Declaration of Voting Results & Voting Rights Announcements • Jun 6, 2023
Declaration of Voting Results & Voting Rights Announcements
Open in ViewerOpens in native device viewer

APR. F a rece.35422
Oggetto : Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022
: 2018-06-04 11:42:43 来源: 2017-08-08 11:42:43
【字号: 2017-04-08 11:42:43 来源: 2017-08-08 11:00:00
【字号: 2017-04-08 11:00:00 【字号: 2017-08-08 11:00:00 【字号: 2017-08-08 11:00:00
【字号
-nº 3.537 azionisti,
ENEL S.p.A. . .
portatori di nº 6.579.671.263 azioni ordinarie, tutte ammesse al voto, pari al 64,717993% del capitale sociale.
| % su Azioni Ordinarie | ||
|---|---|---|
| Ammesse al voto | ||
| Favorevoli | 6.480.857.220 | 98,498192 |
| Contrari | 79.391.224 | 1.206614 |
| SubTotale | 6.560.248.444 | 99,704806 |
| Astenuti | 19.422.819 | 0,295194 |
| Totale | 6.579.671.263 | 100,000000 |
| Non votanti | 38.402.326 |
Ai sensi dell'art. 135-undecies del TUF non sono computate ai fini del calcolo della maggioranza e del capitale richiesto per l'approvazione della delibera numero 10.700 azioni.
Pagina. 1
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022
| FAVOREVOLI | |||||
|---|---|---|---|---|---|
| Badge | Ragione Sociale | Proprio | |||
| ୧୦୦୧ EOBO |
SCARAMUZZO PIERPAOLO | ୧୦ | Delega 0 |
Total 9 |
|
| eagi | COLLEONI ANGELO DI PAOLO LUIGI |
0 .25 ાં |
0 | ಗು . 2 ไ |
|
| 6139 | BONAFACCIA FAUSTO | ಟ 5 - 11.5 5 - 8.6.1 |
B 51 6 |
0 4.6 t |
|
| RA | COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART | 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO | 8 | 326 10 |
6.19 T |
| D** | BATTISTUTTI LORIS | 0 6.000 |
|||
| D** | CAMOZZI ETTORE | 00000 | - 000 T |
0 0 6.0 0 1. |
|
| D D |
CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA FORENSE | 2.417.000 S |
G 7.0 - 4 1 52 |
||
| D** | FONDO SCUOLA ESPERO - CRESCITA AZIONARIO MARCELLO DEL MAJNO LORENZO |
16.838 | ದ 6.8 T |
||
| D** | PASQUALUCCI GIOVANNI MARIA | 0 0 |
50 | 9 | |
| D** | POGGI GIANNI | 0 | 000 750 1. |
-00 3 ﻟﺴ T |
|
| D D |
RAIOLA EMANUELE | 1.300 | 30 โ |
||
| 6273 | SORBONE ALESSANDRO RUGIERO FLORICEL |
1.600 | 1.60 | ||
| 6275 | RENDINE ERMINIO | 262 | 0 | g ਟ |
|
| 6278 | BASILI SIMONE | 9.400 | - 40 б |
||
| 6290 | BELLAROTO FRANCESCO PAOLO | 6.531 9 430 |
o o a | ల్ . 43 . 5 9 б |
|
| ಲ್ಲಾ ಕಿತ | BONFITTO VALENTINA | 0 B p |
0 | 8 レ |
|
| 6328 | SOMASCHINI VITTORIO | 0 8 . 8 E |
0 | 8 8 3. |
|
| 6351 DE* |
AKTIV MIX ERTRAG GENTILUCCI LIVIO GENERALI |
0 | |||
| DE* | INVESTMENTS LUXEMBOURG SA GENERALI |
000000 | 2.461 | 2.46 | |
| DE+ | SICAV INVESTMENTS GENERALI |
76.002 | 80 76. |
||
| DE* | FUNDS SMART GENERALI |
645.054 | 645.05 | ||
| DE* | GIAM GENERALI INSURANCE ASSET MANAGEMENT | 30.000 | 30-00 | ||
| DE* | GIE ALLEANZA OBBLIGAZIONARIO | 0 | 10.994 551.860 ਟ |
210.99 | |
| DE* | AMERICA AZIONARIO FONDO ALTO GIE |
0 | 438.402 | ક ર 438.40 551. |
|
| DE* | GENERALI INVESTMENTS PARTNERS GIP |
143.628 | 143.62 | ||
| ed 2 J **D |
MORGEN AKTIEN GLOBAL UI TREVISAN DARIO |
G | |||
| **D | HANNOVERSCHEMAXINVEST | 20-000 | 20.00 | ||
| **D | UNIVERSAL IMW | 0 | 80.030 | 0.03 0 |
|
| **D | SENTIX TOTAL RETURN OFFENSIV | G | 51.072 | 1.07 S |
|
| **D | MEAG FLEXCONCEPT-EUROGROWTH | 0 | 88-000 | 8.00 8 |
|
| **D | MASTERINVEST KAPITALANLAGE GMBK | g | 14.547 | 14.54 | |
| **D | SENTIX RISK RETURN -A- | 138.299 | 138.29 | ||
| **D | HMT EURO SEASONAL LONGSHORT | 000 | 44.712 10.400 |
71 10.40 ਧ ਕੇ - |
|
| **D | WONI VERMOEGEN | 0 | 0.000 L |
10.00 | |
| **D | TIMM INVEST EUROPA PLUS | 0 | 571 8 - |
8.57 | |
| D D |
HMT GLOBAL OPTIMAL DYNAMICS VCH-UNIVERSAL-FONDS I |
0 | 00 20.01 |
20.00 | |
| **D | SELECTION RENDITE PLUS | 27.880 | 27.88 | ||
| **D | UNIVERSAL KMSF FONDS | 00 70.01 |
70.00 | ||
| **D | CANDRIAM BUSINESS EQUITIES SA | 20.000 851.005 |
20.00 851.00 |
||
| D D |
PENSION FUND HIGH EQUITIES BELFIUS |
2.682.798 | ర్ 2.682.7 |
||
| **D | BALANCED PLUS PENSION FUND LOW EQUITIES PENSION FUND BELFIUS BELFIUS |
310.743 | 310.74 | ||
| **D | SUSTAINABLE PLACE BELFIUS |
90 959.2 |
б 959.2 |
||
| **D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH ON | 0 | .008.160 0.000 15 - |
9 150.00 . 1 008 1. |
|
| Pagina 1 | |||||
| Azionisti: | Teste: 3.393 |
ਤੇ । | |||
| Azionisti in proprio: | Azionisti in delega: 20 |
3.373 | |||
EMARKET
SDIR certified ਨੇ 5 3 2007
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alla disposizione evoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| CURRENCY HEDGED FUND FUND - GLOBAL HIGH YIELD UTILITIES EQUITY FUND SI TRACKER EX SL EX TE TRADING TRACKER വട WORLD EX SWISS EQUITIES TRACKER INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER B SELECTION FUND - GLOBAL ULIFITIES EQUITY INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH W/INKA IN - EUROPEAN EX SWISS EQUITIES EUROPEAN EX SWISS EQUITIES AQR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL MADE IN ITALY EURO-AKTIEN DIVIDENDEN NON- INTERNATIONALE KAPITALANLAGEGESELLSCHAFT UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH UNION INVESTMENT INSTITUTIONAL GMBH ITALIA JRS-INTERNATIONAL-UNIVERSAL-FONDS PRIVATFORDS GMBH - CHANCE KAIROS INTERNATIONAL SICAV - KEY CLEAN ENERGY TRANSITION INVESTMENT GMBH DEAMM FONDS EXKLUSIV PORTFOLIÓ SICAV-AKTIEN EXKLUSIV PORTFOLIO SICAV-ERTRAG l - RENEWABLE ENERGY SICAV SICAV - l UNIVERSAL INVESTMENT GMBH - AKTIEN GLOBAL PICTET AND CIE SA START CONTROLLARS MISCORES HANNOVERSCHEMEDIUMINVEST PICTET GLOBAL SELECTION CH INSTITUTIONAL NIEVERGEIT PETER RUDOLF WAVE TOTAL RETURN FONDS INSTITUTIONAL INSTITUTIONAL AG OSTALB GLOBAL FONDS UNIVERSAL INVEST SICAV EURIZON EUROPE INDEX EURIZON PICTET-EUROLAND INDEX INTERNATIONAL KAIROS INTERNATIONAL BAYERNINVEST KVG MBH DELEN PRIVATE BANK STIFTUNGSFONDS AXA AXA UNION INVESTMENT ਤੇ 2 I MAXIMCHUK ALEXEY Ragione Sociale C+F GLOBAL LINE FLEX FLEX FLEX BIL GLOBAL PREVINDAI SVI alı svi ARGIMON VITAS CHEKALIN YURY BAYERNINVEST STOLL DANIEL 52INNA GABOR l l PREVINDAI CH CH PKG FONDS PREVINDAI PREVINDAI CH - - KIMURA YO l - DNB FUND DZEB II DZPB II DZPB II |
