONDS | 596.126 | 596.126 | |||||
| 2.187 | D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR | |||||
| LHPRIVATRENTEAKTIEN | 156.000 | 156.000 | |||||
| 732 | D | INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC | |||||
| 765 | D | INTECH INTERNATIONAL LARGE CAP CORE FUND LLC | 2.933 | 2.933 | |||
| 1.134 | D | INTERNATIONAL BANK FOR RECONSTRUCTION AND | 46 | 46 | |||
| DEVELOPMENT | 40.509 | 40.509 | |||||
| 1.751 | D | INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA | |||||
| INVESTMENT DIMENSIONS GROUP INC | 3.809.218 | 3.809.218 | |||||
| 1.587 | D | INTERNATIONAL EQUITIES B UNIT TRUST | |||||
| 1.586 | D | INTERNATIONAL EQUITIES PASSIVE B UNIT TRUST | 13.505 | 13.505 | |||
| 2.083 | D | INTERNATIONAL EQUITIES SECTOR TRUST | 1.995 | 1.995 | |||
| 1.514 | D | INTERNATIONAL EQUITY FUND LLC | 3.015 | 3.015 | |||
| 1.543 | D | INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 27.254 | 27.254 | |||
| 2.114 | D | INTERNATIONAL MONETARY FUND | 8.373 | 8.373 | |||
| 2.115 | D | INTERNATIONAL MONETARY FUND | 58.878 | 58.878 | |||
| 1.395 | D | INTERNATIONAL MONETARY FUND RETIRED STAFF | 67.077 | 67.077 | |||
| BENEFITS INVESTMENT ACCOUNT | 20.943 | 20.943 | |||||
| 1.396 | D | INTERNATIONAL MONETARY FUND RETIRED STAFF | |||||
| BENEFITS INVESTMENT ACCOUNT | 12.537 | 12.537 | |||||
| 1.561 | D | ||||||
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN |
75.865 | 75.865 | |||||
| 1.562 | D | ||||||
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN |
47.093 | 47.093 | |||||
| 2.067 | D | ||||||
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT PORTFO |
4.033 | 4.033 | |||||
| 915 | D | ||||||
| 018 | D | INTERNATIONALE APITALANLAGEGESELLSCHAFT MBH | 44.063 | 44.063 | |||
| 1.202 | D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 1.378.377 | ||||
| INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING FOR ACCOUNT OF BPT |
10.636 | 1.378.377 10.636 |
|||||
| 1.208 D | |||||||
| INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 29.968 | ||||||
| 1.106 | D | ACTING FOR ACCOUNT OF INKA PBEAKK | 29.968 | ||||
| INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 66.000 | ||||||
| 152 | D | ACTING FOR ACCOUNT OF ZFO AKTIEN EUROPA | 66.000 | ||||
| INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 60.000 | ||||||
| 1.104 | D | WINKA F100 W/S200 | 60.000 | ||||
| Legenda® | INV NI GLOBALE AKTIER BASIS 10003 | 30.168 | 30 168 | ||||
D: Delegante
Pagina 30
1 1 8 9 6 1 8 7
| DUALL | TIMULE | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.022 | D | INVERACTIVO CONFIANZA FI | 5.925 | 5.925 |
| 356 | D | INVERSABADELL 25. FI | 5.354 | 5.354 |
| 290 | D | INVERSABADELL 50, FI | 4.329 | 4.329 |
| 357 | D | INVERSABADELL 70, FI | 1.385 | 1.385 |
| 2.355 | D | INVESCO BCPL BADGER FUND, A SERIES OF INVESCO MULTI | 18.384 | 18.384 |
| SERIES FUNDS II | ||||
| 1.113 | D | INVESCO FTSE RAFI DEVELOPED MARKETS EX US ETF | 528.590 | 528.590 |
| 1.112 | D | INVESCOTTS RAFT EMERGING MARKETS UCITS DIT | 49.945 | 49.945 |
| 2.156 | D | INVESCO MACRO ALLOCATION STRATEGY TRUST | 5.571 | 5.571 |
| 1.123 | D | INVESCO MARKETS II PLC | 56.634 | 56.634 |
| 1.130 | D | INVESCO MARKETS II PUBLIC LTD | 23.265 | 23.265 |
| 1.124 | D | INVESCO MARKETS II PUBLIC INDICO | 30.864 | 30.864 |
| 1.111 | D | INVESCO MARKETS III PLC | 743 | 743 |
| 1.069 | D | INVESCO MSCI EAFE INCOME ADVANTAGE ETF | 526 | 526 |
| 1.125 | D | INVESCO MSCI EUR EQ WGHT UCHS ETI- | 70.686 | 70.686 |
| 1.753 | D | INVESCO POOLED INVESTMENT FUND - EUROPE FUND | 13.134 | 13.134 |
| 1.766 | D | INVESCO POOLED INVESTMENT FUND - GLOBAL STRATEGIC | 41.019 | 41.019 |
| EQUITY FUN INSTITUTIONAL CLIENTS GROUP SECURITIES | ||||
| AND FUND SERVICES | ||||
| 1.142 | D | INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 1.767 | 1.767 |
| 1.188 | D | INVESCO'S AND P INTERNATIONAL DEVELOPED LOW | 85.834 | 85.834 |
| VOLATIENT ETT | ||||
| 680 | D | INVESTERINGSFORENINGEN BANKINVEST ENGROS, SPAR | 19.460 | 19.460 |
| NORD TEMA FOND KL | ||||
| 613 | D | INVESTERINGSFORENINGEN BANKINNEST ENGROS GLOBATE | 33.200 | 33.200 |
| AKTIER AKK.KL | ||||
| 678 | D | INVESTERINGSFORENINGEN BANKINVEST GLOBALE AKTIER | 5.270 | 5.270 |
| INDEKS AKK. KL | ||||
| 635 | D | INVESTERINGSFORENINGEN BANKINVEST, BIX GLOBALE | 32.096 | 32.096 |
| AKTIER ESG UNIVERSAL KL | ||||
| 691 | D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA | 82.478 | 82.478 |
| INDEKS BNP KL | ||||
| 687 | D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA | 189.219 | 189.219 |
| INDEKS KL | ||||
| 667 | D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL | 50.027 | 50.027 |
| INDEKS - AKKUMULERENDE KL | ||||
| 696 | D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL | 253.557 | 253.557 |
| INDEKS KL | ||||
| 708 | D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEX | 26.138 | 26.138 |
| 2 - ACCUMULATING | ||||
| 658 | D | INVESTERINGSFORENINGEN DANSKE INVEST MIX OFFENSIV | 4.067 | 4.067 |
| PLUS - AKKUMULERENDE | ||||
| 686 | D | INVESTERINGSFORENINGEN DANSKE INVEST SELECT | 114.942 | 114.942 |
| FLEXINVEST AKTIER KL | ||||
| 661 | D | INVESTERINGSFORENINGEN DANSKE INVEST SELECT | 185.065 | 185.065 |
| GLOBAL EQUITY SOLUTION - AKKUMULERENDE KL | ||||
| 638 | D INVESTERINGSFORENINGEN DANSKE INVEST SELECT | 119.866 | 119.866 | |
| GLOBAL EQUITY SOLUTION KL | ||||
| 673 | D | INVESTERINGSFORENINGEN DANSKE INVEST SELECT | 77.585 | 77.585 |
| Legenda: |

Radge
Elenco Intervenuti (Tutti ordinati alfabeticamente)
| Tipo Rap. Deleganti / Rappresentati legalmente |
Ordinaria | |||
|---|---|---|---|---|
| GLOBAL QUANT - ACCUMULATING | Straordinaria | |||
| 711 | D | INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE | ||
| AKTIER INDEKS KL | 16.327 | 16.327 | ||
| 1.105 | D | INVESTERINGSFORENINGEN NYKREDIT INVEST TAKTISK | ||
| ALLOKERING | 33.127 | 33.127 | ||
| 770 | D | INVESTERINGSFORENINGEN PROFIL INVEST AFDELING | ||
| DANICA PENSJON NORGE - AKSJER | 11.876 | 11.876 | ||
| 1.088 | D | INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | ||
| VALUE KL | 63.797 | 63.797 | ||
| 1.087 | D | INVESTERINGSFORENINGEN SPARINVEST VALUE AKTIE | ||
| 1.089 | D | INVESTERINGSFORENINGEN SPARINVEST VALUE EUROPA | 630.690 | 630.690 |
| ಲ್ಲಾ ಸಾಮಿತ್ರದ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ | D | INVESTERINGSFORENINGEN SYDINVEST | 111.204 | 11.204 |
| 195 | D | INVESTITORI EIGHTY TWENTY | 14.199 | 14.199 |
| 257 | D | INVESTITORI PIAZZA AFFARI | 10.230 | 10.230 |
| 1.270 | D | IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 48.300 | 48.300 |
| 1.894 | D | IP ACTIONS EURO | 46.564 | 46.564 |
| 406 | D | IPAC INCOME GENERATOR | 39.306 | 39.306 |
| 1.000 | D | 4.254 | 4.254 | |
| 1.915 | D | IPC MULTIFACTOR INTERNATIONAL EQUITY IPECA ACTIONS EURO |
19.692 | 19.692 |
| 1.160 | D | 33.200 | 33.200 | |
| 1.147 | D | IPROFILE INTERNATIONAL EQUITY PRIVATE POOL | 354.430 | 554.430 |
| 45 | D | IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 121.296 | 121.296 |
| IRIS CERAMICA GROUP SOCIETA' PER AZIONI | 33.648.342 | 33.648.342 | ||
| di cui 515.000 azioni in garanzia a CREDITO ITALIANO; di cui 515.000 azioni in garanzia a CREDITO ITALIANO: |
||||
| di cui 1.030.000 azioni in garanzia a CREDITO ITALIANO; | ||||
| 779 | D | IRIS CERAMICA GROUP SPA | ||
| 1.723 | D | IRISH LIFE ASSURANCE PLC | 766.837 | 766.837 |
| 1.724 | D | IRISH LIFE ASSURANCE PLC | 407.571 | 407.571 |
| 1.721 | D | IRISH LIFE ASSURANCE. | 297.288 | 297.288 |
| 1.722 | D | IRISH LIFE ASSURANCE. | 43.744 | 43.744 |
| 1.734 | D | IRISH LIFE ASSURANCE. | 187.371 | 187.371 |
| 498 | D | IRONWOMAN | 78.823 | 78.823 |
| 1.971 | D | IRP AUTO ACTIONS EURO | 1.284 | 1.284 |
| 702 | D | ISHARES ALL-COUNTRY EQUITY INDEX FUND | 180.260 | 180.260 |
| 2.122 | D | 6.017 | 6.017 | |
| 2.056 | D | ISHARES CORE EURO STOXX 50 UCITS ETF (DE) ISHARES CORE MSCI EAFE ETF |
4.610.131 | 4.610.131 |
| 2.059 | D | ISHARES CORE MSCI EAFE IMI INDEX ETF | 13.976.569 | 13.976.569 |
| 2.050 | D | ISHARES CORE MSCI EUROPE ETF | 837.274 | 837.274 |
| 2.058 | D | 949.119 | 949.119 | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF |
1.755.917 | 1.755.917 | ||
| 2.057 D | ||||
| 2.053 D | ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 2.888.071 | 2.888.071 | |
| 2.061 D | ISHARES ESG AWARE MSCI EAFE ETF | 578.094 | 578.094 | |
| 1.230 D | ISHARES ESG AWARE MSCI EAFE INDEX ETF | 11.576 | 11.576 | |
| ISHARES EURO STOXX 50 UCITS ETF | 2.481.389 | 2.481.389 | ||
| 2.123 D ISHARES EURO STOXX UCITS ETF (DE) | 849.800 | 849.800 | ||
| 2.043 | D | ISHARES EUROPE ETF | 383.790 | 383.790 |
| 2.041 | D | ISHARES GLOBAL ENERGY ETF | 1.413.661 | 1 413 661 |
Legenda:

Titolare
Radee
| Presenta | Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria |
|---|---|---|---|---|
| 2.063 | D | ISHARES GLOBAL MONTHLY DIVIDENDINDEX ETF | 44.989 | 44.989 |
| (CAD-HEDGED) | ||||
| 1.231 | D | ISHARES II PUBLIC LIMITED COMPANY | 1.692.291 | 1.692.291 |
| 2.110 | D | ISHARES III PUBLIC LIMITED COMPANY | 92.486 | 92.486 |
| 2.051 | D | ISHARES INTERNATIONAL EQUITY FACTOR ETF | 421.104 | 421.104 |
| 2.062 | D | ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 35.145 | 35.145 |
| 2.048 | D | ISFARES INTERNATIONAL SELECT DIVIDEND ETF | 6.981.078 | 6.981.078 |
| 2.112 | D | ISHARES IV PUBLIC LIMITED COMPANY | 1.289.214 | 1.289.214 |
| 2.039 | D | ISHARES MSCI ACWI ETF | 589.033 | 589.033 |
| 2.040 | D | ISHARES MSCI ACWI EX U.S. ETF | 467.085 | 467.085 |
| 2.044 | D | ISHARES MSCI EAFE ETF | 7.228.152 | 7.228.152 |
| 2.038 | D | ISHARES MSCI EATE INTERNATIONALINDEX FUND | 1.337.352 | 1.337.352 |
| 2.049 | D | ISHARES MSCI EAFE MIN VOL FACTOR ETF | 3.561.557 | 3.561.557 |
| 2.045 | D | ISHARES MSCI EAFE VALUE ETT | 4.820.701 | 4.820.701 |
| 2.060 | D | ISHARES MSCI EUROPE IMI INDEX ETF | 54.476 | 54.476 |
| 2.042 | D | ISHARES MSCI EUROZONE ETF | 2.609.578 | 2.609.578 |
| 2.054 | D | ISHARES MSCI GLOBAL ENERGY PRODUCERS ETF | 67.016 | 67.016 |
| 2.052 | D | ISHARES MSCI INTL VALUE FACTOR ETF | 468.681 | 468.681 |
| 2.047 | D | ISHARES MSCI ITALY ETF | 1.005.860 | 1.005.860 |
| 2.046 | D | ISHARES MSCI KOKUSAI ETF | 6.777 | 6.777 |
| 2.055 | D | ISHARES MSCI WORLD ETF | 145.090 | 145.090 |
| 1.232 | D | ISHARES MSCI WRLD ISLAMIC UCITS EIF | 97.483 | 97.483 |
| 1.233 | D | ISHARES PUBLIC LIMITED COMPANY | 300.880 | 300.880 |
| 2.126 | D | ISHARES STOXX EUROPE 600 OIL GAS UCITS ETF DE | 1.722.064 | 1.722.064 |
| 2.125 | D | ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 1.455.482 | 1.455.482 |
| 2.124 | D | ISHARES STOXX EUROPE LARGE 200 UCITS ETF (DE) | 23.790 | 23.790 |
| 2.109 | D | ISHARES V PUBLIC LIMITED COMPANY | 554.846 | 554.846 |
| 2.111 | D | ISHARES VI PUBLIC LIMITED COMPANY | 2.303.139 | 2.303.139 |
| 1.131 | D | ISHARES VII PUBLIC LIMITED COMPANY | 4.270.318 | 4.270.318 |
| 752 | D | ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 215.552 | 215.552 |
| 656 | D | ISHARES WORLD EQUITY FACTOR ETF | 9.886 | 9.886 |
| 2.119 | D | ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) |
100 | 100 |
| 1.700 | D | ITALY STOCK FUND | 22.000 | 22.000 |
| 1.094 | D | IUOE LOCAL 793 MEMBERS PENSION BENEFIT TRUST OF | 40.241 | 40.241 |
| 1.695 | D | JAIN GLOBAL MASTER FUND LTD | 295 | 295 |
| 455 | D | JAMERIEY | 1.117 | 1.117 |
| 1.027 | D | JAMES B HAWKES 2012 REVOCABLE TR | 3.180 | 3.180 |
| 1.687 | D | JEFFERIES STRATEGIC INVESTMENTS LLC . | 232 | 232 |
| 629 | D | JEFFREY LLC | 18.268 | 18.268 |
| । તેણ | D | JEMILA FONDS | 14.171 | 14.171 |
| 2.372 D | JJ PENSION FUND OFF | 250.700 | 250.700 | |
| 699 D | JNL INTERNATIONAL INDEX FUND | 343.691 | 343.691 | |
| 2.364 D | INLIDFA INTERNATIONAL CORE EQUITY FUND | 50.870 | 50.870 | |
| 2.369 D D JNL/JPMORGAN GLOBAL ALLOCATION FUND | 6.111 | 6.111 | ||
| 2.368 D | JNL/MELLON MSCI WORLD INDEX FUND | 24.342 | 24.342 | |
| 1.059 D | JOHN D SPEARS GRAT DATED 2 20 09 F B O JULIE L SPEARS | 5.700 | 5.700 | |
| 1.058 D | JOHN D SPEARS GRAT 1 2 20 09 | 5.525 | 5.525 | |
| 1.057 | D D JOHN D SPEARS GRAT I DATED 2 20 09 F B O NANA R SPEARS | 5.225 | 5.225 |
Legenda:

14/05/2025
| President | TIUMIE | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.055 | D | JOHN D SPEARS REVOCABLE TRUST DTD 9 29 2006 | 61.500 | 61.500 |
| 731 | D | TOHN F BOOKOUT IR CSL TRUST FOR TOHN F B | 10.087 | 10.087 |
| 2.203 | D | JOHN HANCOCK FUNDS II INCOME AI.LOCATION FUND | 7.106 | 7.106 |
| 1.761 | D | JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND |
336.590 | 336.590 |
| 2.196 | D | JOHN HANCOCK HEDGED EQUITY AND INCOME FUND | 11.939 | 11.939 |
| 2.162 | D | JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 131.330 | 13 1.330 |
| 2.197 | D | JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL Eile |
144.639 | 144.639 |
| 2.195 | D | JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST |
151.736 | 151.736 |
| 1.699 | D | JOHN HANCOCK VARIABLE INSURANCE TRUST | 76.957 | 76.957 |
| 2.201 | D | INTERNATIONAL EQUITY INDEX TRUST. JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ |
254.830 | 254.830 |
| 1.003 | D | ALLOCATION TRUST JOHN SPEARS REVOCABLE TRUST |
1.980 | 1.980 |
| 1.618 | D | JOHN T. WALTON FAMILY TRUST | 171.683 | 171.683 |
| 2.461 | D | JOHNSON JOHNSON UK GROUP RETIREMENT PLAN | 32.610 | |
| 1.469 | D | JOSHUA GREEN CORPORATION | 9.141 | 32.610 |
| 856 | D | JPM MULTI INCOME FUND | 90.852 | 9.141 |
| રેતેર | D | JPMORGAN BETABUILDERS EUROPE ETF | 90.852 | |
| 618 | D | JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 788.757 | 788.757 |
| 717 | D | 617.041 | 617.041 | |
| 564 | D | JPMORGAN CHASE RETIREMENT PLAN | 55.962 | 55.962 |
| JPMORGAN DIVERSIFIED RETURN INTERNATIONAL EQUITY Eilip |
60.194 | 60.194 | ||
| 398 | D | JPMORGAN ETFS (IRELAND) ICAV - EUROZONE RESEARCH | 68.085 | 68.085 |
| 429 | D | ENHAN INDEX EQ (ESG) UCITS ETF JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY |
24.193 | 24.193 |
| MULTI-FACTOR UCITS ETTP | ||||
| 286 | D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY PREMIUM INCOME ACTIVE UCITS FIF |
33.935 | 33.935 |
