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Eni

Pre-Annual General Meeting Information Jun 12, 2025

4348_10-k_2025-06-12_2df18bc8-27c2-44b0-ae11-b6fdc8ae6bd3.pdf

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

Convocazione di Assemblea Ordinaria e Straordinaria

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

Ordine del giorno

(parte ordinaria)

    1. Bilancio di esercizio al 31 dicembre 2024 di Eni S.p.A. Deliberazioni relative. Presentazione Bilancio consolidato al 31 dicembre 2024. Relazioni degli Amministratori, del Collegio Sindacale e della Società di revisione.
    1. Attribuzione dell'utile di esercizio.
    1. Modifica al Piano di incentivazione di Lungo Termine 2023-2025 (attribuzione 2025).
    1. Relazione sulla politica di remunerazione e sui compensi corrisposti: Sezione I - politica sulla reminerazione 2025
    1. Relazione sulla politica di remunerazione e sui compensi corrisposti: Sezione II - compensi corrisposti nel 2024.
    1. Autorizzazione all'acquisto di azioni proprie; deliberazioni inerenti e conseguenti.
    1. Utilizzo delle riserve disponibili a titolo e in luogo del dividendo 2025.

(parte straordinaria)

    1. Riduzione e utilizzo della riserva ex lege n. 342/2000 a titolo e in luogo del dividendo 2025.
    1. Annullamento delle azioni proprie da acquistare ai sensi dell'autorizzazione di cui al punto 6 all'ordine del giorno di parte ordinaria, senza riduzione del capitale sociale, e conseguente modifica dell'art. 5 dello Statuto sociale; deliberazioni inerenti e conseguenti.

1. Modalità di svolgimento Assemblea

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.

2. Legittimazione all'intervento e al voto in Assemblea

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
Sedi secondarie
Via Emilia, 1 e Piazza Ezio Vanoni, 1
20097 San Donato Milanese (Milanese (Mi)

Avviso di Convocazione Assemblea Ordinaria e Straordinaria 2025

3. Diritto di porre domande prima dell'Assemblea

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.

4. Integrazione dell'ordine del giorno e proposte di deliberazione su materie all'ordine del giorno dell'Assemblea

4.1 Integrazione dell'ordine del giorno e proposte di deliberazione su materie all'ordine del giorno dell'Assemblea da parte dei soci titolari di almeno il 2,5% del capitale sociale

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).

4.2. Proposte di deliberazione dei titolari di diritto di voto

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
Sedi secondarie
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. Deleghe al Rappresentante degli Azionisti designato dalla 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].

6. Possessori di ADRs

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.

7. Richiesta di informazioni e sito Internet della Società

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.

8. Documentazione informativa

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

F.to GIUSEPPE ZAFARANA

F.to GIUSEPPE ZAFARANA

F.to PAOLO CASTELLINI - Notaio

Elenco Intervenuti (Tutti ordinati alfabeticamente)

88961 54

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

88961 53

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

8896155

14/05/2025

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

14/05/2025

88961 (57

Assemblea Ordinaria/Straordinaria

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.

: 4

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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 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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

14/05/2025

88961 59

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

14/05/2025

88961/61

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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:

14/05/2025

Elenco Intervenuti (Tutti ordinati alfabeticamente)

88961 63

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti 8896165

14/05/2025

(Tutti ordinati alfabeticamente)

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

14/05/2025

Elenco Intervenuti (Tutti ordinati alfabeticamente)

8896164

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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:

88961 (q

14/05/2025

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

14/05/2025

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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:

D: Delegante

Radge

Elenco Intervenuti (Tutti ordinati alfabeticamente)

14/05/2025

Assemblea Ordinaria/Straordinaria

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

14/05/2025

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

14/05/2025

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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)

Assemblea Ordinaria/Straordinaria

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.

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

Elenco Intervenuti (Tutti ordinati alfabeticamente)

Assemblea Ordinaria/Straordinaria

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

F.to GIUSEPPE ZAFARANA

F.to PAOLO CASTELLINI - Notaio

Legenda:

64 Pagina

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