Delega Proprio |
130-000 0 |
24.000 0 |
80.083 0 |
483-837 0 |
334 62. 0 |
119.484 0 |
. 920 511 0 |
00 6.0 す 0 |
20.000 0 |
. 879 61 0 |
ਫ 694.70 P 0 |
80 ਰੇਤਰ ਦੇ ਤ ਟ O |
б б 5.579.3 0 |
500 27. 0 |
.268.081 t 0 |
0 110.00 0 0 |
925.000 401.000 T 0 |
.383 302 0 |
.967 333 0 |
34.376 0 |
50 1 000 |
- 560 1 |
6.000 | 5.138 P 0 0 |
. 000 472.000 క 0 |
. 000 す 0 |
5.400 0 |
23.200 0 |
240.772 0 |
572 50 0 |
256.512 0 |
264 201 . 0 0 |
050 86.164 -275. E |
812.110 0 |
74.000 0 |
381-378 0 |
212.190 0 |
.015 ਰ 8 8 8 0 |
76.949 0 |
294 460 . 0 0 |
.750 ਹ ਤੋ |
130.245 216.342 0 0 |
601.897 0 |
. 400 71 |
6 8 .937.0 11 |
0 ഹ 3.311.1 0 |
Pagina 2 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|

10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022
| FAVOREVOLI |
|---|
| Totale | 137.400 | 9-347 10 |
27.572-013 | 264.749 | 31 537.9 C |
ਦ ਦੇ ਹ 78 |
391 77 . |
67.161 | 539.047 | 92.549 | 130.727 | 150.400 | 151.648 | 120.000 | 350.000 | 568 39. |
154.693 | 36.605 | 393.425 | 11.349 | 541-449 2. |
662.223 | 538 20. |
388.606 | 64.094 | 900.264 | 509.250 6. |
200.375 | 676.780 2. |
77.987 | 448.511 | 159.177 b |
87-539 | 031.341 T |
177.908 | 33.397 | 93.456 | 191.9FE | 802.788 1 |
126.295 | 32.760 | g 8 469.8 |
484.080 | 10 889.79 1. |
747.826 | 71.813 | 59.223 | S 35.48 |
B 192.25 |
481.041 | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 137.400 | 09.347 દ |
013 572. 27 |
64.749 ਟ |
931 537. ਟ |
ਦੇ ਹ 78 |
391 77. |
67-161 | 539-047 | ਦੇ ਕੇ ਕੋ 92 |
130.727 | 150.400 | - 648 151 |
20.000 ไ |
350.000 | ਦੇ ਦੇ ਉੱਥੇ ਤੇ ਰੋ |
154.693 | 36.605 | 393.425 | 11.349 | .541.449 ਟ |
223 662. |
38 S 28 |
388.606 | 64.094 | 900 . 264 | 6.509.258 | 200.375 | .676.780 ਟ |
87 б 77. |
511 448 . |
.159.177 S |
539 7. B |
3 ব T .031. I |
177.908 | 397 33 . |
રે ર 93.4 |
. 191 ਤੇ ਕੇ ਰੋ |
8 8 1.802.7 |
S ರ 126.2 |
.760 32 |
୫ ୧ . 8 ਦ ਕੇ D |
-484.080 E |
5 . 79. 8 8 ਕੇ T |
747.826 | 71.013 | . 223 б S |
. 485 S ದ |
. 258 ১ 19 |
481.041 | |||
| Proprio | D | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | |||||||||||||||||||||||||||||||||||||||||||
| Pagina 3 | |||||||||||||||||||||||||||||||||||||||||||||||||||||
| FUND | EQUITIES TRACKER | UK FUND | JP MORGAN CHASE BANK, N.A. | FUND | ਤੇ । 3.373 |
||||||||||||||||||||||||||||||||||||||||||||||||
| - GLOBAL INCOME STOCK FUND | - GLOBAL UTILITIES EQUITY | (LUX) - ACCESSIBLE CLEAN ENERGY | - MORLD EX SMISS SUSTAINABLE | A | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH W/INKA F100 W/S200 | - WORLD EX SWISS EQUITIES TRACKER US TE | - BAEREDYGTIGE AKTIER KL | EX | FUND | OF | FUNDS-FIDELITY GLOBAL ENHANCED INCOME FUND | ||||||||||||||||||||||||||||||||||||||||||
| SELECTION FUND | FUND SELECTION |
GLOBAL MEGATREND SELECTION GLOBAL EQUITIES |
ORGANIZATION PENSION PLAN | POOL POOL-GLOBAL EQUITY |
FUNDS | GLOBAL OPPORTUNITIES | GMBH W/DEAM-FONDS BBR 1 | 50 | 2 AST WELT |
2 ESG AST |
NORDEA INVEST | F.M. KIRBY TRUST DATED 1/3/1975 F/B/O FR | EUNDS - EIDELITY INDEX EUROSE | ABSOLUTE RETURN FUND | LABOR FUNDS-LABOR INSURANCE FUND | FUNDS INVESTMENT |
VOOR HUISARTSEN | GLOBAL BROAD INFRASTRUCTURE INDEX | UNIVERSAL | BUREAU OF LABOR FUNDS-LABOR PENSION FUND | PRICE INTERNATIONAL EQUITY INDEX TRUST | PENSION TRUST FUND (EAFE EQUITY INDEX) | PENSION INSURANCE FUND | INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX | MASTER TRUST COMPANY |
EQ/AB DYNAMIC GROWTH PORTFOLIO l |
T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | SUSTAINABLE SELECTION BALANCED FUND | - LABOR RETIREMENT FUND FUNDS |
NEW YORK STATE COMMON RETIREMENT FUND | LIVSFORSIKRING A/S | SELECTION GROWIN FUND | EQUITY FUND GLOBAL FONDS l |
3.393 | Azionisti in delega: Teste: 20 |
||||||||||||||||||
| Ragione Sociale | EXKLUSIV PORTFOLIO SICAV-WACHSTUM | GLOBAL PICTET |
GLOBAL PICTET |
INDEX GLOBE l IF IST |
CH - l PICTET PICTET |
WORLD TRADE | SPARINVEST | CAPITAL QUAERO |
ASSET - MULTI PICTET |
CK INSTITUTIONAL PICTET |
DWS INVESTMENT | RAIFFEISEN INDEX FONDS -EURO STOXX | FUND XUE SE |
INSTITUTIONAL CH PICTET |
FUND-AKTIEN AVADIS |
FUND-AKTIEN WELT AVADIS |
INVESTERINGSFORENINGEN | SICAV SANTANDER |
INVESTMENT FIDETITY |
DIVERSIFIED FULCRUM |
BUREAU OF | STANLEY MORGAN |
PENSIOENFORDS STICHTING |
STOXX FLEXSHARES |
PENSION FOVERUKA |
SPA INKA | ROWE r. |
COMMINGLED | NATIONAL | INVESTMENT FIDELITY |
VANGUARD | TELEPHONE RICO PUERTO |
EQ ADVISORS TRUST | MISSOURI EDUCATION PENSION TRUST | EUND PENSION TET |
NORDEA | LABOR OF BUREAU |
UNIVERSITIÉS SUPERANNUATION SCHEME | SAMPENSION | JEFFREX ITC | INVESTERINGSFORENINGEN PFA INVEST | SUSTAINABLE NORDEA |
DISCRETIONARY - UNIVERSAL NORDEA MAIN I |
げ | |||||||||
| Badge | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
Azionisti in proprio: Azionisti: |
EMARKET
SDIR
GRTIFFE
Justical
1
้ม