| 683 | D | JPMORGAN FLEXIBLE INCOME ETF | 1.273 | 1.273 |
| 600 | D | JPMORGAN FUND ICVC - JPM EUROPE (EX-UK) RESEARCH | 26.358 | 26.358 |
| ENHANCED INDEX EQUITY FUND | ||||
| રેતું રેતું રેતા પાસની તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામનાં મુખ્યત્વે આવેલું એક ગામનાં મુખ્યત | D | JPMORGAN FUND ICVC - JPM GLOBAL RESEARCH ENHANCED INDEX EQUITY FUND |
10.361 | 10.361 |
| 720 | D | JPMORGAN FUND ICVC - JPM MULTI-ASSET INCOME FUND | 7.307 | 7.307 |
| 642 | D | JPMORGAN FUND III ICVC-JPM DIVERSIFIED GROWTH FUND | 204 | 294 |
| 713 | D | JPMORGAN FUNDS | 10.828 | 10.828 |
| 727 | D | JPMORGAN GLOBAL ALLOCATION FUND | 18.770 | 18.770 |
| 719 | D | JPMORGAN INCOME BUILDER FUND | 185.168 | 185.168 |
| 583 | D | JPMORGAN INVESTMENT FUNDS | 562.289 | 562.289 |
| 862 D | JPMORGAN MULTI BALANCED FUND | 2.255 | 2.255 | |
| 1.630 D | JTW TRUST NO. I UAD 9/19/02. | 8.181 | 8.181 | |
| 1.628 | D | JTW TRUST NO. 2 UAD 9/19/02. | 17.217 | 17.217 |
| 1.631 D | JTW TRUST NO. 3 UAD 9/19/02. | 12.024 | 12.024 | |
| 1.629 D | JTW TRUST NO. 4 UAD 9/19/02. | 8.679 | 8.679 | |
| 1.627 | D | JTW TRUST NO. 5 UAD 9/19/02. | 2.780 | 2.780 |
| 2.351 | D | JUNIVERSITAS GB UMBRELLA FUND -JUNIVERSITAS MA M 1 | 692 | 692 |
Legenda:

14/05/2025
| Titolare Badge |
||||||||
|---|---|---|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |||||
| FUND UNIT TRUST | ||||||||
| 1.508 | D | K INVESTMENTS SH LIMITED. | 166.781 | 166.781 | ||||
| 2.213 | D | KAISER FOUNDATION HOSPITALS | 18.116 | 18.116 | ||||
| 2.208 | D | KAISER PERMANENTE GROUP TRUST | 19.586 | 19.586 | ||||
| 1.066 | D | KAP IP GLO EQUI III 56097 | 90.749 | 90.749 | ||||
| 631 | D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL | 156.473 | 156.473 | ||||
| AFDELING DANICA LINK - INDEKS GLOBALE AKTIER | ||||||||
| 705 | D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL | 314.253 | 314.253 | ||||
| AFDELING DANICA PENSION - AKTIER 5 | ||||||||
| 1.108 | D | KAPITALFORENINGEN INVESTIN PRO GLOBAL EQUITIES I | 145.045 | 145.045 | ||||
| 592 | D | KAPITALFORENINGEN LD, SMART BETA - MANDAT | 50.393 | 50.393 | ||||
| 805 | D | KAPITALFORENINGEN SAMPENSION INVEST. GLOBALT | 539.712 | 539.712 | ||||
| AKTIEINDEKS | ||||||||
| 808 | D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT | 47.057 | 47.057 | ||||
| AKTIEINDEKS ENHANCED | ||||||||
| 1.995 | D | KARAMA ETHIQUE | 3.500 | 3.500 | ||||
| 1.379 | D | KARRICK LIMITED | 1.690 | 1.690 | ||||
| 1.410 | D | KBI FUNDS ICA V | 72.720 | 72.720 | ||||
| 768 | D | KEB HANA BANK ATF KIM PRIVATE PRIME GLOBAL VALUE | 16.481 | 16.481 | ||||
| EQUITY MASTER INVESTMENT TRUST I | ||||||||
| 1.867 | D | KLAVERBLAD SCHADEVERZEKERINGSMAATSCHAPPI | 48.903 | 48.903 | ||||
| 1.338 | D | KOKUSAI EQUITY INDEX FUND. A S | 52.393 | 52.393 | ||||
| 1.672 | D | KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG | 285.770 | 285.770 | ||||
| FORSIKRINGSSELSKAP | ||||||||
| 37 | D | KONECNY TOMAS | 14 | 14 | ||||
| 2.274 | D | KONSUMENTKOOPERATIONENS PENSIONSSTIPTELSE | 54.852 | 54.852 | ||||
| 2.273 | D | KPA TJANSTEPENSIONSFORSAKRING AB (PUBL) | 971.601 | 971.601 | ||||
| 603 | D | KYBURG INSTITUTIONAL FUND - AKTIEN WELT | 469.158 | 469.158 | ||||
| 228 | D | LA MONDIALE | 2.411.823 | 2.411.823 | ||||
| 1.446 | D | LABORERS' AND RETIREMENT BOARD EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO |
25.407 | 25.407 | ||||
| 2.352 | D | LACERA MASTER OPEB TRUST | 48.218 | 48.218 | ||||
| 1.509 | D | LAKE AVENUE INVESTMENTS LLC | 52.128 | 52.128 | ||||
| 1.510 | D | LAKE AVENUE INVESTMENTS LLC | 81.546 | 81.546 | ||||
| 782 | D | LALLEMANT | 1.000 | 1.000 | ||||
| 466 | D | LARCOUEST INVESTISSEMENT - SO | 10.000 | 10.000 | ||||
| 1.738 | D | LARGE CAP INTL PORTFOLIO OF DFA INV | 968.032 | 968.032 | ||||
| 1.224 | D | LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD | 1 | 1 | ||||
| NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP | ||||||||
| TRUSSI | ||||||||
| 1.948 | D | LAZARD APOLLINE LARGE CAP EURO | 339.440 | 339.440 | ||||
| 821 D | LAZARD DIVIDEND | 73.020 | 73.020 | |||||
| 1.899 D | LAZARD EPARGNE ACTIONS | 44.634 | 44.634 | |||||
| 823 D | LAZARD EUROPE CONCENTRATED | 121.150 | 121.150 | |||||
| 829 D | LAZARD FRERES CESTION | 62.649 | 62.649 | |||||
| 1.973 D | LAZARD IRCEM RETRAITE - POCHE ACTIONS | 30.590 | 30.590 | |||||
| 825 | D | LAZARD MF ACTIONS EURO | 127.440 | 127.440 | ||||
| 1.965 | D | LBPAM 3 MOIS | 10.631.056 | 10.631.056 | ||||
| 1.963 | D | LBPAM FRANCECAP 100 NOVEMBRE 2030 | 1.551.921 | 1.551.921 |
Legenda:
D: Delegante
88961 86
ENI S.p.A.
Radac
14/05/2025
| Presente | ||||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.969 | D | LBPAM ISR ACTIONS 80 | 79.201 | 79.201 |
| 1.967 | D | LBPAM ISR ACTIONS MONDE | 34.671 | 34.671 |
| 1.968 | D | LBPAM RESPONSABLE ACTIONS EURO | 136.102 | 136.102 |
| 2.013 | D | LBPAM SHORT TERM | 750.000 | 750.000 |
| 2.004 | D | LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 9.509 | 9.509 |
| 1.904 | D | LCL TRIPLE HORIZON (SEPT 2021) | 400.000 | 400.000 |
| 17 | D | LEANVAL EQUITY PROTECT | 3.042 | 3.042 |
| 1.746 | D | LEGAL & GENERAL ASSURANCE SOCIETY LIMITED | 641 | 641 |
| 1.557 | D | LEGAL & GENERAL DEVELOPED MULTI-FACTOR SL FUND LLC | 12.067 | 12.067 |
| 1.405 | D | LEGAL & GENERAL EUROPEAN EQUITY INCOME FUND | 453.848 | 453.848 |
| 1.403 | D | LEGAL & GENERAL FUTURE WORLD ESG TILTED AND | 27.878 | 27.878 |
| OPTIMISED DEVELO | ||||
| 1.404 | D | LEGAL & GENERAL FUTURE WORLD ESG TILTED AND | 18.235 | 18.235 |
| OPTIMISED EUROPE | ||||
| 1.402 | D | LEGAL & GENERAL FUTURE WORLD GLOBAL MULTI-FACTOR | 878 | 878 |
| ESC TIme D | ||||
| 1.401 | D | LEGAL & GENERAL GLOBAL EQUITY INDEX FUND | 48.863 | 48.863 |
| 1.409 | D | LEGAL & GENERAL ICAV. | 288.380 | |
| 1.505 | D | LEGAL & GENERAL MSCI EATE FUND LLC | 178.252 | 288.380 |
| 1.558 | D | LEGAL & GENERAL MSCIEATESL FUND LLC | 178.252 | |
| 1.421 | D | LEGAL & GENERAL SICAV. | 148.512 | 148.512 |
| 1.745 | D | LEGAL AND GENERAL ASSURANCE ( PENSIONS | 51.130 | 51.130 |
| 1.563.819 | 1.563.819 | |||
| MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED | ||||
| 1.719 | D | LEGAL AND GENERAL ASSURANCE (PENSIONS | 5.247.977 | 5.247.977 |
| MANAGEMENT) LIMITED | ||||
| 1.759 | D | LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 223.797 | 223.797 |
| 1.400 | D | LEGAL AND GENERAL EUROPEAN INDEX TRUST | 918.305 | 918.305 |
| 1.406 | D | LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 252.326 | 252.326 |
| 979 | D | LEGAL AND GENERAL UCITS ETF PLC | 149.811 | 149.811 |
| 1.504 | D | LEHMAN-STAMM FAMILY PARTNERS LLC | 216 | 216 |
| 1.690 | D | LEIF B SORENSEN TRUST U/A DTD 07/22/1993 LEIF SORENSEN | 2.700 | 2.700 |
| THE E | ||||
| 1.626 | D | LESLIE C NAIFY 2016 TRUST UAD FEB 8 1991 | 12.039 | 12.039 |
| 513 | D | LEXMARK DYNAMIQUE | 3.184 | 3.184 |
| 1.945 | D | LFG CAVAMAC ACTIONS EURO I | 352.490 | 352.490 |
| 1.896 | D | LFM ACTIONS MONDE VOLATILITE C | 850.000 | 850.000 |
| 1.390 | D | LGIM MANAGERS (EUROPE) LIMITED | 57.609 | 57.609 |
| 1.667 | D | LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 4.796 | 4.796 |
| 237 | D | LM ACTIONS FRPS | 1.938.020 | 1.938.020 |
| 2.321 | D | LM FUND LP | 1.487 | 1.487 |
| 1.218 | D | LMT MRT BLRK EUROPE VALUE 775373 | 44.019 | 44.019 |
| 1.838 | D | LO FUNDS - ALL ROADS | 312.417 | 312.417 |
| 1.833 D | LO FUNDS - ALL ROADS CONSERVATIVE | 44.940 | 44.940 | |
| 1.832 D | LO FUNDS - ALL ROADS GROWTH | 233.001 | 233.001 | |
| 2.018 D | LO IS CH - TARGETNETZERO GLOBAL EX-CH EQUITY | 3.674 | 3.674 | |
| 2.322 D D LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION | 388.328 | 388.328 | ||
| PLANS MASTER TR | ||||
| 1.101 | D | LOCKHEED MARTIN CORPORATION MASTER RETIREMENT | 187.567 | 187.567 |
| TRUST |
Legenda:
D: Delegante

14/05/2025
ENI S.p.A.
Titaler
Rodac
| Property of | Tipo Rap. |
Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria |
|---|---|---|---|---|
| 1.837 | D | LOF TARGETNETZERO EUROPE EQUITY | 18.389 | 18.389 |
| 1.831 | D | LOF TARGETNETZERO GLOBAL EQUITY | 18.647 | 18.647 |
| 232 | D | LORENTZ POCKET CROISSANC | 2.039 | 2.039 |
| 1.635 | D | LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 121.469 | 121.469 |
| 2.347 | D | LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 451.995 | 451.995 |
| 1.638 | D | LOTHIAN PENSION FUND | 1.120.111 | 1.120.111 |
| 1.242 | D | LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 1 | 1 |
| 453 | D | LP SEMIN | 2.000 | 2.000 |
| 395 | D | LSV GLOBAL MANAGED VOLATILITY FUND | 3.100 | 3.100 |
| 383 | D | LSV GLOBAL VALUE FUND | 21.200 | 21.200 |
| 1.625 | D | LSV INTERNATIONAL VALUE EQUITY TRUST | 212.000 | 212.000 |
| 1.235 | D | LUCENT TECHNOLOGIES INC DEFINED CONTRIBUTION PLAN | 1 | 1 |
| MASTER TRUST | ||||
| 1.696 | D | LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS | 34.601 | 34.601 |
| UCHIS FUND | ||||
| 2.029 | D | LUX IM - ESG EUROPEAN EQUITIES | 10 | 10 |
| 2.028 | D | LUX IM ESG FLEXIBLE GLOBAL EQUITIES | 151.747 | 151.747 |
| 1.819 | D | LUXCELLENCE-HELVETIA EUROP EQUITY | 13.702 | 13.702 |
| 2.345 | D | LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 102.825 | 102.825 |
| 2.343 | D | LVIP MONDRIAN INTERNATIONAL VALUE FUND | 574.313 | 574.313 |
| 2.344 | D | LVIP SSGA INTERNATIONAL INDEX FUND | 284.561 | 284.561 |
| 609 | D | LVM LANDWIRTSCHAFTLICHER VERSICHERUNGSVEREIN | 111.335 | 111.335 |
| MUENSTER A.G. | ||||
| 621 | D | LVUI EQUITY EUROPE | 70.000 | 70.000 |
| 608 | D | LVUI EQUITY WORLD EX EUROPE | 8.650 | 8.650 |
| 1.313 | D | LYXOR EURO STOXX 50 (DR) UCITS | 2.074.736 | 2.074.736 |
| 1.311 | D | LYXOR FTSE MIB UCITS ETT | 1.908.193 | 1.908.193 |
| 1.314 | D | LYXOR INDEX FUND EURO | 4.765 | 4.765 |
| 1.312 | D | LYXOR MSCI EUROPE UCLES ETF | 142.163 | 142.163 |
| 2.432 | D | M INTERNATIONAL EQUITY FUND | 21.244 | 21.244 |
| 1.047 | D | M M WARBURG AND CO AG AND CO | 19.880 | 19.880 |
| KOMMANDITGESELLSCHAFT A | ||||
| 892 | D | M&G (LUX) BLACKROCK EUROPE EX UK EQUITY FUND | 99.058 | 99.058 |
| 889 | D | M&G (LUX) INVESTMENT FUNDS 2 FCP - M&G (LUX)EUROPE | 1.664.210 | 1.664.210 |
| EX UK EQUITY FUND | ||||
| 2.477 | D | M+G INVESTMENT FUNDS (12) - M+GEUR OPEAN EX-UK FUND M4 FAMILY INVESTMENTS LLC |
8.181 | 8.181 |
| 2.310 1.173 |
D D |
MACK EAFE EQUITY POOL | 1.672 | 1.672 |
| 1.170 | D | MACKENZIE GLOBAL SUSTAINABLE DIVIDEND INDEX ETF | 86.632 | 86.632 |
| 1.171 | D | MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 3.848 92.822 |
3.848 92.822 |
| 674 | D | MACQUARIE INTERNATIONAL EQUITIES FUND | 64.427 | 64.427 |
| 1.012 | D | MACQUARIE MANAGEMENT HOLDINGS INC | 83 | 83 |
| 697 | D | MACQUARIE MULTI-FACTOR FUND | 47.109 | 47.109 |
| 86 | D | MAINFIRST - TOP EUROPEAN IDEAS FUND | 57.300 | 57.300 |
| 1.782 | D | MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES | 40.556 | 40.556 |
| SECRETARIES (CAYMAN) LIMITED | ||||
| 2.070 | D | MANAGED PENSION FUNDS LIMITED | 301.508 | 301.508 |
| 2.478 | D | MANAGED PENSION FUNDS LIMITED | 2.476 | 2.476 |
| 1.752 | D | MANULIFE GLOBAL FUND (SICA | 33.265 | 33.265 |
Legenda:

14/05/2025
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.223 | D | MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL | 112.586 | 112.586 |
| EQUITY INDEX POOLED FUND | ||||
| 1.010 | D | MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL | 90.789 | 90.789 |
| INDEX ENR | ||||
| 980 | D | MANULIFE SMART INTERNATIONAL DIVIDEND ETF | 178.308 | 178.308 |
| 1.182 | D | MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 8.046 | 8.046 |
| 284 | D | MAPFRE VIDA SA DE SEGUROS Y REASEGUROS SOBRE LA | 1.091.445 | 1.091.445 |
| VIDA HUMANA | ||||
| 1.301 | D | MARCHES SIMON | 150 | 150 |
| 484 | D | MARDAF | 1.426 | 1.426 |
| 2.327 | D | MARIGOLD TACTICAL STRATEGIES LTD | 6.377 | 6.377 |
| 1.783 | D | MARSHALL WACE INVESTMENT STRATEGIES-TOPS WORLD | 1 | 1 |
| EX-US FUND | ||||
| 1.694 | D | MARSHALL WACE MASTER FUNDS SPC - SP ALPHA PLUS | 940 | 940 |
| FUND C/O MARSHALL WACE LLP | ||||
| 2.316 | D | MARYLAND STATE RETIREMENT PENSION SYSTEM | 745.211 | 745.211 |
| 63 | D | MASCIA RAIMONDO | 50 | 50 |
| 1.794 | D | MASSACHUSETTS FINANCIAL SERVICES COMPANY | 72.754 | 72.754 |
| 2.446 | D | MASSMUTUAL OVERSEAS FUND | 173.798 | 173.798 |
| 308 | D | MASTER TRUST BANK OF JAPAN LTD. RE: JPM KOKUSAI REI | 2.296 | 2.296 |
| MOTHER FUND (LDN) | ||||
| 274 | D | MASTER TRUST BANK OF JAPAN LTD. RE: TMA GLOBAL | 25.400 | 25.400 |
| EQUITY MOTHER FUND | ||||
| 1.023 | D | MASTER TRUST FOR SIEMENS ENERGY INC SAVINGS PLAN | 93.215 | 93.215 |
| 820 | D | MASTER TRUST FOR SIEMENS SAVINGS PLANS | 223.951 | 223.951 |
| 173 | D | MASTERFONDS BANTHUS | 36.347 | 36.347 |
| 28 | D | MASTERINVEST KAPITALANLAGE GMBH | 7.638 | 7.638 |
| 2.424 | D | MATB MSCI KOKUSAI INDEX MOTHER FUND | 35.786 | 35.786 |
| 1.623 | D | MATTHEW A STADNIK 2016 TR UAD FEB 8 1991 | 4.269 | 4.269 |
| 1.909 | D | MAZAL | 11.000 | 11.000 |
| 16 | D | MB FUND - MAX GLOBAL | 30.000 | 30.000 |
| 1.559 | D | MBB PUBLIC MARKETS I LLC | 142.870 | 142.870 |
| 662 | D | MBB SMART FUND C LLC | 100.650 | 100.650 |
| 636 | D | MBB SMART FUND PLLC | 7.493 | 7.493 |
| 2.493 | D | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 7.591 | 7.591 |
| 2.338 | D | MD GROWTH INVESTMENTS LIMITED | 29.980 | 29.980 |
| 2.334 | D | MD INTERNATIONAL GROWTH FUND | 5.796 | 5.796 |
| 2.335 | D | MD INTERNATIONAL VALUE FUND | 10.378 | 10.378 |
| 2.337 | D | MDPIM INTERNATIONAL EQUITY INDEX POOL | 109.531 | 109.531 |
| 2.333 | D | MDPIM INTERNATIONAL EQUITY POOL | 161.780 | 161.780 |
| 191 | D | MEAG BENEDICT | 911 | 911 |
| 223 | D | MEAG EUROERTRAG | 68.000 | 68.000 |
| 179 | D | MEAG EUROINVEST | 396.423 | 396.423 |
| 2.157 | D | MEAG MULTI LIFE | 51.240 | 51.240 |
| 2.155 D | MEAG MUNICH ERGO KAPITALANLAGEGES MBH FOR MEAG | 5.670 | 5.670 | |
| EUROSTAR | ||||
| 922 | D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 155.463 | |
| 2.154 | D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 42.396 | 155.463 42.396 |
| FOR MEAG ERGO PENSION I |
Legenda:

14/05/2025
ENI S.p.A.
| Dunne | THUNLC | ||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| 2.233 | D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 32.084 | 32.084 | |
| FOR MEAG VISION | |||||
| 198 | D | MEAG VERMOGENSANLAGE KOMFORT | 5.216 | 5.216 | |
| 236 | D | MEAG VERMOGENSANLAGE RETURN | 6.918 | 6.918 | |
| 2.035 | D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO | 3.863.000 | 3.863.000 | |
| ITALIA | |||||
| 2.036 | D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO | 880.000 | 880.000 | |
| TALIA | |||||
| 2.328 | D | MERCER GLOBAL EQUITY FUND | 17.831 | 17.831 | |
| 1.579 | D | MERCER INDEXED INTERNATIONAL SHARES FUND | 144.929 | 144.929 | |
| 2.332 | D | MERCER INTERNATIONAL EQUITY FUND | 32.595 | 32.595 | |
| 2.447 | D | MERCER NONUS CORE EQUILY FUND | 256.377 | 256.377 | |
| 1.581 | D | MERCER OSS TRUST | 9.001 | 9.001 | |
| 1.580 | D | MERCER PASSIVE INTERNATIONAL SHARES FUND | 92.714 | 92.714 | |
| 1.584 | D | MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES | 8.782 | 8.782 | |
| FUND | |||||
| 1.808 | D | MERCER PRIVATE WEALTH INTERNATIONAL FOCUSED | 5.345 | 5.345 | |
| EQUITY POOL | |||||
| 2.320 | D | MERCER QIF COMMON CONTRACTUAL FUND | 673.712 | 673.712 | |
| 2.330 | D | MERCER QIF COMMON CONTRACTUAL FUND | 509.670 | 509.670 | |
| 2.329 | D | MERCER UCITS COMMON CONTRACTUALFUND | 7.295 | 7.295 | |
| 410 | D | MERCER UNHEDGED OVERSEAS SHARES TRUST | 48.860 | 48.860 | |
| 346 | D | MERCER WHOLESALE FUNDS | 7.374 | 7.374 | |
| 1.005 | D | MERCK AND CO INC MASTER RETIREMENT TRUST | 450.702 | 450.702 | |
| 2.434 | D | MERCY HEALTH RETIREMENT TRUST | 142 | 142 | |
| 1.506 | D | METIS EQUITY TRUST | 112.923 | 112.923 | |
| 985 | D | METROPOLITAN EMPLOYEE BENEFIT SYSTEM | 235.864 | 235.864 | |
| 1.269 | D | METROPOLITAN LIFE INSURANCE COMPANY | 49.828 | 49.828 | |
| 1.271 | D | METROPOLITAN WATER RECLAMATION DISTRICT | 11.817 | 11.817 | |
| RETREMENT FUND | |||||
| 1.702 | D | MF/B PI ESC INSIGHTS WORLD EQUITY FUND | 16.449 | 16.449 | |
| 2.251 | D | MFS ACTIVE INTERNATIONAL ETF | 149.072 | 149.072 | |
| 2.079 | D | MFS BLENDED RESEARCH GLOBAL EQUITY TRUST | 19.379 | 19.379 | |
| 2.176 | D | MFS BLENDED RESEARCH INTERNATIONAL EQUITY FUND | 714.005 | 714.005 | |
| 2.174 | D | MFS DEVELOPMENT FUNDS, LLC | 3.066 | 3.066 | |
| 813 | D | MFS DIVERSIEIED INCOME FUND | 257.273 | 257.273 | |
| 2.498 | D | MFS EQUITY INCOME FUND | 326.447 | 326.447 | |
| 818 | D | MFS GLOBAL ALTERNATIVE STRATEGY FUND | 4.036 | 4.036 | |
| 2.400 | D | MFS GLOBAL EQUITY VALUE FUND | 503.076 | 503.076 | |
| 819 | D | MFS GLOBAL TOTAL RETURN FUND | 488.979 | 488.979 | |
| 2.177 | D | MFS HERITAGE TRUST COMPANY COLLECTIVE INVESTMENT | 5.725.216 | 5.725.216 | |
| TRUSST MFS II MFS GLOBAL TACTICAL ALLOCATION PORTFOLIO |
|||||
| 2.495 | D | 76.880 | 76.880 | ||
| 802 | D | MFS INTERNATIONAL EQUITY FUND | 18.648.420 | 18.648.420 | |
| 2.402 | D | MFS INTERNATIONAL EQUITY FUND II | 1.150.793 | 1.150.793 | |
| 815 | D | MFS INTERNATIONAL LARGE CAP VALUE FUND | 7.338.985 | 7.338.985 | |
| 804 | D | MFS INTERNATIONAL RESEARCH EQUITY LLC | 7.195 | 7.195 | |
| 2.136 | D | MFS INVESTMENT FUNDS | 817.607 | 817.607 | |
| 2.175 | D | MFS LOW VOLATILITY GLOBAL EQUITY FUND | 215.340 | 215.340 | |
Legenda:

14/05/2025
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.137 | D | MFS MERIDIAN FUNDS | 1.253.861 | 1.253.861 |
| 2.496 | D | MFS RESEARCH INTERNATIONAL FUND | 8.748.321 | 8.748.321 |
| 2.497 | D | MFS VARIABLE INSURANCE TRUST II- MFS RESEARCH | 265.878 | 265.878 |
| INTERNATIONAL PORTFOLIO | ||||
| 2.319 | D | MGI FUNDS PLC | 572.509 | 572.509 |
| 2.323 | D | MGI FUNDS PLC | 286.329 | 286.329 |
| 156 | D | MI EDRAM DIVERSIFIE | 50.363 | 50.363 |
| 831 | D | MH LAZ ACT EUR LARGE CAP | 426.450 | 426.450 |
| 1.880 | D | MICHELET TUNNEL | 23.477 | 23.477 |
| 1.437 | D | MICHELIN NORTH AMERICA INC. MASTER RETIREMENT | 14.340 | 14.340 |
| TRUST | ||||
| 1.619 | D | MICHIGAN CATHOLIC CONFERENCE | 7.660 | 7.660 |
| 1.622 | D | MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 9.433 | 9.433 |
| 1.240 | D | MICROSOFT CORPORATION | 3.743 | 3.743 |
| 2.405 | D | MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 187.700 | 187.700 |
| 694 | D | MI-FONDS 384 | 34.012 | 34.012 |
| 698 | D | MI-FONDS F47 | 46.456 | 46.456 |
| 1.375 | D | MIGROS BANK (LUX) FONDS 30 | 2.930 | 2.930 |
| 1.374 | D | MIGROS BANK (LUX) FONDS 40 (EUR) | 5.149 | 5.149 |
| 1.373 | D | MIGROS BANK (LUX) FONDS 50 | 5.255 | 5.255 |
| 1.372 | D | MIGROS BANK (LUX) FONDS INTERSTOCK | 5.855 | 5.855 |
| 472 | D | MILLEIS BANQUE 30-70 | 1.486 | 1.486 |
| 1.621 | D | MILTON HERSHEY SCHOOL TRUST | 304.047 | 304.047 |
| 1.569 | D | MINEWORKERS. PENSION SCHEME | 64.102 | 64.102 |
| - | D | MINISTERO DELL'ECONOMIA E DELLE FINANZE | 65.586.402 | 65.586.402 |
| 602 | D | MINISTRY OF ECONOMY AND FINANCE | 74.670 | 74.670 |
| 43 | D | MINOZZI ROMANO | 25.620.153 | 25.620.153 |
| di cui 515.000 azioni in garanzia a CREDITO ITALIANO; | ||||
| di cui 515.000 azioni in garanzia a CREDITO ITALIANO; | ||||
| di cui 1.030.000 azioni in garanzia a CREDITO ITALIANO; | ||||
| 171 | D | MIRACULIX | ||
| 562 | D | MISSOURI EDUCATION PENSION TRUST | 6.231 | 6.231 |
| 263 | D | MJP INTERNATIONAL FUND LLC | 1.071.782 | 1.071.782 |
| 1.718 | D | MN DEVEL OPED WORLD EQUILY INDEX FUND II | 471 | 471 |
| 2.377 | D | MML INTERNATIONAL EQUITY FUND | 65.017 | 65.017 |
| 1.903 | D | MONCEAU ACTIONS EEE | 108.092 | 108.092 |
| 329 | D | MONDRIAN INTERNATIONAL EQUITY COLLECTIVE | 106.078 | 106.078 |
| INVESTMENT TRUST | 84.198 | 84.198 | ||
| 1.563 | D | MONDRIAN INTERNATIONAL EQUITY FUND L.P. | ||
| 403 | D | MONDRIAN INTERNATIONAL VALUE EQUITY FUND | 1.341.182 | 1.341.182 |
| 967 | D | MONETARY AUTHORITY OF MACAO | 480.119 | 480.119 |
| 2.325 D | MORGAN STANLEY INSTITUTIONAL FUND INC REAL ASSETS | 1 | 1 | |
| PORTFOLIO | 388 | 388 | ||
| 2.445 | D | MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL | ||
| STRATEGIST PORTEOLIO | 8.701 | 8.701 | ||
| 811 | D | MORGAN STANLEY INVESTMENT FUNDS | ||
| 1.339 | D | MORGAN STANLEY PATHWAY FUNDS | 18.172 | 18.172 |
| 59.691 | 59.691 |
Legenda:
D: Delegante
8896194
14/05/2025
ENI S.p.A.
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.439 | D | MORGAN STANLEY VARIABLE INSURANCE F UND. INC. | 469 | 469 |
| GLOBAL STRATEGI ST PORTFOLIO | ||||
| 1.639 | D | MORNINGSTAR INTERNATIONAL EQUITY FUND A SERIES OF | 95.013 | 95.013 |
| MORNINGSTA | ||||
| 941 | D | MORNINGSTAR INTERNATIONAL EQUITY FUND A SERIES OF | 11.017 | 11.017 |
| MORNINGSTAR FUNDS TRUST | ||||
| 1.642 | D | MORNINGSTAR UNCONSTRAINED ALLOCATION FUND A | 30.464 | 30.464 |
| SERIES OF MORNINGSTAR FUNDS TRUST | ||||
| 989 | D | MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY | 11.689 | 11.689 |
| ENDOWMENT TRUST | ||||
| 1.015 | D | MOTHER CABRINI HEALTH FOUNDATION INC | 69.682 | 69.682 |
| 2.324 | D | MOUNT HATTON INVESTMENTS LIMITED | 110.088 | 110.088 |
| 1.493 | D | MOZILLA CORPORATION | 6.317 | 6.317 |
| 1.553 | D | MS FUND LP | 144.430 | 144.430 |
| 1.701 | D | MS FORIZONS MULTIACTIVOS GLOBAL PRUDENTE FUND | 602 | 602 |
| 724 | D | MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 298.673 | 298.673 |
| 695 | D | MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 57.452 | 57.452 |
| 1.008 | D | MULTI ADVISOR FUNDS INTERNATIONAL EQUITY VALUE | 48.944 | 48.944 |
| FUND | ||||
| 15 | D | MULTI ASSET FONDS WEINHEIM | 1.077.000 | 1.077.000 |
| 298 | D | MULTI-MANAGER INTERNATIONAL EQUITY STRATEGIES | 107.332 | 107.332 |
| FUND | ||||
| 633 | D | MULTIMIX WHOLESALE INTERNATIONAL SHARES TRUST | 12.621 | 12.621 |
| 1.65 1 | D | MUNICIPAL EMPLOYEES ANNUITY AND BENEFIT FUND OF | 27.600 | 27.600 |
| CHICAGO | ||||
| 1.956 | D | MUTAC TIONS 21 | 201.987 | 201.987 |
| 863 | D | MUTUAL GLOBAL FUND - MFS GLOBAL VALUE EQUITY FUND | 141.514 | 141.514 |
| 255 | D | MY WAY INVEST | 14.236 | 14.236 |
| 1.816 | D | NAGELMACKERS INSTITUTIONAL EUROPEAN EQUITY | 25.500 | 25.500 |
| 1.507 | D | NATHALIE DE GUNZBERG | 688 | 688 |
| 1.044 | D | NATIONAL BANK FINANCIAL INC | 33.535 | 33.535 |
| 1.755 | D | NATIONAL COUNCIL FOR SOCIAL SEC FUND | 85.577 | 85.577 |
| 1.564 | D | NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 435.125 | 435.125 |
| 1.565 | D | NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 221.242 | 221.242 |
| 1.227 | D | NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 64.476 | 64.476 |
| 2.472 | D | NATIONAL EMPLOYMENT SAVINGS TRUST | 6.157 | 6.157 |
| 2.473 | D | NATIONAL EMPLOYMENT SAVINGS TRUST | 70.722 | 70.722 |
| 684 | D | NATIONAL FARMERS UNION MUTUAL INSURANCE SOCIETY | 6.690 | 6.690 |
| LIMITED RETIREMENT BENEFITS SCHEME | ||||
| 693 | D | NATIONAL PENSION INSURANCE FUND | 5.869 | 5.869 |
| 743 | D | NATIONWIDE INTERNATIONAL INDEX FUND | 94.053 | 94.053 |
| 816 D | NATIONWIDE SAVINGS PLAN | 334.315 | 334.315 | |
| 283 D | NATIXIS AM FUNDS | 95.011 | 95.011 | |
| 2.034 D | NATIXIS SOLUTIONS PROTECT 75 | 95.444 | 95.444 | |
| 2.502 D | NATWEST ST JAMES'S PLACE BALANCED MANAGED UNIT | 84.288 | 84.288 | |
| TRUST | ||||
| 2.471 D | NATWEST ST JAMES'S PLACE MANAGED GROWTH UNIT | 374.449 | 374.449 | |
| TRUST | ||||
| 2.464 | D | NATWEST ST JAMES'S PLACE STRATEGIC INCOME UNIT | 69.767 | 69.767 |
| Legenda: |
D: Delegante
8896192
| Badge | Titolare | ||||||
|---|---|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||||
| TRUST | |||||||
| 1.462 | D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS | 4.226 | 4.226 | |||
| TRUSTEE O | |||||||
| 1.612 | D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS | 9.737 | 9.737 | |||
| TRUSTEE O | |||||||
| 2.466 | D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS | 131.182 | 131.182 | |||
| TRUSTEE OF ST. JAMES'S PLACE STRATEGIC MANAGE | |||||||
| 2.465 | D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS | 861.261 | 861.261 | |||
| TRUSTEE OF ST. JAMES'S PLACE UK UNIT TRUST | |||||||
| 392 | D | NAZARETH LITERARY AND BENEVOLENT INSTITUTION | 51.700 | 51.700 | |||
| 1.791 | D | NBIMC EAFE EQUITY INDEX FUND. | 37.342 | 37.342 | |||
| 2.107 | D | NEW AIRWAYS PENSION SCHEME | 7.778 | 7.778 | |||
| 1.439 | D | NEW IRELAND ASSURANCE COMPANY PLC. | 407.435 | 407.435 | |||
| 587 | D | NEW YORK STATE COMMON RETIREMENT FUND | 169.500 | 169.500 | |||
| 1.643 | D | NEW YORK STATE NURSES ASSOCIATION PENSION PLAN. | 88.109 | 88.109 | |||
| 2.226 | D | NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 1.501.126 | 1.501.126 | |||
| 1.155 | D | NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED | 16 | 16 | |||
| DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER | |||||||
| NUCLEAR POWER PLANT | |||||||
| 973 | D | NFL PLAYER TAX QUALIFIED ANNUITY PLAN | 11.066 | 11.066 | |||
| 571 | D | NES LIMITED | 21.607 | 21.607 | |||
| 2.085 | D | NGS SUPER | 59.960 | 59.960 | |||
| 1.853 | D | NIF3 - SUSTAINABLE WORLD EQUITY MANDATE2 | 5.835 | 5.835 | |||
| 1.495 | D | NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 69.715 | 69.715 | |||
| 931 | D | NOMURA FUNDS V: GLOBAL HIGH DIVIDEND EQUITY PREMIU | 157.264 | 157.264 | |||
| 1.024 | D | NON US EQ MGRS PORT 3 WELLINGTON | 40.857 | 40.857 | |||
| 1.084 | D | NON US EQUITY MANAGERS PORTFOLIO I SERIES | 55.816 | 55.816 | |||
| 970 | D | NON US EQUITY MANAGERS PORTFOLIO 4 OFFSHORE | 42.000 | 42.000 | |||
| MASTER LP | |||||||
| 716 | D | NORDEA EUROPEAN PASSIVE FUND | 50.490 | 50.490 | |||
| 710 | D | NORDEA GLOBAL PASSIVE FUND | 96.792 | 96.792 | |||
| 063 | D | NORFOLK COUNTRY REFIREMENT SYSTEM | 76.949 | 76.949 | |||
| 1.388 | D | NORGES BANK | 28.735.597 | 28.735.597 | |||
| 1.69 I | D | NORTH ROCK SPC - NR 1 SP | 62.183 | 62.183 | |||
| 1.640 | D | NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 651.536 | 651.536 | |||
| 1.341 | D | NORTHERN LIGHTS FUND TRUST IV | 19:798 | 19.798 | |||
| 1.429 | D | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US | 205.843 | 205.843 | |||
| INVESTABLE MAR | |||||||
| 1.491 | D | NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 318.055 | 318.055 | |||
| 1.436 | D | NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE | 3.283.031 | 3.283.031 | |||
| FUNDS TRUST | |||||||
| 1.445 D | NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 848.101 | 848.101 | ||||
| 1.417 D | NORTHERN TRUST OCHS FOR FUND | 505.018 | 505.018 | ||||
| 2.307 D NORTHWESTERN MUTUAL SERIES FUND, INC. - RESEARCH | 504.057 | 504.057 | |||||
| INTERNATIONAL C | |||||||
| 1.494 D | NOVANT HEALTH INC. | 23.769 | 23.769 | ||||
| 1.201 D | NSP MINNESEOTA RETAIL PRAIRIE II | 15.989 | 15.989 | ||||
| 1.200 D | NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 17.750 | 17.750 | ||||
| 1.199 | D | NSP MONTICELLO MINNESOTA RETAIL | 25.018 | ||||
| 25.018 |
Legenda:
D: Delegante
42 Pagina

14/05/2025
ENI S.p.A.