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'a disposizione di azioni proprie, previa revoca dell'autorizzazione enferita del 19 maggio 2022 FAVOREVOLI

10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall' Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale 191.529 529 |
425.164 | 106.511 | 21.344 344 |
123.045 993.869 |
25.477 | 146.518 | 133-350 | 256.664 47.382 |
6.903 | 180.074 E |
464.493 3 |
6.299 914.944 ర్ ర్ |
279.891 9. L б |
37.595 ഗ ರಿಗ |
.126.129 6 ไ 6 9 |
1.401.356 009.024 T |
33.236 7. |
7.851 .851 |
୨୫୧ 169. 9 |
4.248 0 |
133.792 117.352 |
6-916 | 98.953 | 126.940 119.047 . 047 |
11.789 б |
9 60.30! m |
21.213 | 167.252 1.743.520 C |
32.249 б |
1.529-416 | 90.758 ਨ B |
000 142.241 00. 3 |
269.105 S 18 |
248 ರಿ 0 |
1.062.027 | . 094 5 48 б ਣ ਤੋ ১ 4 0 94 |
. 126 ପ |
31-567 | .169 33.807 б 9 |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 91 T 0 0 |
425.164 | 106.511 | 21. | 123.045 993.869 0 |
25.477 | 146.518 0 |
133.350 0 0 |
256.664 47.382 0 |
6.903 0 |
3.180.074 0 |
914.944 464.49 0 0 |
6.2 0 |
. в . 279 ਰੇ 0 |
37.5 0 |
.126.12 б ﺎ ﺎ 0 0 |
.009.024 .481.35 ໄ 0 |
333.236 7. 0 |
ట 0 |
. அச । ਦੇ ਰੇ 0 |
. 24 P 0 |
133.792 117-352 0 0 |
6.916 0 |
8.953 б 0 |
126.940 119 0 0 |
11.78 0 |
. 30 ୧୦ 0 |
21.213 0 |
.743.520 167.25 T 00 |
32.24 0 |
529.416 T C |
290.75 0 |
00.000 142.241 E |
269.: 00 |
9 - 24 0 |
62.027 ਉ T 0 |
423.548 29. 0 0 |
8.126 0 |
31.567 0 |
9.169 33.807 9 0 0 |
|||
| Propri | ||||||||||||||||||||||||||||||||||||||||||
| Pagina 5 | ||||||||||||||||||||||||||||||||||||||||||
| SHELL CONTRIBUTORY PENSION FUND | AANDELEN FONDS | SOCIETY LIMITED RETIREMENT BENEFITS SCHEME | 31 | 3.373 | ||||||||||||||||||||||||||||||||||||||
| MORNINGSTAR GLOBAL LISTED INFRASTRUCTURE (HEDGED) FUND | YORK | FÜND | INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER | EIGENAAR ASR DUURZAAM WEREIDWIJD | INVEST GLOBALE UDBYTTEAKTIER KL | FULCRUM ENERGY-INFRASTRUCTURE-RENEWABLES FUND SP | EQUITY INDEX FUND | CORE EQUITIES | Azionisti in delega: | ||||||||||||||||||||||||||||||||
| SBB | SCHRODER GLOBAL ACTIVE ALLOCATION FUND VOLTAIRE HOLDINGS LLC |
RELIBEMENT SYSTEM OF THE CITY OF NEW | INVESTERINGSFORENINGEN NORDEA INVEST AKTIER KL | PENSIONS TRUST LIMITED AS TRUSTEE OF | ROWE PRICE CONCENTRATED GLOBAL EQUITY | VANGUARD INTERNATIONAL SHARES INDEX FUND | CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | F. M. KIRBY FOÜNDATION INC. | FIDELITY INVESTMENT FUNDS - FIDELITY EUROPEAN FUND | FIDELITY EUROPEAN TRUST PLC | T. ROWE PRICE FUNDS OEIC - GLOBAL SELECT EQUITY FUND | INTERNATIONAL EQUITIES FUND | SUSTAINABLE SELECTION RETURN FUND | PASSIVE FUND FUND MULTI-FACTOR EUROPEAN |
90 FUND STRATEGA |
INVESTERINGSFORENINGEN SYDINVEST | INTERNATIONAL EQUITY FUND | THORCAN FUND III ICAC-JEM DIVERSIEIED GROMIH FORD | FINANCIAL LIFE INSURANCE COMPANY | FORSIKRINGSAKTI CSPISKAB | VERDIPAPIRFONDET NORDEA GLOBAL | KYBURG INSTITUTIONAL FUND - AKTIEN WELL | INVESTERINGSFORENINGEN NORDEA | SPC - | CRÍTÉRÍA INDEX EUROPA |
NATIONAL FARMERS UNION MUTUAL INSURANCE INTERNATIONAL |
INTERNATIONAL | ICVC - JPM MULTI-ASSET INCOME FUND | NORDEA GENERATIONSFOND SENIOR | Teste: 3.393 |
20 | |||||||||||
| Ragione Sociale VALENCIA INKA |
PENSIONSKASSE | TEACHERS . | PE2 | AUSTRALIANSUPER SHOLL |
DELTA MASTER TRUST | : Fi | PT-VISION PTV2 |
JPMCBNA | TF-EQUITY | DI EQUITY | MACQUARIE | NORDEA | MACQUARIE NORDEA |
NORDEA | STRATEGIC | EQUITABLE | PER PENSION SUEWAG G55 |
LEW FSS | EQUINOR PENSJON | STICHTING JURIDISCH | FULCRUM FUNDS | HANDELSBANKEN | ROWE PRICE T. |
WHOLESALE SRI | JPMORGAN FUND | ENVIA 178 | Azionisti: | Azionisti in proprio: |
238
EMARKET
SDIR certified Q ದ
10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dell'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| D D |
MAINSTAY CBRE GLOBAL INFRASTRUCTURE MEGATRENDS FUND JPMORGAN INCOME BUILDER FUND |
0 J |
84.084 8 ਟ T |
84.084 B 2. 1 |
| **D | SO-TAL GENERATIONSFOND NORDEA |
0 | 695 120.6 36. 8 б 9 |
.031 б 8 6 |
| **D | I BUMA-UNIVERSAL-FONDS |
ਰੇ ਦ റ് 9 63 |
||
| **D | VERDIPAPIRFONDET NORDEA FLAN VEKSTORIENTERT | 0 G |
113 744 49. 16. |
.113 6-744 б 4 ไ |
| **D | GENERATIONSFOND 80-TAL NORDEA |
0 | 20 - E |
|
| **D | UI-FONDS BAV RBI AKTIEN | 0 | 531 6.061 9 B |
320-531 66.061 B |
| **D | TILT INDEX FUND FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR |
0 | 125 ਰੇ . 9 ાં |
169.125 |
| **D | BALANSERT PLAN NORDEA VERDIPAPIRFONDET |
0 | 827 ട് ਟ |
5.827 ਟ |
| **D | FUND VANGUARD TOTAL INTERNATIONAL STOCK INDEX |
0 | 88 d . 833. 102 |
884 өзэ 102 |
| **D | FORD PASSIVE GLOBAL NORDEA |
0 | 847 94 . ১ |
94.847 ਨ |
| **D | INDEKS KL GLOBALE AKTIER INVEST INVESTERINGS CORENINGEN NORDEA |
0 | 330 74. |
.330 74 |
| **D | KL II INVESTERINGSFORENINGEN NORDEA INVEST AKTIER |
0 | 843 7. T |
- 843 17 |
| **D | NO KONSERVATIV БІЧАН VERDIPAPIRFONDET NORDER |
0 | 502 ന |
. 502 B |
| **D | ENHANCED EQUITY II) OF JPMORGAN CHASE BANK, N.A. RESEARCH COMMINGLED PENSION TRUSI FUND (INTERNATIONAL |
0 | તેમ જ દૂધની 26. 1 |
26.986 œ |
| **D | EPS | 0 | 115.437 | 115.437 |
| **D | EMBO-FONDS | 0 | 028 209. |
8 - 02 б 20 |
| **D | FUND NORDEA WORLD |
0 | .273.676 L |
1.273.676 |
| **D | GLOBAL DIVIDEND FUND NORDEA |
0 | .902.254 ಗ್ರಾ |
3.902.254 |
| **D | FIDELITY INDEX MORID FUND INVESTMENT FUNDS - FIDELITY |
0 | 07.233 б |
907.233 |
| **D | VERDIPAPIRFONDET NORDEA PLAN OFFENSIV | 0 | ਰੇ ਕੇ ਪੈ 52 . |
. 994 52 |