| Dauke | THOUSE C | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.602 | D | NTCC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 445.794 | 445.794 |
| 1.852 | D | NUCLEAR INVESTMENT FUND I | 49.082 | 49.082 |
| 1.574 | D | NUNA VUT TRUST | 3.353 | 3.353 |
| 268 | D | NUVEEN INTERNATIONAL EQUITY INDEX FUND | 205.000 | 205.000 |
| 755 | D | NVIT INTERNATIONAL INDEX FUND | 97.982 | 97.982 |
| 766 | D | OB 2 | 22.476 | 22.476 |
| 1.954 | D | OCIRP ACTIONS L | 406.150 | 406.150 |
| 1.305 | D | OFI INVEST DYNAMIQUE MONDE M | 24.339 | 24.339 |
| 1.307 | D | OFI INVEST EQUILIBRE MONDE M | 23.252 | 23.252 |
| 1.304 | D | OF INVEST MARCHES EMERGENTS | 1.951 | 1.951 |
| 952 | D | OLD WESTBURY LARGE CAP STRATEGIES FUND | 86.100 | 86.100 |
| 1.750 | D | OLD WESTBURY SMALL AND MID CAP STRATEGIES FUND. | 593.276 | 593.276 |
| 781 | D | OLNET | 1.500 | 1.500 |
| 1.120 | D | OLOMANA REAL ASSETS FUND LP | 307 | 307 |
| 1.864 | D | ONDERLINGE S GRAVEN | 153.439 | 153.439 |
| 1.714 | D | ONEMARKETS ITALY ICA V | 53.726 | 53.726 |
| 814 | D | ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) | 174.745 | 174.745 |
| INDEXPOOL | ||||
| 2.358 | D | OPENWORLD PUBLIC LIMITED COMPANY | 4.292 | 4.292 |
| 2.442 | D | ORANGE COUNTY EMPLOYEES RETIREMENT SYSTEM | 113.855 | 113.855 |
| 527 | D | ORANO ACTIONS ZONE EURO | 63.054 | 63.054 |
| 553 | D | ORANO ISR SOLIDAIRE | 11.939 | 11.939 |
| 2.166 | D | ORECON PUBLIC ENREO TEES REALKENENT SYSTEM | 353.710 | 353.710 |
| 1.578 | D | OSSH I TRUST | 167.713 | 167.713 |
| 997 | D | OSSIAM IRL ICAV | 84.345 | 84.345 |
| 1.408 | D | OVERSTONE FUND PLC | 139.341 | 139.341 |
| 1.411 | D | OVERSTONE UCITS FUND PLC | 22.044 | 22.044 |
| 1.520 | D | OYSTER CREEK ENVIRONMENTAL PROTECTION LLC | 7.694 | 7.694 |
| QUALIFED NUCLEAR DECOMMISS IONING TRUST | ||||
| 2.457 | D | PACE INTERNATIONAL EQUITY INVESTMENTS | 122.646 | 122.646 |
| 389 | D | PACER DEVELOPED MARKETS INTERNATIONAL CASH COWS | 1.405.340 | 1.405.340 |
| 100 Bille | ||||
| 778 | D | PACER ETES ICA V | 5.596 | 5.596 |
| 467 | D | PACGH FINANCE | 6.903 | 6.903 |
| 999 | D | PACIFIC GAS AND ELECTRIC COMPANY CUSTOMER CREDIT | 2.028 | 2.028 |
| TRUST | ||||
| 1.122 | D | PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR | 28.181 | 28.181 |
| FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER | ||||
| TRUST | ||||
| 2.441 | D | PACIFIC SELECT FUND INTERNATIONAL LARGE CAP | 772.653 | 772.653 |
| PORTFOLIO | ||||
| 2.440 | D | PACIFIC SELECT FUND INTERNATIONAL VALUE PORTFOLIO | 1.075.804 | 1.075.804 |
| 2.299 | D | PACIFIC SELECT FUND -PD INTERNATIONAL LARGE-CAP | 101.096 | 101.096 |
| INDEX PORTFOLIO | ||||
| 706 | D | PAEDAGOGERNES PENSION - PENSIONSKASSEN FOR | 1.654.139 | 1.654.139 |
| PAEDAGOGER | ||||
| 800 | D | PALAFITTE INVESTMENTS LLC | 3.000 | 3.000 |
| 1.912 | D | PAMACO | 18.400 | 18.400 |
| 2.398 | D | PARAMETRIC INTERNATIONAL EQUITYFUND | 106.359 | 106.359 |
Legenda:

14/05/2025
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.03 1 | D | PARMA PEA | 1.117.443 | 1.117.443 |
| 2.033 | D | PARMA PEA NOVEMBRE 2024 | 250.992 | 250.992 |
| 1.872 | D | PARNASSE GARANTIES | 29.377 | 29.377 |
| 1.376 | D | PASSIVE GLOBAL SHARE TRUST | 39.511 | 39.511 |
| 494 | D | PATRIMOINE PLACEMENT 3 | 4.907 | 4.907 |
| 509 | D | PATRIMOINE PLACEMENT 5 | 1.128 | 1.128 |
| 1.457 | D | PCA TAX SHELTERED ANNUITY PLAN | 13.094 | 13.094 |
| 1.859 | D | PCFS SICAV- PURE WEALTH | 28.313 | 28.313 |
| 1.347 | D | PEAR TREE POLARIS FOREIGN VALU | 2.633.500 | 2.633.500 |
| 1.544 | D | PECO ENERGY COMPANY RETIREE LIFE INSURANCE TRUST | 539 | 239 |
| 204 | D | PEGASUS-UI-FONDS | 62.633 | 62.633 |
| 1.042 | D | PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 9.623 | 9.623 |
| 2.186 | D | PENSION BENEFIT GUARANTY CORPORATION | 2.041.857 | 2.041.857 |
| 1.128 | D | PENSION RESERVES INVESTMENT TRUST FUND | 1.056.048 | 1.056.048 |
| 1.103 | D | PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 418.700 | |
| 29 | D | PENSIONSKASSE DER CREDIT SUISSE GROUP SCHWEIZ | 23.960 | 418.700 |
| 2.365 | D | PENSIONSKASSE JOHNSON AND JOHNSON SCHWEIZ | 216.980 | 23.960 |
| 914 | D | PENSIONSKASSESSUVA | 216.980 | |
| 649 | D | PEOPLE'S BANK OF CHINA | 29.541 | 29.541 |
| 2.460 | D | PEOPLE'S BANK OF CHINA | 1.200.295 | 1.200.295 |
| 1.460 | D | PEPCO HOLDINGS INC. VEBA TRUST | 60.863 | 60.863 |
| 1.573 | D | PEPSICO CANADA ULC | 3.942 | 3.942 |
| 1.432 | D | 117.101 | 117.101 | |
| 2.080 | D | PEPSICO INC. MASTER TRUST GLOBAL EQUITY FUND | 255.921 | 255.921 |
| PERPETUAL ECONOMIC DIVERSIFICATION GLOBAL EQUITY FUND |
36.160 | 36.160 | ||
| 25 | D | PERPETUUM VITA BASIS | ||
| 24 | D | PERPETUUM VITA GLOBAL | 57.500 | 57.500 |
| 23 | D | 13.300 | 13.300 | |
| PERPETUUM VITA SPEZIAL | 6.400 | 6.400 | ||
| 866 | D | PERTUBUHAN KESELAMATAN SOSIAL | 39.728 | 39.728 |
| 2.297 | D | PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF |
38.344 | 38.344 |
| 723 | D | PF2 | 43.734 | 43.734 |
| 1.267 | D | PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX | 4.630 | 4.630 |
| PUND | ||||
| 896 | D | PHOENIX UNIT TRUST MANAGERS LIMITED | 1.271.564 | 1.271.564 |
| 90 | D | PICTET - EUROPE INDEX | 245.110 | 245.110 |
| 73 | D | PICTET - MULTI ASSET GLOBAL OPPORTUNITIES | 13.485 | 13.485 |
| 80 | D | PICTET - QUEST AI-DRIVEN GLOBAL EQUITIES | 50.457 | 50.457 |
| 74 | D | PICTET CH - GLOBAL EQUITIES | 22.505 | 22.505 |
| ୧୫ | D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES | 90.580 | 90.580 |
| TRACKER | ||||
| 77 | D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES | 69.603 | 69.603 |
| TRACKER EX SL | ||||
| 70 | D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES | 102.352 | 102.352 |
| TRACKER | ||||
| વે 39 | D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES | 13.413 | 13.413 |
| TRACKER US TE | ||||
| 78 | D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE EX SL |
21.849 | 21.849 |
l_egenda:
8896195
14/05/2025
ENI S.p.A.
| Dauge | I HOMELC | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 85 | D | PICTE FEUROLAND INDEX | 75.432 | 75.432 |
| 1.237 | D | PIER 21 EAFE EQUITY POOL SETANTA | 22.581 | 22.581 |
| 1.518 | D | PINK CALI LLC | 2.171 | 2.171 |
| 491 | D | PIPELINE SUD-EUROPEEN | 2.240 | 2.240 |
| 1.085 | D | PITTSBURGH THEOLOGICAL SEMINARY OF THE | 5.190 | 5.190 |
| PRESBYTERIAN CHURCH | ||||
| 1.454 | D | PIVOTAL PHILANTHROPIES FOUNDATION | 6.947 | 6.947 |
| 76 | D | PKG FONDS - AKTIEN GLOBAL | 94.962 | 94.962 |
| 1.238 | D | PMPT INKA FONDS | 108.864 | 108.864 |
| 35 | D | PNI SPEZIALFONDS AIF SEGM. LAM | 6.900 | 6.900 |
| 1.002 | D | POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 17.405 | 17.405 |
| 1.780 | D | POINT72 ASSOCIATES LLC C/O FINSCO LIMITED | 14 | 14 |
| 1.679 | D | POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT | 1 | 1 |
| L.P. | ||||
| 1.519 | D | POLARIS CAPITAL INTERNATIONAL VALUE LIMITED | 170.100 | 170.100 |
| PARTNERSHIP | ||||
| 1.028 | D | POLARIS CAPITAL MANAGEMENT COLLECTIVE INVESTMENT | 241.900 | 241.900 |
| TRUST | ||||
| 1.239 | D | POLARIS CAPITAL MANAGEMENT COLLECTIVE INVESTMENT | 436.600 | 436.600 |
| TRUST PO ATIONAL VALUE COLLECTIVE FUND | ||||
| 685 | D | POLARIS GLOBAL EQUITY FUND | 123.500 | 123.500 |
| 2.303 | D | POLICE AND FIREMEN'S RETIREMENTSYSTEM OF NEW | 358.610 | 358.610 |
| JER SEY | ||||
| 2.017 | D | POLLUX | 1.825 | 1.825 |
| 1.246 | D | POOL REINSURANCE CO LTD | 91.441 | 91.441 |
| 950 | D | PORCELAINGRES GMBH | 4.685.021 | 4.685.021 |
| 487 | D | PPMO | 1.568 | 1.568 |
| 1.916 | D | PREDICA ISR MONDE - ACTIONS | 55.513 | 55.513 |
| 1.895 | D | PREDIQUANT PREMIUM TITRES VIFS ACTIONS | 650.613 | 650.613 |
| 1.600 | D | PRESBYTERIAN CHURCH (USA) FOUNDATION | 30.187 | 30.187 |
| 1.415 | D | PRESCIENT GLOBAL FUNDS ICA V. | 9.584 | 9.584 |
| 809 | D | PREVIDENZA COOPERATIVA | 501 | 501 |
| 57 | D | PREVOYANCE NEFUND PREVOYANCE NE GLOBAL ASSETS | 2.665 | 2.665 |
| UBS FUND MANAGEMENT SWITZERLAND AG | ||||
| 546 | D | PRIEURE MARQUET | 434 | 434 |
| 1.707 | D | PRIME SUPER PTY LTD | 12.847 | 12.847 |
| 2.437 | D | PRINCIPAL DIVERSIFIED REAL ASSET CITY | 28.003 | 28.003 |
| 1.175 | D | PRINCIPAL DIVERSIFIED SELECT REAL ASSET FUND | 3.524 | 3.524 |
| 1.045 | D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 40.982 | 40.982 |
| 1.132 | D | PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 129.682 | 129.682 |
| 1.136 | D | PRINCIPAL FUNDS INC OVERSEAS FUND | 25.020 | 25.020 |
| 2.304 D | PROCTER AND GAMBLE BELGIUM PENSION FUND | 5.488 | 5.488 | |
| 1.529 D | PRO-GEN INVESTMENTS LLC | 8.124 | 8.124 | |
| 1.530 D | PRO-GEN INVESTMENTS LLC | 4.673 | 4.673 | |
| 1.703 D PRUDENTIAL ASSURANCE COMPANY SINGAPORE (PTE) LTD | 48.548 | 48.548 | ||
| 1.007 D D PSEG NUCLEAR LLC QUALIFIED MASTER DECOMMISSIONING | 156.000 | 156.000 | ||
| TRUST | ||||
| 278 | D | PSVAG MASTERFONDS | 103.434 | 103.434 |
| 688 | D | PIV2 | 226.116 | 226.116 |
Legenda:
D: Delegante

14/05/2025
| Dan Pe | . HUIRIE | ||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| 689 | D | PUB INSTITUTIONAL FUND UMBRELLA- PUB EQUITIES EUROPE | 139.998 | 139.998 | |
| (EX SWITZERLAND) I | |||||
| 714 | D | PUB INSTITUTIONAL FUND UMBRELLA PUB EQUITIES EUROPE | 144.191 | 144.191 | |
| (EX SWITZERLAND) 2 | |||||
| 1.197 | D | PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 281.252 | 281.252 | |
| 1.442 | D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF | 33.267 | ||
| COLORADO | 33.267 | ||||
| 1.072 | D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW | 111.360 | ||
| MEXICO | 111.360 | ||||
| 1.257 | D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 218.697 | ||
| 1.145 | D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 317.608 | 218.697 | |
| 1.243 | D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 317.608 | ||
| 1.244 | D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 522.297 | 522.297 | |
| 1.256 | D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 549.135 | 549.135 | |
| 2.259 | D | PUBLIC EMPLOYEES' LONG-TERM CARE FUND | 866.510 | 866.510 | |
| 1.422 | D | PUBLIC SECTOR PENSION INVESTMENT BOARD. | 36.556 | 36.556 | |
| 1.178 | D | PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED | 825.504 | 825.504 | |
| MASTER DECINED TRUST | 111.100 | 11.100 | |||
| 1.856 | D | PURE CONVICTION EUROPEAN EQUITIES | |||
| 1.858 | D | PURE CONVICTION INTERNATIONAL EQUITIES | 12.761 | 12.761 | |
| 1.857 | D | PURE DYNAMIC OPPORTUNITY | 14.810 | 14.810 | |
| 1.135 | D | PURISIMA EAFE TOTAL RETURN FUND | 14.156 | 14.156 | |
| 887 | D | PUTM AUTHORISED CONTRACTUAL SCHEME - PUTM ACS | 1.261 | 1.261 | |
| EUROPEAN EX UK FUND | 1.586.919 | 1.586.919 | |||
| 898 | D | PUTM AUTHORISED CONTRACTUAL SCHEME - PUTM ACS | |||
| 1.095.783 | 1.095.783 | ||||
| 762 | D | SUSTAINABLE INDEX EUROPEAN EQUITY FUND | |||
| 772 | D | PUTNAM DYNAMIC ASSET ALLOCATION EQUITY FUND PUTNAM DYNAMIC ASSET ALLOCATION GROWTH FUND |
334 | 334 | |
| 2.189 | D | PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 30.482 | 30.482 | |
| 2.182 | D | PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE | 17.203 | 17.203 | |
| FUND | 4.251 | 4.251 | |||
| 2.188 | D | PUTNAM MULTI-ASSET INCOME FUND | |||
| 2.184 | D | PUTNAM RETIREMENT ADVANTAGE GAABALANCE | 1.419 | 1.419 | |
| 10.877 | 10.877 | ||||
| 2.185 | D | PORTFOLIO | |||
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE | 3.372 | 3.372 | |||
| D | PORTFOLIO | ||||
| 2.181 2.183 |
PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 6.391 | 6.391 | ||
| D | PUTNAM RETIREMENT ADVANTAGE GAAGROWTH | 24.300 | 24.300 | ||
| PORTFOLIO | |||||
| 2.180 | D | PUTNAM RETIREMENT ADVANTAGE GAAINCOME | 5.723 | 5.723 | |
| STRATEGIES PORTFOLIO | |||||
| 769 | D | PUTNAM VT GLOBAL ASSET ALLOCATION FUND | 1.198 | 1.198 | |
| 1.576 | D | QIC INTERNATIONAL EQUITIES FUND. | 10.493 | 10.493 | |
| 1.577 | D | OIC LISTED EQUITIES FUND | 73.510 | 73.510 | |
| 1.255 | D | QUALITY EDUCATION FUND | 4.230 | 4.230 | |
| 1.953 | D | QUERCUS | 239.599 | 239.599 | |
| 1.052 | D | QUILTER CHEVIOT EUROPE LTD | 165 | 165 | |
| 975 | D | QUILTER CHEVIOT LTD | 505 | 505 | |
| 1.767 | D | QUILTER INVESTORS EUROPE (EX UK) EQUITY INCOME FUND | 923.557 | 923.557 | |
| Legenda: |
8896194
14/05/2025
ENI S.p.A.
| 12 12 11 11 11 11 | Ellini e | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 932 | D | QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 204.753 | 204.753 |
| 1.064 | D | R K MELLON INTERNATIONAL FUND | 29.331 | 29.331 |
| 1.456 | D | R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND. | 26.933 | 26.933 |
| 738 | D | RAGS-FUNDMASTER | 26.225 | 26.225 |
| ed | D | RAIFFEISEN INDEX FONDS -EURO STOXX 50 | 41.661 | 41.661 |
| 2.279 | D | RBC GLOBAL ASSET MANAGEMENT (U.S.) INC. GROUP TRUST | 408.400 | 408.400 |
| 1.795 | D | RBC INDIGO INTERNATIONAL EQUITYINDEX FUND | 16.631 | 16.631 |
| 1.785 | D | RBC O'SHAUGHNESSY GLOBAL EQUITY FUND | 2.227 | 2.227 |
| 1.786 | D | RBC O SHAUGHNESSY INTERNATIONAL EQUITY FUND | 17.158 | 17.158 |
| 1.796 | D | RBC QUANT EAFE DIVIDEND LEADERS ETF | 25.000 | 25.000 |
| 1.784 | D | RBC QUANT EUROPEAN DIVIDEND LEADERS ETF | 25.349 | 25.349 |
| 1.820 | D | RCO LUX MONTIOLY INVEST POOL AMUNDI | 3.089 | 3.089 |
| 1.823 | D | RCO LUX MONTIOLY INVEST POOL RCG | 1.673 | 1.673 |
| 1.922 | D | R-CO PHARMA ACTIONS | 69.383 | 69.383 |
| 1.531 | D | RDM LIQUID LLC | 48.425 | 48.425 |
| 875 | D | REASSURE LIMITED | 910.988 | 910.988 |
| 1.340 | D | REDWHEEL EAFE INTRINSIC VALUE | 1.778 | 1.778 |
| 1.350 | D | REDWHEE FUNDS | 341.859 | 341.859 |
| 2.015 | D | REGARD ACTIONS EURO | 287.400 | 287.400 |
| 2.014 | D | REGARD SELECTIF ACTIONS EUROP | 170.000 | 170.000 |
| 2.403 | D | REGIME DE RENTES DU MOUVEMENT DESJARDINS | 30.939 | 30.939 |
| 2.448 | D | REGIME DE RETRAITE DE L'UNIVERSITE DE MONTREAL | 280.993 | 280.993 |
| 1.660 | D | REGIME DE RETRATTE DU PERSONNEL CPE | 233.792 | 233.792 |
| 67 | D | RESCAD FUNDS - INCOME - CHF | 26.000 | 26.000 |
| 2.081 | D | RETAIL EMPLOYEES SUPERANNUATION TRUST | 376.004 | 376.004 |
| 2.293 | D | RETIR.AND SEC. PROGRAM AND SAVINGS PLAN NTCA AND | 12.550 | 12.550 |
| ITSMEMBERS MT | ||||
| 1.245 | D | RETIREMENT BENEFITS INVESTMENT FUND | 16.635 | 16.635 |
| 1.595 | D | RETIREMENT PLAN FOR CHICAGO TRANSIT AUTHORITY | 18.862 | 18.862 |
| EMPLOYEES. | ||||
| 2.342 | D | RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 99.480 | 99.480 |
| 1.063 | D | RICHARD KING MELLON FDN | 51.268 | 51.268 |
| 1.983 | D | RICHELIEU PRAGMA EUROPE | 50.000 | 50.000 |
| 1.855 | D | RIVERFIELD EQUITIES | 15.000 | 15.000 |
| 1.715 | D | RLA GLOBAL SHARE FUND | 27.661 | 27.661 |
| 339 | D | RLA INTERNATIONAL EQUITIES FUND | 66.106 | 66.106 |
| 736 | D | ROBIN I-FONDS | 168.924 | 168.924 |
| 994 | D | ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING | 12.501 | 12.501 |
| FUND | ||||
| 773 | D | ROCK CREEK INVESTMENT HOLDINGS LLC | 184 | 184 |
| 66 | D | RODEFIN SRL | 7.000 | 7.000 |
| 1.926 D | ROPS ACTIONS EUROPEENNES 2 | 237.560 | 237.560 | |
| 1.930 D | ROPS EURO P | 352.289 | 352.289 | |
| 1.947 D | ROPS-SMART INDEX EURO | 499.518 | 499.518 | |
| 1.353 D | ROSANIA ELMAN | 2 | 2 | |
| 1.455 D | ROSEFINCH FOUNDATION | 18.510 | 18.510 | |
| 1.019 D | ROTHSCHILD MARTIN MAUREL | 740.503 | 740.503 | |
| 2.425 | D | ROYAL LONDON ASSET MANAGEMENT FUNDS PLC | 365.300 | 365.300 |
| 895 | D ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON | 271.433 | 271.433 | |
Legenda:
D: Delegante
88961 98
ENI S.p.A.
| Titolare Badge |
|||||||
|---|---|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||||
| EUROPE EX UK EQUITY TILT FUND | |||||||
| 510 | D | RP FAMILY | 375 | 375 | |||
| 1.683 | D | RPAQ 2015 FUND LP | 14.055 | 14.055 | |||
| 1.546 | D | RTPIP LP | 19.121 | 19.121 | |||
| 2.422 | D | RTX SAVINGS PLAN MASTER TRUST | 625.685 | 625.685 | |||
| 1.524 | D | RUM CAY LP | 3.703 | 3.703 | |||
| 753 | D | RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX | 2.573 | 2.573 | |||
| FUND B (REMGEOB) | |||||||
| 2.414 | D | RUSSELL INVESTMENT COMPANY GLOBAL EQUITY FUND | 331.910 | 331.910 | |||
| 2.413 | D | RUSSELL INVESTMENT COMPANY INTERNATIONAL | 174.211 | 174.211 | |||
| DEVELOPED MARKETS FUND | |||||||
| 2.389 | D | RUSSELL INVESTMENT COMPANY MULTIFACTOR | 10.121 | 10.121 | |||
| INTERNATIONAL EQUITY FUND | |||||||
| 2.315 | D | RUSSELL INVESTMENT COMPANY PLC | 16.028 | 16.028 | |||
| 2.388 | D | RUSSELL INVESTMENT COMPANY TAXMANAGED | 477.507 | 477.507 | |||
| INTERNATIONAL EQUITY FUND | |||||||
| 2.382 | D | RUSSELL INVESTMENT COMPANY TAXMANAGED REAL | 62.015 | 62.015 | |||
| ASSESSFOND | |||||||
| 2.387 | D | RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED | 57.599 | 57.599 | |||
| MARKETS FUND | |||||||
| 2.287 | D | RUSSELL INVESTMENTS CANADIAN DIVIDEND POOL | 3.292 | 3.292 | |||
| 2.282 | D | RUSSELL INVESTMENTS ESG GLOBAL EQUITY POOL | 1.732 | 1.732 | |||
| 2.280 | D | RUSSELL INVESTMENTS GLOBAL EQUITY POOL | 195.890 | 195.890 | |||
| 2.075 | D | RUSSELL INVESTMENTS GLOBAL SHARES INDEX FUND | 37.096 | 37.096 | |||
| 2.278 | D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC | 216.812 | 216.812 | |||
| GLOBAL EQUITY PLUS | |||||||
| 2.277 | D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC | 88.447 | 88.447 | |||
| INTERNATIONAL EQUIT | |||||||
| 2.120 | D | RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND | 10.345 | 10.345 | |||
| 2.073 | D | RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES | 15.378 | 15.378 | |||
| FUND | |||||||
| 2.314 | D | RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE | 6.223 | 6.223 | |||
| FUND | |||||||
| 2.283 | D | RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL | 3.481 | 3.481 | |||
| EQUITY POOL | |||||||
| 437 | D | RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES | 12.702 | 12.702 | |||
| FUND | |||||||
| 2.160 | D | RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED | 316.699 | 316.699 | |||
| EMPLOYEE BENEFIT FUNDS TRUST | |||||||
| 2.281 | D | RUSSELL OVERSEAS EQUITY POOL . | 17.208 | 17.208 | |||
| 1.488 | D | S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 8.134 | 8.134 | |||
| 2.456 | D | SA INTERNATIONAL VALUE FUND | 188.427 | 188.427 | |||
| 369 D | SABADELL EMERGENTE MIXTO FLEXIBLE FI | 1.112 | 1.112 | ||||
| 364 D | SABADELL EUROACCION, FI | 142.193 | |||||
| 388 D | SABADELL MIXTO-FIJO, F.P | 142.193 | |||||
| 299 D | SABADELL PLANIFICACION 25. FI | 4.269 1.658 |
4.269 | ||||
| 384 D | SABADELL RENTA VARIABLE MUNDIAL,F.P | 1.658 | |||||
| 210 | D | SAEV MASTERFONDS INKA | 11.807 | 11.807 | |||
| 534 | D | SAINT ARBOGAST | 94.520 | 94.520 | |||
| 2.083 | 2.083 |
Legenda:
D: Delegante
8896199
14/05/2025
ENI S.p.A.
| Dauge | I HOLATC | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.905 | D | SAKKARAH 5 | 73.140 | 73.140 |
| 1.901 | D | SAKKARAH 7 FCP | 9.013 | 9.013 |
| 2.082 | D | SALAAM INTERNATIONAL PASSIVE EQUITIES FUND | 12.833 | 12.833 |
| 1.525 | D | SALIX LILC | 95.466 | 95.466 |
| 1.645 | D | SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 128.018 | 128.018 |
| 2.431 | D | SAN DIEGO CITY EMPLOYEES' RETIREMENT SYSTEM | 222.200 | 222.200 |
| 2.467 | D | SANDOOQ AL WATAN INVESTMENTS (RESTRICTED) LTD | 1.127 | 1.127 |
| 39 | D | SANSONETTI EMANUELE | 8 | 8 |
| 2.027 | D | SANTANDER AHORRO 28 FP | 5.000 | 5.000 |
| 2.023 | D | SANTANDER RESPONSABILIDAD SOLIDARIO FI | 10.946 | 10.946 |
| 568 | D | SBC MASTER PENSION TRUST | 35.507 | 35.507 |
| 1.176 | D | SC EDISON NUCLEAR FACILITIES QUALIFIED CPUC | 33.742 | 33.742 |
| DECOMMISSIONING MASTER TR | ||||
| 64 | D | SCHAEFER-SUREN JOCHEN DIETRICH | 20.000 | 20.000 |
| 1.418 | D | SCHLUMBERGER INTERNATIONAL STAFF RETIREMENT FUND FCP-SIF |
31.153 | 31.153 |
| 1.100 | D | SCHOOL EMPLOYEES RETIREMENT SYSTEM OF OHIO | 248.812 | 248.812 |
| 2.393 | D | SCHRODER DIVERSIFIED GROWTH FUND (CANADA) | 844 | 844 |
| 840 | D | SCHRODER DIVERSIFIED GROWTH PORTFOLIO, L.P. | 19.406 | 19.406 |
| 826 | D | SCHRODER DIVERSILIED GROWTH TRUST | 21.056 | 21.056 |
| 839 | D | SCHRODER EUROPEAN RECOVERY FUND | 641.801 | 641.801 |
| 830 | D | SCHRODER GAIA | 39.725 | 39.725 |
| 846 | D | SCHRODER GLOBAL CORE FUND | 2.886 | 2.886 |
| 843 | D | SCHRODER GLOBAL DIVERSIFIED INCOME FUND | 8.869 | 8.869 |
| 842 | D | SCHRODER GLOBAL EQUITY INCOME FUND | 510.694 | 510.694 |
| 853 | D | SCHRODER GLOBAL EX UK EQUITY TRACKER COMPONENT | 26.772 | 26.772 |
| FUND | ||||
| 849 | D | SCHRODER GLOBAL RECOVERY FUND | 1.401.617 | 1.401.617 |
| 838 | D | SCHRODER GLOBAL SUSTAINABLE EQUITY FUND | 39.707 | 39.707 |
| 852 | D | SCHRODER GLOBAL SUSTAINABLE FUND | 52.260 | 52.260 |
| 848 | D | SCHRODER GLOBAL VALUE FUND | 25.313 | 25.313 |
| 847 | D | SCHRODER INCOME FUND | 2.672.199 | 2.672.199 |
| 836 | D | SCHRODER INCOME MAXIMISER | 1.799.529 | 1.799.529 |
| 860 | D | SCHRODER INSTITUTIONAL POOLED FUNDS | 9.322 | 9.322 |
| 864 | D | SCHRODER INSTITUTIONAL POOLED FUNDS - ADVANCED | 50.292 | 50.292 |
| D | GLOBAL EQUITY FUND SCHRODER INTERNATIONAL MULTI-CAP VALUE TRUST |
153.806 | 153.806 | |
| 827 | SCHRODER INTERNATIONAL SELECTION FUND | 4.283.340 | 4.283.340 | |
| 834 | D | 970 | 970 | |
| 869 | D | SCHRODER IPF ADVANCED GLOBAL EQUITY FUND - HKD HEDGED |
||
| 851 | D | SCHRODER MANAGED BALANCED FUND | 36.487 | 36.487 |
| 837 D | SCHRODER PENSION MANAGEMENT LIMITED | 38.607 | 38.607 | |
| 850 D | SCHRODER QEP GLOBAL ACTIVE VALUE FUND | 16.083 | 16.083 | |
| 841 D | SCHRODER QEP GLOBAL CORE FUND | 199.546 | 199.546 | |
| 835 D | SCHRODER RECOVERY FUND | 1.623.176 | 1.623.176 | |
| 844 | D | SCHRODER SUSTAINABLE FUTURE MULTI-ASSET FUND | 26.285 | 26.285 |
| 845 | D | SCHRODER SUSTAINABLE GLOBAL CORE PIE FUND | 30.283 | 30.283 |
| 465 | D | SCHUCO | 2.961 | 2.961 |
| 1.705 D SCHWAB FUNDAMENTAL INTERNATIONAL EQUITY INDEX | 956.182 | 956.182 | ||
Legenda:
88961floo
14/05/2025
| Badge | Titolare | ||||||
|---|---|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | |||||
| Straordinaria FUND |
|||||||
| 2.200 | D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY | |||||
| INDEX EINE | 4.470.631 | 4.470.631 | |||||
| 2.204 | D | SCHWAB INTERNATIONAL DIVIDEND EQUIT Y ETF | |||||
| 2.199 | D | SCHWAB INTERNATIONAL EQUITY ETF | 2.021.135 | 2.021.135 | |||
| 1.704 | D | SCHWAB INTERNATIONAL INDEX FUND | 4.358.186 | 4.358.186 | |||
| 541 | D | SCORE 2012 | 1.292.599 | 1.292.599 | |||
| 532 | D | SCORE 620 | 1.700 | 1.700 | |||
| 520 | D | SCORE AD BESANCON | 3.227 | 3.227 | |||
| 523 | D | SCORE AUMEX | 1.866 | 1.866 | |||
| 505 | D | SCORE BON SECOURS | 3.236 | 3.236 | |||
| 456 | D | SCORE CAIUS | 9.154 | 9.154 | |||
| 457 | D | SCORE FRISQUET 01.22 | 964 | 964 | |||
| 219 | D | SCORE GALIEN | 1.000 | 1.000 | |||
| 486 | D | SCORE KIWI | 2.577 | 2.577 | |||
| 452 | D | SCORE LEMOY | 5.599 | 5.599 | |||
| 557 | D | SCORE MARIE JOSEPH | 360 | 360 | |||
| 464 | D | SCORE MLC PARTICIPATIONS | 2.467 | 2.467 | |||
| 490 | D | SCORE ORMESSON | 666 | 666 | |||
| 482 | D | SCORE PILLAUD | 849 | 849 | |||
| 492 | D | SCORE SAINT NICOLAS | 715 | 715 | |||
| 540 | D | SCORE SAINTE URSULE | 10.558 | 10.558 | |||
| 548 | D | 1.649 | 1.649 | ||||
| 516 | D | SCORE SAINT-JOSEPH | 801 | 801 | |||
| 528 | SCORE SAXE | 2.939 | 2.939 | ||||
| D | SCORE THANRY | 1.051 | 1.051 | ||||
| 2.264 | D | SCOTIA INTERNATIONAL EQUITY INDEX FUND | 5.063 | 5.063 | |||
| 2.376 | D | SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 40.877 | 40.877 | |||
| 2.499 | D | SCOTTISH WIDOWS INV.SOLUTIONS FUNDS | 437.003 | 437.003 | |||
| ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND | |||||||
| 2.072 | D | SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- | 253.205 | 253.205 | |||
| EUROPEAN (EX UK)EQUITY FUND | |||||||
| 2.071 | D | SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS | 52.284 | 52.284 | |||
| ICVC-INTERNATIONAL EQUITY TRACKER FUND | |||||||
| 1.601 | D | SEAN PANDRADE 2016 TR UAD FEB 8 1991 | 5.971 | 5.971 | |||
| 2.362 | D | SEASONS SERIES TRUST SA MULTI-MANAGED | 10.936 | 10.936 | |||
| INTERNATIONAL EQUITY PORTF | |||||||
| 2.360 | D | SEASONS SERIES TRUST SA PUTNAM ASSET ALLOCATION | 3.635 | 3.635 | |||
| DIVERSIE IED GROW | |||||||
| 1.343 | D | SEI GLOBAL MASTER FUND PLC | 380.564 | 380.564 | |||
| 1.352 | D | SEI GLOBAL MASTER FUND PLC THE | 91.600 | 91.600 | |||
| 280 | D | SEI INSTITUTIONAL INTERNATIONAL TRST INTERNATIONAL | 350.441 | 350.441 | |||
| EQTY FND | |||||||
| 287 | D | SEI INSTITUTIONAL INVESTMENTS TRUST - GLOBAL | 638.100 | ||||
| MANAGED VOLATILITY FUND | 638.100 | ||||||
| 293 | D | SEI INSTITUTIONAL MANAGED TRUST - GLOBAL MANAGED | |||||
| VOLATILITY FUND | 114.165 | 114.165 | |||||
| 393 | D | SEI INSTITUTIONAL MANAGED TRUST - TAX- MANAGED | |||||
| INTL MANAGED VOLATILITY FUND | 45.545 | 45.545 | |||||
| 292 | D | SEI SELECT INTERNATIONAL EQUITY ETF | |||||
| Legenda: | 60.886 | 60.886 | |||||
D: Delegante
50
88961/101
14/05/2025
ENI S.p.A.