| **D | DYNAMIC INDEX FUND INTERNATIONAL QUALITY DIVIDEND FLEXSHARES |
0 | 53.259 | 53.259 |
| **D | UI-E | 0 | 726 0. 9 |
60.726 |
| **D | STICHTING SHELL PENSIOENFORDS | 0 | 377 401 . |
-377 401 |
| **D | INDEX FUND DIVIDEND DEFENSIVE INTERNATIONAL QUALITY FLEXSHARES |
0 | 205 26. |
26.205 |
| **D | AKTIEALLOKERING NORDEA |
0 | 503 302 . |
302.503 |
| **D | A/S & LIVSFORSIKRING PENSION VELLIV, |
0 | 120 17. |
17.120 |
| **D | 60-TAL GENERATIONSFOND NORDEA |
G | 424 .524 . I |
. 424 ਦੇ 2 ਕ 1 |
| D D |
DAIDO LIFE FOREIGN EQUITY MOTHER FUND EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO TRUSTEE FOR LTD. AS TRUST MASTER THE |
0 | ਰੇ 7 ಗು 9. 18 |
189-597 |
| **D | JAPAN, OF eank |
0 0 |
103 ব . |
-103 বা |
| EOND ALLOCATIONTV4 MOTHER ASSET GLOBAL |
ਉ ਰੇ ਟ m |
3.289 | ||
| **D | AKTIER VAERDIPAPIRFONDEN NORDEA INVEST PORTEFOLJE |
0 | 877.841 | 877.841 |
| **D | NORDEA AKSJER VERDEN VERDIPAPIRFONDET |
0 | 08 8 22. |
22.800 |
| D D |
FUNDS JPMORGAN |
0 | 87 ದ 38. t |
138.387 |
| FUND PAN EUROPEAN HIGH DIVIDEND YIELD STOCK MOTHER DAIWA |
0 | 9.990 T |
19.990 | |
| D D |
GENERATIONSFOND 70-TAL STATE OF WYOMING NORDÉA |
0 0 |
597.933 | 597.933 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 56 ਰੇ ਪ 494 . 8 8 ਤੋਂ ਵ |
494.856 | |
| **D | STATE INVESTMENT COUNCIL MEXICO NEW OF STATE |
422.895 S |
422.895 815.590 |
|
| **D | FUND PLUS MOTHER ASSET MULTI GLOBAL |
0 | . 618 ī |
1.618 |
| **D | GLOBAL ACTIVE VALUE FUND QEP SCHRODER |
ਦੇ ਤੋਂ 2 ਤੋਂ ರಿ 12 |
129.532 | |
| **D | PORTFOLIO DYNAMIC MODERATE GROWTH EQ/AB l TRUST ADVISORS ಡಿನಿ |
0 | 206.446 | 9 206.44 |
| **D | INTERNATIONAL RESEARCH OPEN MOTHER FUND Dr |
482.958 | 8 82.95 प |
|
| **D | EQUITY INDEX MOTHER FUND GLOBAL SHINKO |
0 | 1.798 | 0 . 79 દ |
| **D | FOND ALLOCATION GLOBAL JPMORGAN |
0 | 00 ટે હ 2 S |
.568 ਦ ਨ |
| **D | INDEX FUND INTERNATIONAL NATIONWIDE |
0 | 560.961 | 560.961 |
| **D | & ANNUITY CORPORATION INSURANČE LIFE YORK NEW |
0 | 22.567 | 22.567 |
| **D | GERANA SICAV-SIF, S.A. | 0 | 209 137. |
137.209 |
| **D | F M KIRBY TRUST DATED 1/3/75 FBO JEFFERS | 0 | 11.833 | . 83 11 |
| **D | MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 82 17.0 |
ਟ 17.08 |
|
| ragina 6 | ||||
| Azionisti: | 31 Teste: 3 393 |

3 373
Azionisti in delega:
20
Azionisti in proprio:
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | FUND TM FULCRUM INCOME |
0 | 6.803 | 6.803 |
| D D |
PORTFOLIO EQ/A8 DYNAMIC AGGRESSIVE GROWTH PENSION SYSTEM FIRE । DALLAS POLICE AND TRUST EO ADVISORS |
0 | 670 36 I |
136.670 |
| **D | FUND PRICE INTEGRATED GLOBAL EQUITY ROWE . E |
09 9.0 p |
49.009 | |
| **D | FUND EQUITIES BAILARD INTERNATIONAL NATIONWIDE |
13.200 | 13.200 | |
| **D | D ട്. DATED 1/3/75 F/B/O TRUST F.M. KIRBY |
00 29.179 200.0 |
200.000 | |
| **D | INSURANCE COMPANY LIMITED CHINA LIFE |
0 | 160.900 | 29.179 160.900 |
| **D | BBP INKA | 54.418 | 54.418 | |
| **D | FUND - CONTINENTAL EUROPEAN EQUITY ROWE PRICE FUNDS OEIC T. |
14.484 | 14.484 | |
| **D | NORDEA LIV NORGE AS LIVSEORSIKRINGSSELSKAPEL |
0 | 315 16. |
16.315 |
| **D | UI-PAVO-100 | 0 | .800 362 |
362.800 |
| **D | FUND SELECTION MODERATE SUSTAINABLE NORDEA |
0 | 17.361 | 17.361 |
| **D | SICAV- FIS INSTITUTIONAL INVESTMENT FUND, NORDEA |
0 | 84.387 | 84.387 |
| **D | FUND ENHANCED NORDEA GLOBAL |
0 | S .72 ਰੇ ਹੈ। |
725 991. |
| **D | KI INVEST EUROPE ENHANCED NORDEA INVESTERINGSFORENINGEN |
0 | 139.799 | 139.799 |
| **D | REAL ASSETS LIMITED GLOBAL CORE JPMORGAN |
0 | 22-608 | 22.608 |
| **D | RESEARCH ENHANCED INDEX EQUITY FUND (EX-UK) JPM EUROPE l ICVC FÜND J PMORGAN |
0 | 88.535 | ਦ ਤੇ ਤੋ 88. |
| **D | ENERGY PORTFOLIO EO/WELLINGTON l TRUST EO ADVISORS |
0 | B 102.49 |
102.498 |
| **D | INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
0 | 6.277.123 | .277.123 9 |
| **D | INFRASTRUCTURE PORTFOLIO GLOBAL CBRE y B MAINSTAY |
0 | 126.001 | 26.001 |
| * * D | INC. INVESTMENTS. PGIM STRATEGIC |
0 | 9.521 | 521 6 |
| **D | SAS TRUSTEE CORPORATION POOLED FUND | 0 | 816.792 | 792 16. 8 |
| **D | LIQUID ALTERNATIVES FUND FULCRUM DIVERSIFIED TM |
0 | 7.502 | 502 1 |
| **D | FUND EUROPEAN SHARE BT |
G | 199.042 | 99.042 L |
| **D | NORDEA SUSTAINABLE EQUITIES GLOBAL FUND | 0 | 345.701 | 345.701 |
| * D * |
EQUITY FUND RESEARCH ENHANCED INTERNATIONAL JPMORGAN |
0 | .620.153 2 |
.620-153 ਟ |
| **D | SUSTAINABLE INFRASTRUCTURE FUND JPMORGAN |
O | ਰ 93 ਤੋ 18. |
18.993 |
| **D | ROBIN I-FONDS | C | 1 ടല 66. 2 |
501 ୧୧ ट |
| **D | INTERNATIONAL SELECTION FUND SCHRODER |
0 | S 208.66 ไ |
S ୧୧ 88 ਟ ﺎ |
| **D | (UNHEDGED) MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND |
0 | g 10 726 |
108 726. |
| **D | TRPH CORPORATION | 0 | 8 ਦ 9 4 . |
ടക്ക 4 . |
| D |
FUND - AQR INTERNATIONAL DEFENSIVE STYLE AQR FUNDS |
0 | 30.046 | 30.046 |
| * D ->< |
INDEX FUND LIC INTECH GLOBAL ALL COUNTRY ENHANCED |
0 | 7.492 | 7.491 |
| **D | SUSTAINABLE INFRASTRUCTURE ETF JPMORGAN |
0 | ୧୫ ସ 2 B |
8.681 2 |
| **D | 3 AKTIER 3 GLOBALE PSI INVEST, KAPITALFORENINGEN PENSAM |
0 | 61-18 ਖੇ |
461.618 |
| **D | EQUITY FUND RESEARCH ENHANCED INDEX GLOBAL יפא ICVC - JPMORGAN FUND |
0 | 15.669 H |
ਦ ਦਰ 115. |
| **D | T. ROWE PRICE AUSTRALIA LIMITED | 0 | 073 19 - |
. 073 19 |
| **D | F/B/O ALIC KIRBY TRUST DATED 1/3/75 F . M - |
0 | 18.618 | 18.618 |
| **D | FUND EQUITY ROWE PRICE INTERNATIONAL VALUE T. |
0 | 130 278. 8 I |
130 .278. 8 L |
| **D | । ਦ STRATEGA NORDEA |