| Dauge | I Holare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.906 | D | SELECTION FRANCE SOCIAL (JANVIER 2022) | 700.000 | 700.000 |
| 2.260 | D | SELFFINANCING POSTSECONDARY EDUCATION FUND | 1.375 | 1.375 |
| 1.300 | D | SELLA SGR RUBRICA FPA EURORISPARMIO AZ. | 19.500 | 19.500 |
| INTERNAZIONALE | ||||
| 1.298 | D | SELLA SGR RUBRICA FPA EURORISPARMIO AZIONARIO | 29.000 | 29.000 |
| EUROPA | ||||
| 1.299 | D | SELLA SGR RUBRICA FPA EURORISPARMIO BILANCIATO | 15.000 | 15.000 |
| 1.293 | D | SELLA SGR RUBRICA INVESTIMENTI AZIONARI EUROPA | 11.800 | 11.800 |
| SEBLA SGR RUBRICA INVESTIMENTI AZIONARI ITALIA | 428.465 | 428.465 | ||
| 1.294 | D | |||
| 1.295 | D | SELLA SGR RUBRICA INVESTIMENTI BILANCIATI ITALIA | 42.752 | 42.752 |
| 1.527 | D | SENTINEL INTERNATIONAL FUND | 893 | 893 |
| 1.526 | D | SENTINEL INTERNATIONAL TRUST | 6.257 | 6.257 |
| 21 | D | SENTIX RISK RETURN -A- | 1.790 | 1.790 |
| 32 | D | SENTIX RISK RETURN -M- | 15.400 | 15.400 |
| 496 | D | SEQUOIA | 4.741 | 4.741 |
| 1.060 | D | SEQUOIA FD PARA GLBL | 451 | 451 |
| 2.266 | D | SERVICES GROUP OF AMERICA INC | 5.804 | 5.804 |
| 1.229 | D | SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY | 1 | 1 |
| FUND | ||||
| 477 | D | SEVENTY FOUR | 681 | 681 |
| 1.860 | D | SF AVENIR - POOL COMMUN SOC | 15.000 | 15.000 |
| 1.308 | D | SG ACTIONS ENERGIE | 38.309 | 38.309 |
| 1.315 | D | SG ACTIONS ENERGIE EUROPE | 102.001 | 102.001 |
| 1.316 | D | SG ACTIONS ETATS-UNIS POCHE AC | 31.654 | 31.654 |
| 1.309 | D | SG ACTIONS EURO SELECTION | 2.505.894 | 2.505.894 |
| 1.331 | D | SG DNCA ACTIONS EURO | 9.500 | 9.500 |
| 1.214 | D | SHELL CANADA 2007 PENSION PLAN | 3.549 | 3.549 |
| 442 | D | SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 274 | 274 |
| 187 | D | SICAV BNP EASY EURO STOXX 50 | 354.667 | 354.667 |
| 1.226 | D | SIEMENS BALANCED | 69.438 | 69.438 |
| 1.102 | D | SIEMENS EMU EQUITIES | 301.176 | 301.176 |
| SIEMENS EUROINVEST AKTIEN | 31.653 | 31.653 | ||
| 1.165 | D | 211.103 | 211.103 | |
| 563 | D | SIEMENS-FONDS SIEMENS-RENTE | 5.500 | |
| 554 | D | SIFATT | 5.500 | |
| 1.319 | D | SILVER AMUNDI EURO EQUITY | 128.096 | 128.096 |
| 1.318 | D | SILVER AMUNDI EUROPE EQUITY CO | 53.071 | 53.071 |
| 612 | D | SINGLE SELECT PLATFORM | 132.019 | 132.019 |
| 316 | D | SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY | 2.348.764 | 2.348.764 |
| FUND | ||||
| 276 | D | SIX CIRCLES MANAGED EQUITY PORTFOLIO | 732.238 | 732.238 |
| INTERNATIONAL UNCONSTRAINED FUND | ||||
| 1.521 D | SLW PORTFOLIO LLC | 3.695 | 3.695 | |
| 1.522 D | SLW PORTFOLIO LLC | 27.425 | 27.425 | |
| 412 D | SMART WHOLESALE GLOBAL EQUITY ESG FUND | 26.810 | 26.810 | |
| 2.291 D | SMTB FOREI GN EQUITY INDEX OPENMOTHER FUND | 64.308 | 64.308 | |
| 2.163 D | SMTB FOREI GN STOCK INDEX MOTHER FUND | 1.484 | 1.484 | |
| 1.453 D | SNOWFINCH FOUNDATION | 18.510 | 18.510 | |
| 2.474 D | SOCIAL PROTECTION FUND | 15.558 | 15.558 | |
| SOCIAL PROTECTION FUND | 55.336 | 55.336 | ||
| 2.475 | D |
Legenda:
D: Delegante
8.0001 102
14/05/2025
| Badge Titolare |
|||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| 1.302 | D | SOCIETA' ITALIANA DI REVISIONEEFIDUCIARIA S.I.RE.F.S.P.A | 4.021 | 4.021 | |
| 1.251 | D | SOUTH DAKOTA RETIREMENT SYSTEM | 12.000 | 12.000 | |
| 1.582 | D | SP INTERNATIONAL SHARES TRUST | 16.970 | 16.970 | |
| 1.869 | D | SPA MANDATE BLACKROCK | 69.069 | 69.069 | |
| 935 | D | SPARINVEST SICAV - GLOBAL VALUE | 1.210.586 | 1.210.586 | |
| 1.423 | D | SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 2.844.045 | 2.844.045 | |
| 2.436 | D | SPDR EURO STOXX 50 ETF | 2.192.484 | 2.192.484 | |
| 2.443 | D | SPDR MSCI ACWI EXUS ETF | 171.799 | 171.799 | |
| 2.339 | D | SPDR MSCI EAFE STRATEGICFACTORSETF | 297.857 | 297.857 | |
| 2.158 | D | SPDR MSCI WORLD QUALITY MIX FUND | 9.216 | 9.216 | |
| 2.340 | D | SPDR MSCI WORLD STRATEGICFACTORS ETF | 14.054 | 14.054 | |
| 2.444 | D | SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 2.343.638 | 2.343.638 | |
| 2.435 | D | SPDR PORTFOLIO EUROPE ETF | 162.039 | 162.039 | |
| 2.346 | D | SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF | 34.343 | 34.343 | |
| 2.353 | D | SPDR SP GLOBAL NATURAL RESOURCES FOR | 1.122.112 | 1.122.112 | |
| 2.479 | D | SPW MANAGED ICVC - SPW GLOBAL (EX UK) EQUITY FUND | 100.085 | 100.085 | |
| 2.500 | D | SPW MANAGED ICVC - SPW UK EQUITY FUND | 427.535 | 427.535 | |
| 1.452 | D | SRW 2009 FRIENDS AND FAMILY CONTINUATION TRUST | 4.771 | 4.771 | |
| 2.218 | D | SSB FTSE RAFI DEVELOPED 1000 INDEX NONLENDING | 24.981 | 24.981 | |
| COMMON TRUST FUND | |||||
| 2.215 | D | SSB GLOBAL NATURAL RESOURCES INDEX NONLENDING | 59.993 | 59.993 | |
| COMMON TRUST FUND | |||||
| 2 220 | D | SSB MSCI ACWI EX USA IMI SCREENED NONLENDING | 71.921 | 71.921 | |
| COMMON TRUST FUND | |||||
| 2.433 | D | SSB MSCI ITALY INDEX SECURITIESLENDING COMMON | 1.041.294 | 1.041.294 | |
| TRUST FUND | |||||
| 2.221 | D | SSB S P GLOBAL LARGEMIDCAP NAT SOURCES INDEX | 240.913 | 240.913 | |
| NONLENDING FND | |||||
| 2.265 | D | SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 13.346 | 13.346 | |
| 2.258 | D | SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 641.544 | 641.544 | |
| 2.257 | D | SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 5.383.697 | 5.383.697 | |
| 2.214 | D | SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 11.004.460 | 11.004.460 | |
| 1.871 | D | ST PFD PMA MANDATE BLACKROCK | 21.390 | 21.390 | |
| 33 | D | STABILITY FUNDS-CORE SATELLITE STRATEGIE | 6.000 | 6.000 | |
| 1.167 | D | STANDARD BANK OF SOUTH AFRICA LTD | 245.125 | 245.125 | |
| 1.137 | D | STANLIB FUNDS LIMITED | 10.670 | 10.670 | |
| 1.898 | D | STAR PASTEUR | 88.078 | 88.078 | |
| 2.419 | D | STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 643.853 | 643.853 | |
| 700 | D | STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER | 463.622 | 463.622 | |
| TRUST | |||||
| 1.632 | D | STATE OF IDAHO ENDOWMENT FUND INVESTMENT BOARD | 26.929 | 26.929 | |
| 2.313 D | STATE OF MICHIGAN RETIREMENT SYSTEM | 109.351 | 109.351 | ||
| 2.451 D | STATE OF MINNESOTA | 929.228 | 929.228 | ||
| 2.309 D | STATE OF NEW JERSEY COMMON PENSION FUND DE | 1.057.756 | 1.057.756 | ||
| 567 | D | STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 622.787 | 622.787 | |
| 1.644 D STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS | 45.000 | 45.000 | |||
| TRUST FORDS | |||||
| 1.096 | D | STATE OF WISCONSIN INVESTMENT BOARD | 53.411 | 33.411 | |
| 729 | D | STATE OF WYOMING | 102.452 | 102.452 | |
| Legenda: |
D: Delegante
88961103
14/05/2025
ENI S.p.A.
| Dauke | THOMLC | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 1.253 | D | STATE OIL FUND OF THE REPUBLIC OF AZERBAIJAN | 100.055 | 100.055 |
| 2.250 | D | STATIE SUREET CCP | 20.751 | 20.751 |
| 2.219 | D | STATE STREET FACTORBASED NONLENDING COMMON | 5.053 | 5.053 |
| TRUST FOND | ||||
| 1.412 | D | 11.460 | ||
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT | 11.460 | |||
| TRUST | ||||
| 2.131 | D | STATE STREET GLOBAL ADVISORS LUXEMBOURG SICA V | 525.587 | 525.587 |
| 2.349 | D | STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO |
453.009 | 453.009 |
| 2.350 | D | STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO |
423.591 | 423.591 |
| 2.121 | D | STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 |
19.131 | 19.131 |
| 2.256 | D | STATE STREET IRELAND UNIT TRUST | 3.779 | 3.779 |
| 2.216 | D | STATE STREET TOTAL RETURN VIS FUND | 20.976 | 20.976 |
| 1.665 | D | STATE TEACHERS RETIREMENT SYSTEM OF OFFIC | 442.070 | |
| 531 | 442.070 | |||
| D | STAUBLI 50 50 CREDIT MUTUEL | 1.361 | 1.361 | |
| 558 | D | STAUBLI 80 20 CREDIT MUTUEL | 1.103 | 1.103 |
| 584 | D | STELLAR INSURANCE, LTD. | 5.826 | 5.826 |
| 1.490 | D | STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 26.823 | 26.823 |
| 1.061 | D | STEWARDSHIP PARA GLB | 1.551 | 1.551 |
| 230 | D | STICHTING AHOLD DELFAIZE PENSIOEN | 231.998 | 231.998 |
| 1.264 | D | STICHTING BEDRIJES FENSIOENFORDS VOOR HET | 35 | 35 |
| 1.399 | D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE | 242.398 | 242.398 |
| DETAILHANDEL | ||||
| 1.048 | D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE | 98.951 | 98.951 |
| MEUBELT NDUSTRIEEN MEUBILERINGSBEDRIJ | ||||
| 1.263 | D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE | 1.998 | 1.998 |
| ZOETWARENINDUSTR | ||||
| 1.117 | D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 17.513 | 17.513 |
| SCHILDERS | ||||
| 1.116 | D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 1.839 | 1.839 |
| SCHILDERS AFW ERKINGS ENGLASZENBEDRUP | ||||
| 1.675 | D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR FET | 3.178 | 3.178 |
| SCHOONMAAK EN GL. | ||||
| D | STICHTING BPL PENSIOEN | |||
| 1.870 | 30.763 | 30.763 | ||
| 1.868 | D | STICHTING BPL PENSIOEN MANDAAT BLACKROCK | 327.471 | 327.471 |
| 1.440 | D | STICHTING HEINEKEN PENSIOENFONDS | 73.814 | 73.814 |
| 2.378 | D | STICHTING ING CDC PENSIOENFONDS | 44.582 | 44.582 |
| 1.656 | D | STICHTING INSTITUUT GAK | 12.170 | 12.170 |
| 1.674 | D | STICHTING KONINGIN WILHELMINA FONDS VOOR DE | 17.634 | 17.634 |
| NEDERLANDSE KANK | ||||
| 1.736 D | STICHTING MN SERVICES | 757.146 | 757.146 | |
| 1.742 D | STICHTING MN SERVICES AANDELENFORND | 130.329 | 130.329 | |
| 2.306 D | STICHTING NN CDC PENSIOENFONDS | 18.687 | 18.687 | |
| 1.206 D | STICHTING PENSIOENFONDS HOOGOVENS | 1.981 | 1.981 | |
| 1.863 | D | STICHTING PENSIOENFONDS SABIC | 48.000 | 48.000 |
| 1.441 | D | STICHTING PENSIOENFONDS SAGITTARIUS | 49.556 | 49.556 |
| 1.676 | D | STICHTING PENSIOENFORDS VERVOER | 1.489.299 | 1.489.299 |
Legenda:
88961 froy
14/05/2025
| Badge | Titolare | O a sa kara a kasa ka masa ta masa ta mana ka mana na mana na mana na mana mana mana mana mana mana mana mana mana mana mana mana mana mana mara mara mara mara mara mara mara | ||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | ||
| 1.865 | D | STICHTING PENSIOENFONDS VOOR DE | Straordinaria | |
| ARCHITECTENBUREAUS | 6.724 | 6.724 | ||
| 2.295 | D | STICHTING PENSIOENFONDS WERK EN(RE) INTEGRATIE | ||
| 1.737 | D | STICHTING PENSIOOENFONDS METAAL EN TECHNIEK MN | 460.194 | 460.194 |
| SERVICES | 223.184 | 223.184 | ||
| 648 | D | STOREBRAND LIVSFORSIKRING AS | ||
| 650 | D | STRATEGIC INTERNATIONAL EQUITY FUND | 16.312 | 16.312 |
| 2.007 | D | STRATEGIE EURO ISR | 93.566 | 93.566 |
| 27 | D | STRATEGIEKONZEPT DEFENSIV | 75.186 | 75.186 |
| 1.364 | D | STRATEGY SICA V | 11.550 | 11.550 |
| 1.567 | D | STRATHCLYDE PENSION FUND | 5.915 | 5.915 |
| 381 | D | STRIVE DEVELOPED MARKETS ETF | 3.454.382 | 3.454.382 |
| 1.841 | D | STRUCTURA - PIONEER GLOBAL ESG VALUE FUND | 2.496 | 2.496 |
| 968 | D | SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.882 | 1.882 |
| 606 | D | SUEBIA-FONDS | 49.229 | 49.229 |
| 1.413 | D | SUMMIT INVESTMENT FUNDS PLC | 60.309 | 60.309 |
| 1.414 | D | SUMMIT MUTUAL FUNDS PLC | 71.072 | 71.072 |
| 1.706 | D | SUN LIFE ASSET MANAGEMENT FUNDS - SUN LIFE AM | 47.534 | 47.534 |
| GLOBAL LOW CAR | 6.006 | 6.006 | ||
| 1.792 | D | SUN LIFE MFS DIVIDEND INCOME FUND | ||
| 1.790 | D | SUN LIFE MFS GLOBAL TOTAL RETURN FUND SUN LIFE | 50.763 | 50.763 |
| GLOBAL INVESTMENTS (CANADA) INC | 240.349 | 240.349 | ||
| 1.789 | D | SUN LIFE MFS GLOBAL VALUE FUND - SUN LIFE GLB | ||
| INVESTMENTS (CAD) | 312.735 | 312.735 | ||
| 1.788 | D | SUN LIFE MFS LOW VOLATILITY GLOBAL EQUITY FUND | ||
| 1.787 | D | SUN LIFE MFS LOW VOLATILITY INTERNATIONAL EQUITY | 22.939 | 22.939 |
| FUND | 68.960 | 68.960 | ||
| 2.357 | D | SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX | ||
| PORTFOLIO | 111.086 | 111.086 | ||
| 2.361 | D | SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED | ||
| PORTFOLIO | 4.066 | 4.066 | ||
| 2.363 | D | SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | ||
| ALLOCATION PORT | 5.076 | 5.076 | ||
| 1.588 | D | SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF | ||
| SOUTH AUSTRAL | 73.470 | 73.470 | ||
| 1.886 | D | SURAVENIR OVERLAY LOW VOL ACTIONS | ||
| 824 | D | SUTL CAZENOVE CHARITY EQUITY VALUE FUND | 388.997 | 388.997 |
| 913 | D | SUVA | 160.866 | 160.866 |
| 48 | D | SWISS NATIONAL BANK | 349.738 | 349.738 |
| 712 | D | SWISS REINSURANCE COMPANY LTD | 5.503.191 | 5.503.191 |
| 2.207 | D | SYLVAN PARTNERS, LLC | 1.464 | 1.464 |
| દિવે | D | SYNERGIE ACTIONS MONDE (EX-SUISSE) INDEXEES | 24.879 | 24.879 |
| 953 D | T ROWE PRICE GLOBAL EX US EQUITY 1001293 | 20.338 | 20.338 | |
| 610 D | T. ROWE PRICE FUNDS SICA V | 506 | 206 | |
| 670 D T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 97 | 97 | ||
| 614 D T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 166.838 | 166.838 | ||
| 971 D | 549.407 | 549.407 | ||
| 2.311 | D. | TACS NON US EQUITY CORE MARKET CONTINUOUS LLC TALCOTT RESOLUTION LIFE INSURANCE COMPANY |
34.987 | 34.987 |
| 2.374 | D | TANGERINE BALANCED GROWTH PORTFOLIO | 25.438 | 25.438 |
| 32.307 | 32.307 |
Legenda:
88961105
14/05/2025
ENI S.p.A.
| DRUKE | THURTC | Ordinaria | Straordinaria | |
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | |||
| 2.379 | D | TANGERINE BALANCED INCOME PORTFOLIO | 2.976 | 2.976 |
| 2.373 | D | TANGERINE BALANCED PORTIFOLIO | 23.045 | 23.045 |
| 2.375 | D | TANGERINE EQUITY GROWTH PORTFOLIO | 42.244 | 42.244 |
| 987 | D | TANGLIN CLAYMORE LLC | 4.559 | 4.559 |
| 1.032 | D | TD EMERALD INTERNATIONAL EQUITY INDEX FUND | 419.820 | 419.820 |
| 1.031 | D | TD EUROPEAN INDEX FUND | 13.372 | 13.372 |
| 1.030 | D | TD INTERNATIONAL EQUITY INDEX ETF | 247.016 | 247.016 |
| 2.113 | D | TEACHER RETIREMENT SYSTEM OF TEXAS | 1.701.593 | 1.701.593 |
| 1.646 | D | TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 293.108 | 293.108 |
| 652 | D | TEACHERS' RETIREMENT SYSTEM OF THE CITY OF NEW YORK |
410.174 | 410.174 |
| 2.212 | D | TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 928.224 | 928.224 |
| 2.076 | D | TEAM SUPERANNUATION FUND | 94.714 | 94.714 |
| 1.661 | D | TELSTRA SUPERANNUATION SCHEME | 65.316 | 65.316 |
| 1.006 | D | TENNESSEE VALLEY AUTHORITY ASSET RETIREMENT TRUST | 20.645 | 20.645 |
| 1.183 | D | TENNESSEE VALLEY AUTHORITY MASTER | 44.860 | 44.860 |
| DECOMMISSIONING TRUST | ||||
| 1.568 | D | TESCO PLC PENSION SCHEME | 43.303 | 43.303 |
| 2.308 | D | TEXAS MUNICIPAL RETIREMENT SYSTEM | 291.816 | 291.816 |
| 1.259 | D | TEXAS PERMANENT SCHOOL FUND CORP | 1 | 1 |
| 1.260 | D | TEXAS PERMANENT SCHOOL FUND CORPORATION | 1 | 1 |
| 1.020 | D | TEXAS UTILITIES QUAL NDT PARTNERSHIP | 16.368 | 16.368 |
| 632 | D | TF-EQUITY | 331.107 | 331.107 |
| 927 | D | THALES AVS FRANCE | 2.471 | 2.471 |
| 1.483 | D | THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 12.922 | 12.922 |
| 2.037 | D | THE ARROWSTREET COMMON CONTRACTUAL FUND | 1.159.652 | 1.159.652 |
| 1.166 | D | THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES |
260.404 | 260.404 |
| 1.039 | D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV |
439.153 | 439.153 |
| 1.040 | D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN |
784.414 | 784.414 |
| 1.090 | D | THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 143.887 | 143.887 |
| વેરવે | D | THE BANK OF NEW YORK MELLON SA NV | 91.329 | 91.329 |
| 1.228 | D | THE BOARD OF PENSIONS OF THE PRESBYTERIAN CHURCH USA |
95.855 | 95.853 |
| 734 | D | THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST |
421.110 | 421.110 |
| 1.481 | D | THE BOEING COMPANY EMPLOYEE SAVINGS PLANS MASTER TRUST |
458.835 | 458.835 |
| 1.174 | D | THE CANADA LIFE ASSURANCE COMPANY | 1.284.234 | 1.284.234 |
| 1.541 D | THE CHEYENNE FUND A MASSACHUSETTS LIMITED PARTNERSHIP |
33.400 | 33.400 | |
| 2.381 | D | THE COLORADO HEALTH FOUNDATION | 11.168 | 11.168 |
| 1.739 D | THE DFA INTERNATIONAL VALUE SERIESA | 4.916.050 | 4.916.050 | |
| 42 D | THE ERIK J. REED REVOCABLE TRUST | 1.146 | 1.146 | |
| 1.091 D | THE ESB PENSION FUND | 37.162 | 37.162 | |
| 1.677 D | THE EUROPEAN ORGANIZATION FOR NUCLEAR RESEARCH | 93.438 | 93.438 | |
| 2.367 D | THE FIRST CHURCH OF CHRIST SCIENTIST | 53.334 | 53.334 |
Legenda:
Titolare
Badge
807 1 106
14/05/2025
| Tipo Rap. Deleganti / Rappresentati legalmente |
|||||
|---|---|---|---|---|---|
| 1.511 | D | THE HARRY L. BRADLEY JR. TRUSTS MASTER INVESTMENT | Ordinaria | Straordinaria | |
| PARTNERSHI | 16.199 | 16.199 | |||
| 2.380 | D | THE HARTFORD INTERNATIONAL VALUE FUND | |||
| 1.485 | D | THE HARTFORD ROMAN CATHOLIC DIOCESAN | 5.984.698 | 5.984.698 | |
| CORPORATION RETIREMENT | 2.124 | 2.124 | |||
| 1.633 | D | THE HEAL TH FOUNDATION. | |||
| 868 | D | THE HITACHI MASTER-FISHER GLOBAL TOTAL RETURN | 178.008 | 178.008 | |
| EQUITY FUND | 48.694 | 48.694 | |||
| 1.252 | D | THE HKSAR GOVERNMENT SCHOLARSHIP FUND | |||
| 2.298 | D | THE INCUBATION FUND LTD | 2.855 | 2.855 | |
| 1.512 | D | THE JBUT MASTER INVESTMENT PARTNERSHIP LLP C/O | 561 | 561 | |
| JACOBUS WEALTH MANAGEMENT | 29.611 | 59.611 | |||
| 1.107 | D | THE LONDON BOROUGH OF BROMLEY SUPERANNUATION | |||
| FUND | 350.000 | 350.000 | |||
| વેવે ર | D | THE MANUFACTURERS LIFE INSURANCE COMPANY | |||
| 2.164 | D | THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI | 42.888 | 42.888 | |
| FOREIGN EQUITY INDEX MOTHER FUND | 28.256 | 28.256 | |||
| 301 | D | ||||
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND |
2.878 | 2.878 | |||
| 340 | D | ||||
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND |
241.048 | 241.048 | |||
| 748 | D | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 1.650 | 1.650 | |||
| 675 | D | DAIDO LIFE FOREIGN EQUITY MOTHER FUND | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 126.854 | 126.854 | |||
| FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI |
|||||
| 676 | D | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 5.955 | 5.955 | |||
| FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI |
|||||
| 294 | D | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE | 8.363 | 8.363 | |||
| FOR ORGANIZATION FOR WORKERS' RETIREMENT | |||||
| 590 | D | ALLOWANCE MUTUAL AID 400021974 | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE | 8.367 | 8.367 | |||
| FOR ORGANIZATION FOR WORKERS' RETIREMENT | |||||
| 304 | D | ALLOWANCE MUTUAL AID 400025501 | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: | 1.137 | ||||
| 803 | D | MSCI-KOKUSAI INDEX MOTHER FUND | 1.137 | ||
| 341 | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400021577 | 1 | |||
| 411 | D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 1 | 1 | |
| D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: | 6.742 | 1 | ||
| MUTB400021492 | 6.742 | ||||
| 385 | D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: | 138 | ||
| MUTB400021536 | 138 | ||||
| 322 | D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSA Y | |||
| RISK CONTROLLED BALANCE MOTHER FUND | 19.433 | 19.433 | |||
| 401 | D THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSA Y | ||||
| STABILIZED INCOME MOTHER FUND | 5.026 | 5.026 | |||
| 399 | D | ||||
| STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT | 190.629 | 190.629 | |||
Legenda:
88961/104
14/05/2025
ENI S.p.A.
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| TRUST) | ||||
| 300 | D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO | 16.853 | 16.853 |
| STOXX 50 EX BANKS (JPY HEDGED)(PRIVATELY PLACED | ||||
| INVESTMENT TRUST) | ||||
| 331 | D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: TMA GLOBAL | 65.297 | 65.297 |
| EQUITY INDEX MOTHER FUND | ||||
| 2.104 | D | THE MONETARY AUTHORITY OF SINGAPORE | 136.002 | 136.002 |
| 2.069 | D | |||
| 1.773 | THE MONETARY AUTHORITY OF SINGAPORE MAS | 19.746 | 19.746 | |
| D | THE NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN | 12.515 | 12.515 | |
| 619 | D | THE NATIONAL FARMERS UNION MUTUAL INSURANCE | 45.946 | 45.946 |
| SOCIETY LIMITED-UNIT LINKED PENSION | ||||
| 617 | D | THE NATIONAL FARMERS UNION MUTUAL INSURANCE | 121.195 | 121.195 |
| SOCIETY LTD | ||||
| 1.620 | D | THE NEMOURS FOUNDATION PENSION PLAN | 1.607 | 1.607 |
| 964 | D | THE NFU MUTUAL OEIC | 26.980 | 26.980 |
| 1.351 | D | THE NOMURA TRUST AND BANKING C | 107.456 | 107.456 |
| 443 | D | THE NOMURA TRUST AND BANKING CO., LTD. AS THE | 66.575 | 66.575 |
| TRUSTEE OF NIKKO GLOBAL WRAP (DEVELOPED EUROPE | ||||
| EQUITY MOTHER FUND) | ||||
| 1.593 | D | THE NORTHERN TRUST COMPANY SUB-ADVISED | 584.600 | 584.600 |
| COLLECTIVE FUNDS TRUS | ||||
| 1.449 | D | THE NUFFIELD FOUNDATION | 34.011 | 34.011 |
| 1.431 | D | THE PEOPLE'S PENSION SCHEME | 203.854 | 203.854 |
| 2.331 | D | THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 82.270 | 82.270 |
| 1.391 | D | THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 1.949.971 | 1.949.971 |
| 46 | D | THE ROSE K. SWEDLOW TRUST DID 03/19/92 | 145 | 145 |
| 1.133 | D | THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 | 577 | 577 |
| EQUITY FUND | ||||
| 817 | D | THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT | 119.178 | 119.178 |
| TRUSTI | ||||
| 2.254 | D | THE STATE OF CONNECTICUT, ACTING THROUGH ITS | 426.435 | 426.435 |
| TREASURER | ||||
| 2.178 | D | THE STATE OF NEVADA | 3.357 | 3.357 |
| 807 | D | THE STEAMSHIP MUT. UNDERWRITING ASSOC TTEES (BM) LTD | 2.748 | 2.748 |
| AS THE STOF THE ST MT TR | ||||
| 1.451 | D | THE TRUSTEES OF THE HENRY SMITH CHARITY. | 36.413 | 36.413 |
| 991 | D | THE WAWANESA MUTUAL INSURANCE COMPANY | 7.155 | 7.155 |
| 2.505 | D | THE WELLINGTON TR CO NATL ASSOCMULTIPLE | 600.626 | 600.626 |
| COLLECTIVE INVESTMENT FDS TR | ||||
| D | THE WELLINGTON TRUST COMPANY NATIONAL ASS | 25.714 | ||
| 2.504 | MULTIPLE COLLECTIVE INV | 25.714 | ||
| THE WS ACCESS POOL AUTHORISED CONTRACTUAL SCHEME | ||||
| 1.669 D | 1.231 | 1.231 | ||
| 1.599 D | THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 35.607 | 35.607 | |
| 2.150 D | THORNBURG GLOBAL INVESTMENT PLC | 41.364 | 41.364 | |
| 2.152 D THORNBURG INCOME BUILDER OPPORTUNITIES TRUST | 362.100 | 362.100 | ||
| 2.151 D THORNBURG INVESTMENT INCOME BUILDER FUND | 4.369.900 | 4.369.900 | ||
| 1.450 D THREE MILE ISLAND UNIT ONE QUALIFIED FUND | 24.337 | 24.337 | ||
| 641 D | THRIFT SAVINGS PLAN | 5.222.551 | 5.222.551 | |
| 2.248 D | THRIFT SAVINGS PLAN | 1.352.767 | 1.352.767 |
Legenda:
D: Delegante

| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.284 | D | THRIVENT CORE INTERNATIONAL EQUITY FUND | 150.010 | 150.010 |
| 2.289 | D | THRIVENT GLOBAL STOCK FUND | 136.146 | 136.146 |
| 2.290 | D | THRIVENT GLOBAL STOCK PORTFOLIO | 106.275 | 106.275 |
| 2.286 | D | THRIVENT INTERNATIONAL ALLOCATION FUND | 145.889 | 145.889 |
| 2.288 | D | THRIVENT INTERNATIONAL ALLOCATION PORTFOLIO | 269.696 | 269.696 |
| 2.285 | D | THRIVENT INTERNATIONAL INDEX PORTFOLIO | 27.643 | 27.643 |
| 1.545 | D | THYSSEN GLOBAL INVESTMENTS LLC | 7.870 | 7.870 |
| 2.453 | D | TIAACREF INTERNATIONAL EQUITY INDEX FUND | 3.488.206 | 3.488.206 |
| 20 | D | TIMM INVEST EUROPA PLUS | 2.683 | 2.683 |
| 1.772 | D | TIMOTHY PLAN INTERNATIONAL ETF. | 37.959 | 37.959 |
| 1.708 | D | TIMOTHY PLAN MARKET NEUTRAL ETF | 8.321 | 8.321 |
| 157 | D | TITAN BEST SELECTION EURO 2026 | 167.464 | 167.464 |
| 475 | D | IL INVEST | 1.500 | 1.500 |
| 859 | D | TMA UMBRELLA FD-TMA ACWIEX-JAPAN PORTF. | 9.800 | 9.800 |
| 855 | D | TMA UMBRELLA FUND - GLOBAL EQUITY PORTFOLIO | 9.500 | 9.500 |
| 2.011 | D | TOCQUEVILLE VALUE EUROPE ISR | 564.308 | 564.308 |
| 2.066 | D | TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV |
127.439 | 127.439 |
| 2.366 | D | TOYOTA MOTOR PENSION FUND | 80.640 | 80.640 |
| 2.370 | D | TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION | 14.633 | 14.633 |
| VP | ||||
| 2.371 | D | TRANSAMERICA MSCI EAFE INDEX VP | 12.351 | 12.351 |
| 222 | D | TRATON-UI-DYNAMIK | 84.399 | 84.399 |
| 1.195 | D | TREASURER OF THE STATE OF NORTH CAROLINA EQUITY | 1.577.622 | 1.577.622 |
| INVESTMENT | ||||
| 1.647 | D | TRINITY HEALTH CORPORATION | 244.822 | 244.822 |
| 858 | D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR | 21.511 | 21.511 |
| PENSION INVESTMENT FUND TRUST NUMBER 4 | ||||
| 871 | D | TRUST AND CUSTODY SERVICES BANK LTD AS TRUSTEE FOR | 76.914 | 76.914 |
| PENSION INVESTMENT FUND TRUST NUMBER 10 | ||||
| 867 | D | TRUST AND CUSTODY SERVICES BANK LTD AS TRUSTEE FOR | 9.095 | 9.095 |
| PENSION INVESTMENT FUND TRUST NUMBER 21 | ||||
| 870 | D | TRUST AND CUSTODY SERVICES BANK LTD AS TRUSTEE FOR | 140.331 | 140.331 |
| 857 | D | PENSION INVESTMENT FUND TRUST NUMBER 3 | ||
| TRUST AND CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
6.657 | 6.657 | ||
| 1.487 | D | |||
| 2.489 | D | TRUST FOR THE PENSION PLAN OF CHUBB CORPORATION TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO |
74.110 | 74.110 |
| 1.813 | D | TRUST NATALE PUBLICLY TRADED INVESTMENTS | 31.015 | 31.015 |
| 1.583 | D | TSA EQUITY FUND #2 | 2.881 | 2.881 |
| 1.744 | D | TSGX SOLACT ESG TBACO EX UNHG(3387) | 7.894 | 7.894 |
| 80 | D | TURICUM - AKTIEN - UND IMMOBILIENWERTSCHRIETEN | 980 | 980 |
| 489 | D | TVN 2018 | 106.426 | 106.426 |
| 1.684 D | TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC | 927 | 927 | |
| 1.756 D | TWO SIGMA INTERNATIONAL CORE | 72.500 | 72.500 | |
| 1.648 | D | U.S. STEEL RETIREMENT PLAN TRUST | 94 | 94 |
| 1.152 | D | UA LOCAL UNION OFFICERS AND EMPLOYEES PENSION FUND | 39.311 | 39.311 |
| 1.774 | D | UAPF - BLACK ROCK PASSIVE EQUITY | 69.840 | 69.840 |
| 2.246 | D | UBS (IRL) ETF PLC | 14.475 | 14.475 |
| 211.013 | 211.013 |
Legenda:
D: Delegante
88961100
14/05/2025
ENI S.p.A.
Radge
| Sant Bill State State Street Street Street Street Street State Statistics Corporation Comparis Comparis Comparis Comparis Comparis Comparis Comparis Comparis Comparis Compari | |||||
|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | ||
| 1.367 | D | UBS (LUX) EQUITY SICAV - EURO COUNTRIES INCOME | 314.848 | 314.848 | |
| 1.362 | D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) | 305.739 | 305.739 | |
| PASSIVE | |||||
| 1.361 | D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) | 736.206 | 736.206 | |
| PASSIVE II | |||||
| 1.365 | D | UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT | 7.206 | 7.206 | |
| PTF EQUITY (USD) | |||||
| 1.366 | D | UBS (LUX) SICA V 1 | 2.368 | 2.368 | |
| 1.368 | D | UBS (LUX) STRATEGY SICA V SAP DYNAMIC (USD) | 3.891 | 3.891 | |
| 1.370 | D | UBS (LUX) STRATEGY SICA V-SYSTEMATIC - ALLOCATION PF | 1.726 | 1.726 | |
| DEFENSIVE (USD) | |||||
| 1.369 | D | UBS (LUX) STRATEGY SICA V-SYSTEMATIC - ALLOCATION PF | 8.949 | 8.949 | |
| MEDIOM (USD) | |||||
| 566 | D | UBS ASSET MANAGEMENT LIFE LTD | 81.184 | 81.184 | |
| 56 | D | UBS CH INDEX FUND 3 EQUITIES WORLD EX CH MINIMUM | 47.756 | 47.756 | |
| VOLATILITY UBS FUND MANAGEMENT SWITZERLAND AG | |||||
| 55 | D | UBS CH INDEX FUND 3 EQUITIES WORLD EX CH VALUE | 25.592 | 25.592 | |
| WEIGHTED UBS FUND MANAGEMENT SWITZERLAND AG | |||||
| 52 | D | UBS CH INDEX FUND EQ EMU UBS FUND MANAGEMENT | 70.848 | 70.848 | |
| SWITZERLAND AG | |||||
| 61 | D | UBS CH INDEX FUND EQ EUROPE EX CH NST UBS FUND | 25.899 | 25.899 | |
| MANAGEMENT SWITZERLAND AG | |||||
| 1.668 | D | UBS COMMON CONTRACTUAL FUND | 1.914 | 1.914 | |
| 605 | D | UBS FTSE RAFI DEVELOPED 1000 INDEX FUND | 114.934 | 114.934 | |
| 2.225 | D | UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF | 4.048 | 4.048 | |
| ZURICH INVESTINSTITUTIONAL FUNDS | |||||
| 2.224 | D | UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF | 80.580 | 80.580 | |
| ZURICH INVESTINSTITUTIONAL FUNDS - ZIF GREEN | |||||
| 1.380 | D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 122.127 | 122.127 | |
| 1.384 | D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 1.337.335 | 1.337.335 | |
| 1.386 | D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 37.880 | 37.880 | |
| 1.371 | D | UBS FUND MANAGEMENT(LUXEMBOURG) SA | 111.302 | 111.302 | |
| 672 | D | UBS GLOBAL EQUITY CLIMATE TRANSITION FUND | 3.553 | 3.553 | |
| 2.132 | D | UBS LUX FUND SOLUTIONS | 2.687.766 | 2.687.766 | |
| 1.928 | D | UFF ALLOCATION EQUILIBRE | 47.069 | 47.069 | |
| 1.993 | D | UFF PRIVICEGE | 22.037 | 22.037 | |
| 258 | D | UI BVK KAPITALVERWALTUNGSGESELLSCHAFT MBH ON | 99.032 | 99.032 | |
| BEHALF OF BAYERISCHER PENSIONSFONDS | |||||
| 246 | D | UI BVK KAPITALVERWALTUNGSGESELLSCHAFT MBH ON | 324.934 | 324.934 | |
| BEHALF OF BAYVK A1-FONDS | |||||
| 202 | D | UI BVK KAPITALVERWALTUNGSGESELLSCHAFT MBH ON | 55.796 | 55.796 | |
| BEFALF OF BAYVK A4 FONDS | |||||
| 190 | D | UI BVK KAPITALVERWALTUNGSGESELLSCHAFT MBH ON | 870.694 | 870.694 | |
| BEHALF OF BAYVK G2 FONDS | |||||
| D | UIFONDS AKTIEN EUROPE MVOLA PASSIVE | 94.073 | 94.073 | ||
| 2.148 737 |
D | UI-FONDS BAV RBI AKTIEN | 349.524 | ||
| UI-FONDS RBSG | 349.524 | ||||
| 570 | D | 73.421 | 73.421 | ||
| 253 | D | UI-GKR-FONDS UI-NSNPT-BAP-FONDS |
31.862 | 31.862 | |