0 | 53.942 | 942 m 5 |
| **D | STRATEGA 70 NORDEA |
0 | 743 36. 3 |
-743 ਤੇ ਤੇ ਇ |
| **D | ETF CALVERT INTERNATIONAL RESPONSIBLE INDEX |
465 18. |
18 - 465 | |
| **D | 경 | 250.879 | 250.879 | |
| **D | STRATEGA 50 NORDEA |
242.392 | 242-392 | |
| **D | SHELL OVERSEAS CONTRIBUTORY PENSION FUND THE OF TRUST (BERMUDA) LTD AS TRUSTEE SHELL |
0 | 062 40. |
48.062 |
| **D | HOBART FAMILY INVESTMENTS LIC | 0 | 62.172 | 62-172 |
| **D | EUROPEAN STOCK FUND ROWE PRICE T. |
0 | .748.563 ਟ |
. 563 .748 ঠ |
| **D | NVIT INTERNATIONAL INDEX FUND | g | 44 . 440 1 |
44.440 1 |
| **D | STRATEGA 30 NORDEA |
130 08. E |
. 130 8 0 E |
|
| **D | FUND WORLD PASSIVE NORDEA |
0 | 164 54 - I |
154.164 |
| Pagina 7 | ||||
| Azionisti. | 31 Teste: ਤੋਂ ਤੇ ਰੋਤ |
|||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |
|||

Llel
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquizione di azioni proprie, previa revoca dell'antorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| 1.105.481 Badge **D |
Proprío CUSTODY BANK OF JAPAN, LTD. AS TRUSTER & BANKING CO., ID. AS TRUSTER FOR INTERNATIONAL EQUITY PASSIVE Ragione Sociale |
Delega | Totale 1.105.481 |
|---|---|---|---|
| **D | KL N INVESTERINGSFORENINGEN NORDEA INVEST BASIS |
. 25 32 |
32.250 0 |
| **D | 0 TRUST HYBRID PRICE RETIREMENT ROWE |
192 .437. t |
ਰੇ 2 ໄ . 437 |
| D D |
0 PORTFOLIO EQUITY INDEX - EQ/INTERNATIONAL TRUST ADVISORS ്ലേ |
200 - 445 - I |
200 S . 4 4 t |
| **D | ਤੇ Ki BASIS INVEST MODERAT NORDEA PLAN NORDEA INVESTERINGSFORENINGEN VERDIPAPIRFONDET |
313 124.458 20. |
- 458 20.313 24 t |
| **D | 0 LIMITED PARTNERSHI GLOBAL EQUITY PROVEDA |
ਰੇ ਤੇ ਦ E |
રે ર б ಕ |
| **D | 0 TRUST EQUITY VALUE INTERNATIONAL PRICE T. ROWE |
457 ഗ E 8 L L |
57 . 4 ഹ 8 ਤੋ ﻟ ﺎ |
| **D | 0 FUND DIVIDEND GLOBAL FIDELITY l FUNDS INVESTMENT FIDELITY |
05.000 . 2 0 |
00 . Q S .20 00 |
| **D | KT ব BASIS INVESTERINGSFORENINGEN NORDEA INVEST |
102 8 - E |
02 . 1 0 ದ |
| D D |
L.P. PORTFOLIO, FÜND VALUE DIVERSIFIED GROWTH MULTI-CAP GLOBAL SCHRODER SCHRODER |
ਦ ਤੇ ਤੋਂ 0 ਟ |
રે રે பு 8 N |
| **D | FUND MOTHER INDEX STOCK FOREIGN |
223 4 . 57. S 1 |
. 223 ટ વૈ |
| **D | MOTHER FUND (RISK CONSTRAINED TYPE) TV3 ALLOCATION GLOBAL ASSET |
140 891 8 |
.891 .140 357 B |
| **D | TRUST RETIREMENT PLANS MASTER EMPLOYEE COMPANY THE BOEING |
315.460 | 315.468 |
| **D | SEB TRYGG LIV LIVFORSAKRINGSAKTIEBOLAGET GAMLA |
432 б 9 |
9.432 9 |
| **D | FOND MOTHER ASSET MOLETT HORLD |
142 6. |
6.142 |
| D D |
SECURITY INC. INSTITUTION FOR SOCIAL INVESTMENT, FOREIGN PRICE THE PUBLIC ROWE 1. |
ેટર ર ਰੇ ਖੋ . . 0 โ |
. 926 . 094 ໄ |
| 0 女女 |
0 NORDEA AVTALSPENSIONSFOND MIDI |
060 ਦੇ ਤੋ ന്ന 0 |
60 . 0 క |
| **D | EUROPA AKTIÉFOND AMF |
0.456 S 8 5 8 ਟ |
53 g 5 g . 4 8 50 0 B ਟ |
| **D | SUSTAINABLE INDEX FUND EQUITY EUROPE ACTIAN |
100 9. ಕ ਟ |
8 239.10 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA | ਦੇ ਕੇ ਪੋ б 8 1 |
9.644 78 |
| **D | 2028 VALORE GLOBALE РІСРАС ANIMA |
400 ไ ไ |
. 400 11 |
| **D | MEAG MM-FONDS 100 | 340 13. |
3.340 T |
| **D | Бу CROISSANCE FCP AVENIR |
970 14. |
14.970 |
| **D | ZWITSERLEVEN DUURZAM INDEX AANDELENFONDS EUROPA l INSTILLINGTONETE BELEGGINGSEONDSEN ZWITSERIEVEN |
ਦੇ ਕੇ ਤੋ 51. T |
ਦ ਕੇ ਦ 151. |
| **D | I ERAFP ACTIONS PAB EURO |
414 ന 0 T |
. 414 108 |
| D D |
S.P.A SGR CAPITAL MANAGEMENT GLOBALE ANIMA VALORE AZIMUT |
000 501 711. 82. S |
. 000 582.501 711 |
| **D | 2 DIVERSIFIE FCP IRCOM RETRAITE |
eoo б ഗ |
59.600 |
| **D | 2 MIX BANCOPOSTA |
ਤੇ 0 8 8 b |
30 8 B A |
| **D | DEAM FONDS ATZM | 000 8. D |
.000 B ਕਾ |
| **D | RENEWABLE INFRASTRUCTURE FUND KAYNE ANDERSON |
443.747 | 443.747 |
| **D | EUROPÉES AANDELENFONDS - ZWITSERLEVEN SMILSERLEVEN BELEGGINGSFORDSEN |
.325.610 ਟ |
.325.610 ਟ |
| **D | SYCOMORE SELECTION RESPONSABLE | 410 879 |
879.410 |
| D D |
ACTIONS ÉURO ACTIAM BF ASIFEW K FCP KLESTA |
22.406 | . 406 22 |
| **D | RETRAITE EURO FCB KLESIA K |
୧୫ ନ 629 ব - 31. б . 3 5 |
б S - ୧୫ . 62 31 ਤੇ ਕੇ ਖੋ 2. |
| **D | SECULAIRE LE |
50 t ਟ |
0 S โ ਟ |
| * * D | FRANCAISE GREEN TECH EUROPE LA |
242 209. |
209.242 |
| **D | INKA SAEV MASTERFONDS |
243 402. |
402.243 |
| **D | CROISSANC РОСКЕТ LORENTZ |
24 ө โ ಗ |
. 824 31 |
| **D | MS-B HAUPFONDS OF BEHALF UNIVERSAL-INVESTMENT CSSEMBSCHAET MBH ON |
224.782 | .782 224 |
| D D |
UNIVERSAL-OCO OF BEHALF ON мвн UNIVERSAL-INVESTMENT-GESELLSCHAFT |
522 5 - ਪਾ |
45.522 |
| **D | STICHTING AROLD DELHAISE PENSIOEN MEAG EUROERTRAG |
370.879 -417 B B ī |
370.879 188.417 |
| **D | INCLUSIVE JOBS SYCOMORE |
40 ਰੇ 217. |
0 217.94 |
| **D | ONIVERSAL-INVESTMENT-GESELL SCHART, WHE ON REHATS OF HML CLOBAL ARTIEN INFRASTRANCIAL | 00 90-0 |
0 90.00 |
| 8 Pagina |
|||
| Azionisti; | 31 · Teste: 3.393 |
LUZ
EMARKET
SDIR certified
3.373
Azionisti in delega:
20
Azionisti in proprio:
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisione di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| 28.81 ರೆ ೧ ഹ .21 4 O 0 ਕਾ ไ ਨ T ਟ T ﺎ T L .7 ਖੋ б t b L d C E T L ਟ I ਟ T ਟ N ਟ L . 673 .405 8.976 740 000 500 000 045 00 175 878 ਰੇ ਦ 00 28.018 . ୧୧: 50.000 130.000 62 . 324 .049 0 260-776 . 514 857 0 957 . 565 a 15 030 900 615 8 244 0 354 401 . 616 -672 342 157.541 122 0 57.326 345.066 185.000 .050 . 460 911 63.194 00 40 00 1 26.15 . O 9.4 9 - S 280. 520. 98. ਰੇ ਤੇ . 1 0. 476. 65 . 17. 113. 186. 844 - .763. 276 118 970 90 15 5 0 11 0 0 ਟ ਨ 211 8 б .218 4 95 T 15 134 798 01 ਤੇ ਕੇ ਕ el d ਪੈ ਤੇ 8 ಕ E ਟ ਪ 4 0 8 ਟ P P T б ব प ਟ . 6 ਟ 1 ਡ ਟ ໄ ਟ L T ਟ N ਟ I 0 0 0 0 0 0 0 0 0 G 0 0 0 0 0 0 0 0 0 0 0 0 0 0 g 0 0 0 0 0 0 0 0 0 0 0 0 COMMERZBANK FLEXIBLE ALLOCATION EUROLAND Pagina 9 HMT EURO AKTIEN VOLCONTROL HMT EURO AKTIEN PROTECT 90 BAYERISCHER PENSIONSFONDS VSTBH-UNIVERSAL-FONDS 12 UNIVERSALFONDS FEHO-UNIVERSAL-FONDS ARSD-UNIVERSAL-FONDS WMB-UNIVERSAL-FONDS EPOTIF MASTERFONDS COLUMBUS FONDS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND 3.373 ਤੇ I вні b L. OF OF UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF OF BEHALF OF OF UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL-INVESTMENT-GESELLSCHAFT MBK ON BEHALF OF OF MBH ON BEHALF OF OF KAYNE ANDERSON RENEWABLE ENERGY TRANSITION FUND, UNIVERSAL-INVESTMENT-GESELLISCHAFT MBH ON BEHALE BEHALF BEHALF BEHALF BEHALF UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALL Azionisti in delega: FOND AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD FANDS HENDERSON GLOBAT EQUITY INCOME FORD ON мвн ол ON MBH ON UNIVERSAT-INVESTMENT-GESELLSCHAFT MBH ON HUMAIN ırı CARILLON CLARIVEST INTERNATIONAL STOCK ACTIAM DUURZAAM EUROPEES AANDELENFONDS мвн UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH AZ ALLOCATION GLOBAL INCOME ANIMA PICPAC ESALOGO BILANCIATO 2025 GAS MORKS PENSION PLAN AZ FUND 1 AZ ALLOCATION DYNAMIC FOF FUND 1 CGM OPPORTUNISTIC GLOBAL UNIVERSAL-INVESTMENT-GESELLSCHAFT UNIVERSAL-INVESTMENT-GESELLSCHAFT UNIVERSAL-INVESTMENT-GESELLSCHAFT LA FRANCAISE ACTIONS EURO CAPITAL UNIVERSAL-INVESTMENT-GESELLSCHAFT Teste: AMERICAN HEART ASSOCIATION, INC. HENDERSON HORIZON EUROLAND FUND 2 PRAXIS INTERNATIONAL INDEX FUND ACTIONS EQUITY ALL COUNTRY ANIMA TARGET VISCONTEO 2024 GLOBAL ALBUS FUND OPPORTUNITIES 20 EQUITY EUROPE ਤੋਂ ਤੇਰੇਤ BANCOPOSTA AZIONARIO EURO DNCA INVEST VALUE EUROPE FCP CNP ACTIONS EUR.FID. ANIMA INIZIATIVA ITALIA EQUITY INCOME ERAFP ACTIONS EURO VIII OBJECTIF CLIMAT LBPAM IRC ACTIONS ISR GARANCE EUROPE 2 FDNC ACTIONS EUROPE DEKA-MASTER-HAEK I SYCOMORE PARTNERS ANIMA SFORZESCO FCP ALBA VALEUR ANIMA VISCONTEO PHILADELPHIA SYCOMORE I/S AZ ANIMA EUROPA MEAG PREMIUM BANCOPOSTA MANDARINE FUND 1 CAIXABANK FUND I JANUS FONDS FCP AZ AZ AZ Azionisti. D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| BANCOPOSTA AZIONARIO INTERNAZIONALE | 0 | 500.515 | 500.51 | ||
| 15.61 | |||||
| 34.05 | |||||
| 476.911 | |||||
| 98.324 | |||||
| 63.194 | |||||
| 95. | |||||
| . 460 01 |
|||||
| 344 - | |||||
| 9 ਟ |
|||||
| 260 | |||||
| 614.514 | |||||
| ਕ ਤੇ | |||||
| 57.541 | |||||
| 98.122 | |||||
| ଚ ୧ | |||||
| 280.408 | |||||
| 520.000 | |||||
| 57.326 | |||||
| . 044 . | |||||
| 970 | |||||
| રે ર | |||||
| 90.000 | |||||
| વે રે | |||||
| 85-000 | |||||
| ഗ T |
|||||
| .693.900 | |||||
| .763.615 | |||||
| 217. | |||||
| 13.244 | |||||
| ไ 8 |
|||||
| S | |||||
| 8 | |||||
| 239.500 | |||||
| 30.405 | |||||
| 276-740 | |||||
| T ไ |
|||||
| 8.175 | |||||
| 0 ਟ |
|||||
| 0 p |
|||||
| 9.49 | |||||
| ਟ | |||||
| 8.976 | |||||
| ਟ | |||||
| ന്മ | |||||
| 30 0 |
|||||
| 11 | |||||
| Azionisti in proprig- |
Ll 3
EMARKET
SDIR certified
100gl
(Just
10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dell'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GLOBAL EQUITY LEMANIA |
0 | 57.744 | 57.744 |
| **D | AZ FUND I AZ ALLOCATION GLOBAL CONSERVATIVE | 0 | 0 0 100.0 |
100.000 |
| **D | MEAG EUROINVEST | 0 | ರ б 445.5 |
445.599 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VE-ONIVERSAL-FONDS | 0 | 0 808.78 |
780 808. |
| **D | ANIMA ITALIA | 0 | ರ 615.03 ಗಾ |
615.034 S |
| **D | MEAG BENEDICT | 0 | 10.080 | 10.080 |
| **D | 2 BANCOPOSTA MIX |
0 | 0 ਰੇ ਉ 148 . ! |
980 148. |
| **D | MEAG EUROKAPITAL | 0 | 202.015 | .015 02 ਟ |
| **D | VALAKH MASTER | 0 | 0 00 26. |
26.000 |
| **D | MEAG EUROBALANCE | 0 | 023 350. |
350.023 |
| **D | KAYNE ANDERSON RENEWABLE INFRASTRUCTURE PARTNERS. LP | 0 | 1.475.062 | .475.062 T |
| **D | FAM SERIES UCITS ICAV | 0 | .661.264 T |
264 . 661 - I |
| **D | GLOBAL REMEMABLE ENERGY INCOME ETF EAGLE TRUESHARES |
0 | 19.079 | -079 б โ |
| **D | OPPORTUNISTIC EUROPEAN CGM AZ FÜND 1 |
0 | 75.000 | 75.000 |
| **D | INVESTMENTS, LLC HUBER CAPITAL |
0 | ਦੇ ਰੇਡ 2. |
97 ട ਟ |
| * * D | WORLD ESG MATERIALITY AND CARBON TRANSITION ETF V-SHARES MSCI |
0 | e B 4 1. |
. 684 T |
| **D | ON BEHALF OF BROCKEN-UI-FONDS ਅੱਤ ਜ UNIVERSAL-INVESTMENT-GESELLSCHAFT |
G | 214.000 | 214.000 |
| **D | BOSTON PARTNERS GLOBAL EQUITY FUND | 0 | 65.262 E |
365.262 |
| * * D | PSVAG MASTERFONDS BEHALF OF ON MBH UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 | 379.721 | 379.721 |
| **D | ERGO VERMOGENSMANAGEMENT FLEXIBEL | 0 | 8 €2 10. |
10.862 |
| **D | 5 HMT EURO AKTIEN PROTECT 9 BEHALF OF ON UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH |
0 | ਰੇ ਦੇ ਦ 53. |
53.955 |
| **D | KOMFORT MEAG VERMOGENSANLAGE |
0 | 21.384 | 21-384 |
| **D | VERMOGENSMANAGEMENT AUSGEWOGÉN ERGO |
0 | 37.016 | 37.016 |
| **D | - SRI EUROPEAN EQUITY GENERALI INVESTMENTS SICAV |
0 | 546.289 | 546.289 |
| + * D | INC. CONSERVATION INTERNATIONAL FOUNDATION, |
0 | 7.726 | 7.726 |
| **D | CORPORATION FRIENDS FIDUCIARY |
0 | 614 16. |
16.614 |
| **D | VERMOGENSANLAGE RETURN MEAG |
0 | 832 ം - ट |
26.032 |
| **D | DIVIDENDE MRAG |
0 | 50.000 | 50.000 |
| **D | ERGO VERMOGENSMANAGEMENT ROBUST | 15.714 | 15.714 | |
| **D | SPM 2006-UNIVERSAL-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF |
845 33. |
33.845 | |