| 248 | D | 2.984 | 2.984 |
Legenda:
88961 (110
14/05/2025
| Titolare Badge |
||||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 942 | D | UNIGEST, S.G.I.I.C., S.A.U | 191.242 | 191.242 |
| 2.243 | D | UNION PACIFIC CORPORATION MASTER RETIREMENT TRUST | 29.917 | 29.917 |
| 342 | D | UNISOPER | 9.369 | 9.369 |
| 421 | D | UNISUPER | 44.004 | 44.004 |
| 2.249 | D | UNITED INCOME FOCUS TRUST | 15.643 | 15.643 |
| 1.447 | D | UNITED NATIONS RELIEF AND WORKS AGENCY FOR | 21.574 | 21.574 |
| PALESTINE REPOCIE | ||||
| 1.448 | D | UNITED NATIONS RELIEF AND WORKS AGENCY FOR | 8.231 | 8.231 |
| PALESTINE REPOCIES | ||||
| 1.498 | D | UNITED SERVICES AUTOMOBILE ASSOCIATION | 29.053 | 29.053 |
| 1.427 | D | UNITED STATES STEEL CORPORATION REPRESENTED | 22.468 | 22.468 |
| RETREES BENETT | ||||
| 22 | D | UNIVERSAL IMW | 12.841 | 12.841 |
| 2.179 | D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT | 32.136 | 32.136 |
| UNIVERSAL FONDS | ||||
| 164 | D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH ON BEHALF | 35.403 | 35.403 |
| OF ARSD UNIVERSAL FONDS | ||||
| 13 | D | UNIVERSAL INVESTMENT GMBH LACORRE PLUS | 8.900 | 8.900 |
| 10 | D | UNIVERSAL INVESTMENT GMBH UI FACTOR GLOB | 12.890 | 12.890 |
| 646 | D | UNIVERSAL INVESTMENT IRELAND UCITS PLATFORM ICA V | 86.472 | 86.472 |
| 920 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 94.555 | 94.555 |
| 921 | D | UNIVERSAL-INVESTMENT GESELLSCHAFT MBH | 22.691 | 22.691 |
| 925 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 55.383 | 55.383 |
| 926 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 18.648 | 18.648 |
| 2.171 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR ARBOR I | 39.855 | 39.855 |
| UI | ||||
| 2.172 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR | 21.861 | 21.861 |
| EPX-ASUS-SHARES | ||||
| 2.198 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR | 190.348 | 190.348 |
| PRO2-U1-AKTIENFONDS | ||||
| 2.418 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR | 36.900 | 36.900 |
| SCULPTOR FORDS | ||||
| 2.245 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR | 126.219 | |
| U-ELKB-FONDS 1 | 126.219 | |||
| 789 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 10.313 | 10.313 |
| of COLUMBUS FONDS | ||||
| 176 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 54.061 | 54.061 |
| OF COMMERZBANK FLEXIBLE ALLOCATION EUROLAND | ||||
| 241 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 348.180 | 348.180 |
| OF DEBEKA-AKTIEN-EUROPA-DIVIDENDEN | ||||
| 252 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 194.617 | 194.617 |
| OF EPOTIF MASTERFONDS | ||||
| 167 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 70.000 | 70.000 |
| OF FEHO-UNIVERSAL-FONDS | ||||
| 273 | D UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 37.006 | 37.006 | |
| OF HMT EURO AKTIEN PROTECT 90 | ||||
| 211 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | ||
| OF FIMT EURO AKTIEN PROTECT 95 | 14.969 | 14.969 | ||
| 243 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 29.323 | |
| 29.323 | ||||
| Legenda: |
88961 (ur
| Badge | Titolare | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| OF HMT EURO AKTIEN SOLVENCY | ||||
| 260 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 22.038 | 22.038 |
| OF HMT EURO AKTIEN VOLCONTROL | ||||
| 264 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 154.314 | 154.314 |
| OF MS-B HAUPFONDS | ||||
| 251 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 9.396 | 9.396 |
| OF STBV-NW-UNIVERSAL-FONDS | ||||
| 169 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 10.722 | 10.722 |
| OF UNIVERSAL-FONDS ZVK 1 | ||||
| 212 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 6.802 | 6.802 |
| OF VSTBH-UNIVERSAL-FONDS | ||||
| 249 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF | 2.962 | 2.962 |
| OF WMB-UNIVERSAL-FONDS | ||||
| 102 | D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH W/SEGNENT | 8.377 | 8.377 |
| SAG-UNIVERSAL-FONDS (491801) | ||||
| 2.149 | D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 6.261 | 6.261 |
| 2.173 | D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 20.000 | 20.000 |
| 2.255 | D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR SRV100 | 4.491 | 4.491 |
| 26 | D | UNIVERSAL-KMSF-FONDS | 2.000 | 2.000 |
| 627 | D | UNIVERSITIES SUPER ANNUATION SCHEME | 25.604 | 25.604 |
| 1.129 | D | UNIVERSITY OF NOTRE DAME DU LAC | 99.811 | 99.811 |
| 1.426 | D | USAA CASUALTY INSURANCE COMPANY | 15.480 | 15.480 |
| 1.424 | D | USAA GENERAL INDEMNITY COMPANY | 16.958 | 16.958 |
| 1.428 | D | UTAH STATE RETIREMENT SYSTEMS | 235.938 | 235.938 |
| 977 | D | UVIMCO PARAMETRIC PHYS MSCI WRLD | 3.185 | 3.185 |
| 2.450 | D | VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 193.828 | 193.828 |
| 555 | D | VALORACTIONS | 20.460 | 20.460 |
| 2.232 | D | VANECK BIFS N.V. | 1.644.538 | 1.644.538 |
| 2.086 | D | VANECK MSCI INTERNATIONAL VALUEETF | 40.666 | 40.666 |
| 2.211 | D | VANGUARD DEVELOPED MARKETS INDEX FUND | 18.598.243 | 18.598.243 |
| 982 | D | VANGUARD EUROPEAN STOCK INDEX FUND | 4.788.197 | 4.788.197 |
| 2.217 | D | VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED | 448.348 | 448.348 |
| MARKETS INDEX TRUST | ||||
| 622 | D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL | 2.320.456 | 2.320.456 |
| TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST | ||||
| 620 | D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL | 15.583.159 | 15.583.159 |
| TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II | ||||
| 981 | D | VANGUARD FTSE ALL WORLD EX US INDEX FUND | 4.371.799 | 4.371.799 |
| 2.242 | D | VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA | 394.536 | 394.536 |
| INDEX ETF | ||||
| 2.241 | D | VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 36.985 | 36.985 |
| 2.238 | D | VANGUARD FTSE DEVELOPED EX NORTH AMERICA HIGH | 54.702 | 54.702 |
| DIVIDEND YIELD IND | ||||
| 285 | D | VANGUARD FUNDS PUBLIC LIMITED COMPANY | 3.447.251 | 3.447.251 |
| 2.236 | D | VANGUARD GLOBAL MINIMUM VOLATILITY ETF | 6.958 | 6.958 |
| 1.204 | D | VANGUARD GLOBAL MINIMUM VOLATILITY FUND | 986.320 | 986.320 |
| 2.237 | D | VANGUARD GLOBAL VALUE FACTOR ETF | 10.756 | 10.756 |
| 664 | D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 839.741 | 839.741 |
| 663 | D | VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS | 38.490 | 38.490 |
| Legenda: |
88961 UZ
Elenco Intervenuti (Tutti ordinati alfabeticamente)
| Badge Titolare |
||||||
|---|---|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |||
| INDEX FUND | ||||||
| 203 | D | VANGUARD INTERNATIONAL VALUE FUND | 4.100.507 | |||
| 1.203 | D | VANGUARD INTI, HIGH DIV YLD INDEX FD | 1.517.853 | 4.100.507 | ||
| 288 | D | VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 2.083.010 | 1.517.853 | ||
| 296 | D | VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD | 51.749 | 2.083.010 | ||
| FTSE DEV EUR EX UK CCF | 51.749 | |||||
| 277 | D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD- | 39.873 | |||
| VANG FTSE DEVELOPED WRLD CCF | 39.873 | |||||
| 281 | D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD- | 43.246 | |||
| VANG FTSE DVLPD WRLD EX UK CCF | 43.246 | |||||
| 2.468 | D | VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE | ||||
| DEVELOPED WOR LD EX - U.K. EQUITY INDEX FUND | 718.937 | 718.937 | ||||
| 279 | D | VANGUARD INVESTMENTS II CCF-VANGUARD SELECTED | 41.532 | |||
| SCREENED FTSE DEV EU II CCF | 41.532 | |||||
| 267 | D | VANGUARD INVESTMENTS II CCF-VANGUARD SELECTED | ||||
| SCREENED FISE DEV WRLD II CCF | 40.329 | 40.329 | ||||
| 353 | D | VANGUARD INVESTMENTS II CCF-VANGUARD SELECTED | ||||
| SCREENED FTSE DEV WRLD II(B)CCF | 112.011 | 112.011 | ||||
| 721 | D | VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | ||||
| 2.210 | D | VANGUARD TOTAL WORLD STOCK INDEX FUND | 30.276.662 | 30.276.662 | ||
| 639 | D | VANTAGETRUST III MASTER COLLECTIVE INVESTMENT | 1.371.784 | 1.371.784 | ||
| FUNDS TRUST | 124.450 | 124.450 | ||||
| 282 | D | VARIABLE INSURANCE PRODUCT'S FUND II: INTERNATIONAL | ||||
| INDEX PORTFOLIO | 52.899 | 52.899 | ||||
| 2.134 | D | VARIOPARTNER SICAV | 116.476 | |||
| 763 | D | VENTRY INDUSTRIES LLC | 116.476 | |||
| 597 | D | VERDIPAPIRFONDET EQUINOR AKSJER EUROPA | 22.293 | 22.293 | ||
| 1.420 | D | VERDIPAPIRFONDET KLP AKSJE GLOBAL INDEKS | 156.000 | 156.000 | ||
| 1.419 | D | VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS. | 478.702 125.435 |
478.702 | ||
| 651 | D | VERDIPAPIRFONDET KRON INDEKS GLOBAL | 45.935 | 125.435 | ||
| 741 | D | VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 169.605 | 45.935 | ||
| 747 | D | VERDIPAPIRFONDET STOREBRAND GLOBAL MULTIFACTOR | 54.398 | 169.605 | ||
| 756 | D | VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 58.803 | 54.398 | ||
| 962 | D | VERIZON MASTER SAVINGS TRUST | 212.316 | 58.803 | ||
| 36 | D | VERMOEGENSFONDS HUK WELT FONDS | 14.000 | 212.316 | ||
| 630 | D | VERMONT PENSION INVESTMENT COMMISSION | 11.310 | 14.000 | ||
| 379 | D | VERTI ASSICURAZIONI SPA | 11.310 | |||
| 1.839 | D | VF (LUX) - VALIANT EUROPE EQUITIES | 18.868 29.275 |
18.868 | ||
| 2.087 | D | VFMC INTERNATIONAL EQUITY TRUST I | 29.275 | |||
| 2.088 | D | VFMC INTERNATIONAL EQUITY TRUST2 | 12.398 32.098 |
12.398 | ||
| 2.089 | D | VFMC LOW VOLATILITY EQUITY TRUST 1 | 32.098 | |||
| 2.090 | D | VFMC LOW VOLATILITY EQUITY TRUST 2 | 10.363 71.383 |
10.363 | ||
| 589 | D | VGV POOLFONDS PAI | 71.383 | |||
| 1.770 | D | VICTORY INTERNATIONAL FUND | 73.746 | 73.746 | ||
| 1.760 | D | VICTORY MARKET NEUTRAL INCOME FUNDFUND | 367.807 | 367.807 | ||
| 1.771 | D | VICTORYSHARES INTERNATIONAL VALUE MOMENTUM ETF | 408.126 | 408.126 | ||
| 1.764 | D | VICTORYSHARES INTERNATIONAL VOLATILITY WTD | 122.901 | 122.901 | ||
| ETFVOLATILITY WTD INDEX ETF | 20.184 | 20.184 | ||||
| 947 | D | VIDACAIXA, S.A. | ||||
| Legenda: | 396.220 | 396.220 | ||||
D: Delegante
62 Pagina

14/05/2025
ENI S.p.A.
| Badge | THOISTC | |||
|---|---|---|---|---|
| Tipo Rap. | Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
| 2.469 | D | VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK | 1.479.483 | 1.479.483 |
| EQUITY INDEX FUND | ||||
| 2.470 | D | VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 158.385 | 158.385 |
| 1.919 | D | VILLIERS ALTO | 58.222 | 58.222 |
| 1.907 | D | VILLIERS CRESCENDO 2 | 342.845 | 342.845 |
| 1.921 | D | VILLIERS DIAPASON | 41.432 | 41.432 |
| 1.215 | D | VIRGINIA RETIREMENT SYSTEM | 1 | 1 |
| 1.194 | D | VIRTUS WMC INTERNATIONAL DIVIDEND ETF | 4.950 | 4.950 |
| 1.861 | D | VISION FUND-EUROPE CORE | 227.527 | 227.527 |
| 2.317 | D | VNL LP | 384 | 384 |
| 988 | D | VOYA BALANCED INCOME PORTFOLIO | 15.046 | 15.046 |
| 1.139 | VOYA INTERNATIONAL HIGH DIVIDEND LOW VOLATILITY | 181.231 | 181.231 | |
| D | ||||
| PORTFOLIO | 141.190 | 141.190 | ||
| 1.154 | D | VOYA INTERNATIONAL INDEX PORTFOLIO | ||
| 990 | D | VOYA VACS INDEX SERIES I PORTFOLIO | 186.303 | 186.303 |
| 1.877 | D | WALLON | 31.295 | 31.295 |
| 2.506 | D | WASATCH INTERNATIONAL VALUE FUND 50 | 10.400 | 10.400 |
| 2.230 | D | WASHINGTON STATE INVESTMENT BOARD | 853.960 | 853.960 |
| 2.231 | D | WASHINGTON STATE INVESTMENT BOARD | 1.158.563 | 1.158.563 |
| 50 | D | WASSMER HENRIETTE PAULA | 300 | 300 |
| 1.062 | D | WBW TRUST NUMBER ONE | 1.114 | 1.114 |
| 2.234 | D | WELLINGTON COMPOUND GROWTH, L.P. | 12.891 | 12.891 |
| 2.135 | D | WELLINGTON MANAGEMENT FUNDS (LUXEMBOURG) III | . 2.237 | 2.237 |
| SICAV | ||||
| 2.228 | D | WELLINGTON TRUST COMPANY, NATIONAL ASSOCIATION | 871.657 | 871.657 |
| MULTIPLE COMMON TRUST FUNDS TRUST INTERNATIONAL | ||||
| 986 | D | WESPATH FUNDS TRUST | 166.480 | 166.480 |
| 1.671 | D | WEST YORKSHIRE PENSION FUND | 500.000 | 500.000 |
| 1.398 | D | WHEELS COMMON INVESTMENT FUND. | 7.742 | 7.742 |
| 899 | D | WHITE FLEET IV - DIVAS EUROZONE | 898.064 | 898.064 |
| 798 | D | WIF-DWS OF EUROZONE SHORT EXT EQTY | 24.203 | 24.203 |
| 1.018 | D | WILMINGTON GLOBAL ALPHA EQUITIES FUND | 33.964 | 33.964 |
| 1.068 | D | WILSHIRE BRIDGEWATER MANAGED ALPHA MASTER FUND | 9.939 | 9.939 |
| LIMITED | ||||
| 1.038 | D | WINDWISE MSCI EAFE INDEX NON LENDING | 70.047 | 70.047 |
| 365 | D | WINTER THOR EPSV | 6.694 | 6.694 |
| 360 | D | WINTERTHUR EPSV EQUILIBRADO | 4.016 | 4.016 |
| 363 | D | WINTERTHUR EPSV PRUDENTE | 6.512 | 6.512 |
| D | WINTERTHUR II FONDO DE PENSIONES | 18.956 | 18.956 | |
| 295 | WINTERTHUR XI FONDO DE PENSIONES | 18.011 | 18.011 | |
| 368 | D | WISDOMTREE DYN CUR HDGE INTL EQ FD 1001802 | 117.485 | 117.485 |
| 955 | D | 23.319 | 23.319 | |
| 954 | D | WISDOMTREE GLOBAL HIGH DIV FUND 1001795 | ||
| 1.070 | D | WISDOMTREE INTL AI ENHANCE VALUE FD 1001808 | 7.539 | 7.539 |
| 1.071 | D | WISDOMTREE INTL EFFICENT CORE FD | 53.328 | 53.328 |
| 956 | D | WISDOMTREE INTL EQUITY FUND 1001810 | 137.213 | 137.213 |
| 957 | D | WISDOMTREE INTL HIGH DIV FUND 1001812 | 197.441 | 197.441 |
| 958 | D | WISDOMTREE INTL LARGECAP DIV FD | 215.911 | 215.911 |
| 2.235 | D | WISDOMTREE ISSUER ICA V | 54.110 | 54.110 |
| 1.712 | D | WM POOL - EQUITIES TRUST NO. 2 - VINVA | 4.271 | 4.271 |
Legenda:
D: Delegante
63
88961 114
14/05/2025
| oually | THUHIC Tipo Rap. |
Deleganti / Rappresentati legalmente | Ordinaria | Straordinaria | |
|---|---|---|---|---|---|
| 1.713 | D | WM POOL - EQUITIES TRUST NO. 38 - SCHRODER | 16.146 | 16.146 | |
| 1.377 | D | WM POOL - EQUITIES TRUST NO. 74. | 49.232 | 49.232 | |
| 1.360 | D | WM POOL - EQUITIES TRUST NO. 75. | 79.968 | 79.968 | |
| 1.914 | D | WORLD EQUITIES II | 35.479 | 35.479 | |
| 79 | D | WORLD TRADE ORGANIZATION PENSION PLAN | 20.381 | 20.381 | |
| 1.407 | D | WS CANLIFE EUROPEAN FUND | 371 | 371 | |
| 1.025 | D | WS GUINNESS GLOBAL ENERGY FUND | 146.237 | 146.237 | |
| 2.227 | D | WTCN COMMON TRUST FUNDS TRUST OPPORTUNISTIC | 4.734 | 4.734 | |
| EQUITY PORTFOLIO | |||||
| 2.336 | D | WWFY FOUNDATION | 332 | 332 | |
| 1.430 | D | WYOMING RETIREMENT SYSTEM | 9.449 | 9.449 | |
| 2.142 | D | XTRACKERS | 528.594 | 528.594 | |
| 2.406 | D | XTRACKERS (IE) PUBLIC LIMITED COMPANY | 981.618 | 981.618 | |
| 1.172 | D | XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 3.609 | 3.609 | |
| 1.092 | D | XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 13.749 | 13.749 | |
| 1.169 | D | XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 894.395 | 894.395 | |
| 1.164 | D | XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 92.340 | 92.340 | |
| 1.151 | D | XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 21.753 | 21.753 | |
| 1.083 | D | XTRACKERS MSCI KOKUSAI EQUITY ETF | 20.630 | 20.630 | |
| 786 | D | ZEDCO FD | 1.300 | 1.300 | |
| 428 | D | ZEPHYR - EUROPE EQUITY ESG OPTIMIZED | 27.000 | 27.000 | |
| 414 | D | ZEPHYR - OPTIMISED PLUS 1 | 28.949 | 28.949 | |
| 333 | D | ZEPHYR - OPTIMISED PLUS 2 | 40.327 | 40.327 | |
| 38 | D | ZIEGLER ROBERT | 418 | 418 | |
| 1.551 | D | ZOMA CAPITAL PORTFOLIO LLC. | 40.538 | 40.538 | |
| 1.617 | D | ZOMA FOUNDATION. | 7.565 | 7.565 | |
| 261 | D | ZURICH INVESTMENTS LIFE SPA | 151.300 | 151.300 | |
| 1.741 | D | ZURICH LIFE ASSURANCE PLC | 697.617 | 697.617 | |
| Totale azioni | 1.956.139.867 | 1.956.139.867 | |||
| 62.163517% | 62.163517 | ||||
| Totale azioni in proprio | 0 | 0 | |||
| Totale azioni in delega | 1.956.139.867 | 1.956.139.867 | |||
| Totale azioni in rappresentanza legale | 0 | 0 | |||
| TOTALE AZIONI | 1.956.139.867 | 1.956.139.867 | |||
| 62,163517% | 62,163517% | ||||
| Totale azionisti in proprio | 0 | 0 | |||
| 2.506 | 2.506 | ||||
| Totale azionisti in delega | |||||
| Totale azionisti in rappresentanza legale | 0 | 0 | |||
| TOTALE AZIONISTI | 2.506 | 2.506 | |||
| TOTALE PERSONE INTERVENUTE | 1 | 1 |
Legenda:
64 Pagina
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