| **D | SICAV EUROPE FIDELITY |
3.138.097 | 3.138.097 | |
| **D | ਮ STANDARD SICAV ABERDEEN |
2.442 | 2.442 | |
| **D | 2 EXANE FUNDS |
.404.041 P |
.041 4.404 |
|
| **D | ર ર 22.5 |
S 22.56 |
||
| **D | LA FRANCAISE LUX - GTS REACTIF PICPAC MAGELLANO 2023 ANIMA |
3.444 | 3.444 | |
| **D | INVESTO SOSTENIBILE POSTE |
0 | 277.820 | 277.820 |
| **D | FONDO PENSIONE APERTO ARTI & MESTIERI - |
5.246 L |
15.246 | |
| **D | SELEZIONE EUROPA ANIMA |
0 | .349-911 I |
349.911 1 - |
| **D | ALTO POTENZIALE ITALIA ANIMA |
0 | 904.499 L |
904.499 1. |
| * * D | II 2025 PICPAC ESALOGO BILANCIATO ANIMA |
0 | S 9.58 T |
S ਟ 8 19. |
| **D | ESAGONO AZIONARIO GLOBALE ANIMA |
267 ਕ ਦੇ ਰੇ |
267 59. ਸ |
|
| **D | MAGELLANO ANIMA |
295.232 | 95.232 ਟ |
|
| **D | CRESCITA ITALIA ANIMA |
0 | 759.828 T |
.759.828 ไ |
| **D | INTERNAZIONALE AZIONARIO ANIMA |
77.242 | 77.242 | |
| **D | ITALIA OBIETTIVO ANIMA |
0 | 183.326 | 83.326 T |
| **D | ESALOGO PRUDENTE ANIMA |
0 | 54.005 | 005 54. |
| **D | PIAZZA AFFARI INVESTITORI |
0 300.00 |
000 00. m |
|
| **D | 2026 ANIMA PICPAC ESALOGO BILANCIATO |
47.320 | 320 47. |
|
| **D | INVESTICORI FLEXIBLE EQUILY ESC | 21-430 | 21-430 | |
| **D | LIFE ANIMA AZIONARIO PAESI SVILUPPATI |
59.676 | 676 59. |
|
| Pagina 10 | ||||
| ਤੇ। Teste: 3.393 |
||||
| Azionisti: | ||||
| Azionisti in proprio. | 3 373 Azionisti in delega: 20 |
244

10 maggio 2023 15.37.01
Oggetto: Autorizzazione alla disposizione di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| Badge **D |
BANCOPOSTA MIX 3 Ragione Sociale |
Proprio 0 |
Delega 281.690 |
Totale 0 281.69 |
|
|---|---|---|---|---|---|
| D D |
HMT UNIVERSAL-INVESTMENT-GESELLSCHAFT MBK ON BEHATE OF ANIMA PICPAC ESALOGO BIL 2023 |
WERTSICHERUNG 94 ESG | C 0 |
. 700 90 L 7. E I |
0 3.70 17. |
| **D | ANIMA SELEZIONE GLOBALE | 0 | 239.930 | 0 39.930 । ਰੇ 2 |
|
| **D | 2 SGD RS 2015 |
0 | S 300.79 |
S 300.79 |
|
| **D | HI-172915-FONDS | 0 | பர 39-32 |
39.325 | |
| **D | BPI GLOBAL INVESTMENT FUND- MAVERICK GLOBAL FUND | 0 | 0 16.54 |
16.548 | |
| D D |
LIMITED STANDARD CAPITAL INTERNATIONAL MERCER UNHEDGED OVERSEAS SHARES TRUST ABERDEEN |
0 0 |
696.917 165.830 |
165.838 | |
| **D | ATCP-UI-FONDS | 0 | 27.278 | 917 27,278 696. |
|
| **D | UNISUPER | D | 1.172.244 | .172.244 T |
|
| **D | SPM 2006-UNIVERSAL-FONDS | 0 | 0 21.74 |
740 21 - |
|
| **D | OF BEHALF мвн оп UNIVERSAL-INVESTMENT-GESETTSCHAFT |
PSVAG AKTIENFONDS | D | 293.000 | 293.000 |
| **D | FUND 1 AZ ALLOCATION GLOBAL AZ |
0 | 24.440 | 24.440 | |
| **D | BEYOND CLIMATE INVEST DNCA |
0 | 790-000 | 000 0 - б 1 |
|
| D D |
AZ ALLOCATION INTERNATIONAL AZ FUND 1 |
0 | 150.000 | 150.000 | |
| **D | LTD STRATEGY FUND INTERNATIONAL SHARE FUND OFFSHORE STANDARD CAPITAL INDEX ENHANCED ABERDEEN |
0 0 |
710.351 31.797 S |
531.797 710.351 |
|
| **D | DEVELOPMENT AUTHORITY INFO-COMMUNICATIONS MEDIA |
0 | 22.511 | 22.511 | |
| **D | INFRASTRUCTURE LISTED GLOBAL SYSTEMATIC FRANCAISE A |
0 | 69.896 | 69.896 | |
| **D | NEUTRAL - EUROPE MARKET UBAM |
0 | 28.132 | 132 8 - ਟ |
|
| **D | FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY | 0 | 61.442 | 61.442 | |
| **D | IMPACT EURO FRANCAISE LUX - INFLECTION POINT CARBON LA |
0 | 145.457 | 145.457 | |
| **D | FUNDS LIMITED INCOME AND RHFS GROWTH |
0 | 11.147 | 147 11. |
|
| **D | EQUILIBRADO WINTERTHUR EPSV |
0 | 12.805 | 805 12. |
|
| **D | CITIES SMART DNCA INVEST EURO |
0 | 317 683. |
683.317 | |
| D D |
AZ EQUITY GLOBAL INFRASTRUCTURE GLOBAL EQUITIES ENHANCED INDEX FUND 1 AZ FUND |
0 0 |
0 00.00 പ ﺎ |
500.000 L |
|
| **D | ES WINTERTHUR XI |
0 | 53.116 454.175 |
3.116 454.175 S |
|
| **D | EMPLEQ DE ERSV ARO LAGUN |
0 | 625.000 | 5.000 62 |
|
| **D | 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES AZ FUND |
0 | 80.000 S |
580-000 | |
| **D | ESALOGO BILANCIATO 2025 ANIMA PICPAC |
0 | 51.240 | 240 51 . |
|
| **D | ITALIA PRO GESTIELLE |
0 | 214.000 | 214.000 | |
| **D | FUND GLOBAL EQUITY - VALUE WHOLESALE |
0 | 202.060 | 202-060 | |
| **D | ANIMA OBIETTIVO INTERNAZIONALE | 0 | 150.000 | 150.000 | |
| **D | PEGASUS-U1-FONDS | 0 | 890 736. |
ਰੇ ਹ 736.8 |
|
| **D | AZ MULTI ASSET WORLD TRADING | 0 | 160.000 | 160-000 | |
| **D | EPSV PRUDENTE WINTERTHUR |
0 | 21.730 | 21.730 | |
| **D | ALLOCATION TREND AZ 1 FUND AZ |
0 | .725.000 E |
3.725.000 | |
| **D | MERCER PROPERTY AND INFRASTRUCTURE TRUST | 0 | 383 998. |
998-383 | |
| **D | FUND GLOBAL MANAGEMENT WHOLESALE CORÉ INVESTMENT KIWI |
C | 395 75 - |
ਦ - 3.95 C |
|
| D D |
ANIMA PICPAC VALORE GLOBALE 2027 BLV-SF-AKTIEN 571V02 |
0 0 |
40.000 750.941 |
0.000 750.941 P |
|
| **D | PREMIA SMART RISK AZ FUND 1 AZ ALTERNATIVE |
0 | 100 51. |
51.100 | |
| **D | PLUS VISCONTEO ANIMA |
0 | 542.635 | ||
| **D | ELTIF ITALIA 2026 ANIMA |
41.000 | 542.635 41.000 |
||
| **D | DNCA INVEST-EURO DIVIDEND GROWER | .163.952 ไ |
. 163 . 952 L |
||
| **D | FUND GLOBAL EQUITY DEE STREET |
. 403 8 റ |
. 403 ୧୫ |
||
| **D | SYCOMORE FUND SICAV -SYCOMORE GLOBAL EDUCATION | 343.161 | 343.161 | ||
| **D | BANCOPOSTA RINASCIMENTO | ਟੇ ਦੇ 534. |
534.546 | ||
| Pagina 1 1 | |||||
| Azionisti: | Teste: 3.393 |
31 | |||
| Azionisti in proprio: | Azionisti in delega: 20 |
3.373 | |||
245
EMARKET
SDIR certified
(Disport
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'adisposizione di zzioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | ||||||
|---|---|---|---|---|---|---|---|
| **D | BIDESENSION EPSV | Proprio 0 |
Delega 8 |
Totale | |||
| **D | GLOBAL EQUITY HEDGED LTE BANCOPOSTA |
0 | 3.471 5.32 |
5.328 | |||
| **D | гр II WINTERTHUR |
G | 101 57 - |
3.471 | |||
| **D | IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIO | G | 12.119 | 57.101 | |||
| **D | AMP CAPITAL GLOBAL QUALITY FUND | 0 | 20.645 | 12.119 20.645 |
|||
| **D | ALLOCATION EUROPEAN DYNAMIC AZ FUND I AZ |
0 | 500 127. |
127.500 | |||
| **D | POTÉNZIALE EUROPA ANIMA ALTO |
0 | 825.000 ਟ |
2.825.000 | |||
| **D | EQUILIBRADO AUROFONDO |
0 | 110.802 | 110.002 | |||
| **D | ASSET MULTI AZ |
EQUITY AZ MULTI ASSET AZ ALLOCATION FLEXIBLE |
0 | 45.000 | 45.000 | ||
| **D | ANÍMA ESAGONO BILANCIATO | G | 618.613 | 618.613 | |||
| **D | BUSS (QUEENSLAND) | POOLED SUPERANNUATION TRUST | C | 12-872 | 12.872 | ||
| **D | FUNDS VCC SELECT PINEBRIDGE |
C | 64.010 | 64.010 | |||
| **D | AZ FUND 1 | - AZ EQUITY WATER AND RENEWABLE RESOURCES | 0 | 310.000 | 310.000 | ||
| **D | EPSV WINTERTHUR |
G | 16.361 | 16.361 | |||
| **D | RUSSELL | INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | 0 | 41.421 | 41.421 | ||
| * D * |
KIMI INVESTMENT MANAGEMENT | SCREENED GLOBAL EQUITY INDEX FUND | 0 | 25.448 | 25.440 | ||
| **D | RUSSELL INVESTMENTS GLOBAL | LISTED INFRASTRUCTURE FUND | 0 | 122.245 | 122.245 | ||
| ** D | ITALIA NEW CRESCITA ANIMA |
0 | 141.321 | 141.321 | |||
| **D | AZ FUND 1 AZ | 70 ALLOCATION PIR ITALIAN EXCELLENCE |
0 | 568.000 | 568-000 | ||
| **D | ANIMA ABSOLUTE RETURN | 0 | 200.000 | 200.000 | |||
| D D |
PORTFOLIOS FUND LTD DIVERSIFIED |
0 | 0 8.75 |
8.750 | |||
| **D | FIRST SEMIER RESEONSIBLE LISTED | FRASTRUCTURE FUNL IN |
0 | ర్ 879.05 |
79-059 8 |
||
| ANIMA SFORZESCO PLUS | 0 | 218.783 | 218.783 | ||||
| **D | ELESSIBILE INVESTITORI |
0 | 0 0 800 - 0 |
00.000 8 |
|||
| **D | EUROPA INVESTITORI |
0 | 5.000 8 |
85.000 | |||
| **D | AZ FUND 1 A2 ALLOCATION PIR ITALIAN EXCELLENCE | 30 | 0 | 0 25.00 |
25,000 | ||
| D D |
BANCOPOSTA EQUITY DEVELOPED COUNTRIES | G | 70.072 | 70.072 | |||
| **D | AZIMUT TRADING | 0 | 3.205 | 3.205 | |||
| AZIMUT TREND | 0 | 1.130.000 | 130.000 T |
||||
| **D | TÜRICUM - AKTIEN | - UND IMMOBILIENWERTSCHRIFTEN | 0 | 448.947 | 448.947 | ||
| **D | AZIMUT STRATEGIC TREND | 0 | . 695 ਟ |
5 2 - 69 |
|||
| **D | ACM ACTIONS | 0 | 16.926 | 16.926 | |||
| **D | SACHS FUNDS III GOLDMAN |
0 | 5.607.607 | . 607 . 607 ഹ |
|||
| D D |
ACM VIE S A CM CIC RETRAITE | 0 | 6.925 6 |
96.925 | |||
| DURABLES MC LEADERS COMPARTIMENT |
0 | 106.075 | 106-075 | ||||
| **D | DYNAMI QUE CM-AM ALIZES |
0 | 266.549 | 66.549 2 |
|||
| **D | ACM IARD SA | 0 | ਰੇ ਤ 1.163.8 |
163.891 | |||
| **D | CM-AM EUROPE DIVIDENDES | 0 | 699 - 693 | 99.693 9 |
|||
| **D | DNCA BEYOND ENGAGE | 0 | 660-000 | 60.000 9 |
|||
| D D |
SCHMIDT GROUPE FUND | 0 | 25.000 | 25.000 | |||
| **D | SUD-EUROPEEN PIPETINE |
C | 4.362 | 4.362 | |||
| **D | CAPSUGEL | 0 | 17.630 | 17.630 | |||
| **D | CM-AM SUSTAINABLE PLANET LEXMARK DYNAMIQUE |
0 | .636.390 ไ |
0 1.636.39 |
|||
| **D | 0 | € - 24 d | 6.54 | ||||
| **D | ACTIVE ACTIONS ISR CM-AM ALIZES TEMPERE เก |
0 | 720.000 | 720.000 | |||
| **D | EURO RETRAITE PACTE SA ACM VIE |
0 | ୧୧ 187.5 |
187-566 | |||
| **D | GERARD PERRIER INDUSTRIE | 0 | 871.268 | 71.268 B |
|||
| **D | DNCA OPPORTUNITES ZONE EURO | 0 | പ ದ . 3 11 |
11.335 | |||
| **D | STAUBLI 50 50 CREDIT MUTULEL | 00 387.8 |
387.800 | ||||
| 18.828 | 18.828 | ||||||
| Pagina 12 | |||||||
| Azionisti: | 3.393 | Teste: | 31 | ||||
| Azionisti in proprio: | 20 | Azionisti in delega: | 3.373 |

10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge **D |
ACM MUT FONDS GENERAL Sociale Ragione |
Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | CM-AM ADVANCED | 0 0 |
2.088.195 | .088.195 2 |
|
| **D | PARTAGE CM-AM |
0 | 20.000 1.411 |
000 1.411 20 |
|
| **D | SICAV PIANA | 0 | 72.500 | 500 72 - |
|
| **D | ACM VIE SA FONDS GENERAL | 0 | 896.395 B |
3 95 ਰੇ ਦੇ . . 8 B |
|
| **D | SELR EURO ACM VIE SA |
0 | 075.210 1. |
210 ഗു . 07. I |
|
| **D | EUROPE DNCA VALUE |
0 | 99.473 1.4 |
9.473 - 4 d T |
|
| **D | CONVICTIONS EURO CM-AM |
0 | 976 939 |
976 б ਹੈ ਤੋ |
|
| **D | ACTIONS ZONE EURO ORANO |
C | 94.049 | 0 ਕੇ ਰੇ 4. б |
|
| **D | HENKEL DIVERSIFIE N 1 | o o | 8.751 | .751 ഹ |
|
| **D | EPSON FRANCE EURO ACTIONS | 3.003 | .003 ಗ |
||
| **D | CH RIVER LABORAT FRANCE | 0 | 4.325 | 325 বা |
|
| **D | GROUPE ROCHE | G | 98.032 | 0.032 6 |
|
| **D | FONCIL | 0 | 25.362 | 362 క . ਟ |
|
| **D | CMI MEDIA | 0 | 1.042 | 1.042 | |
| **D | S ACTIVE DIVERSIFIE ISR | 0 | 52.298 | 52.298 | |
| **D | CARGILL ACTIONS | 0 | 8.682 | . 682 8 |
|
| **D | FERTILSODEBO | 0 | .879 6 |
879 ర |
|
| D D |
THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY PASSIVE MOTHER FUND (ONLY FOR PENSION) FEDEX |
0 | 59.954 | ਰੇ 2 ਪ 59. |
|
| **D | CUSTODY BANK OF JAPAN, ITD. RE: MATB NEW RESOURCE TECHNOLOGY MOTHER FUND | 0 0 |
. 024 41.276 б |
9.024 | |
| **D | BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER TRUST THE MASTER |
FÜND | 0 | 751.556 | 276 751.556 41. |
| **D | SOLIDAIRE OTIS MOYEN TERME |
0 | 40.704 | ||
| **D | EUROP ASSISTANCE DIVERSIFIE | 0 | . 360 ட் |
-360 40.704 ১ |
|
| **D | AMORA MAILLE DIVERSIFIE | 0 | 5.226 | 5.226 | |
| **D | PYRENEES GLOBAL | 0 | 10.421 | 10.421 | |
| **D | JAPAN, LTD. RE: MATB NEW RESOURCES MOTHER FUND CUSTODY BANK OF |
0 | 61.551 ਟ |
261 - 551 | |
| **D | COFACE N 1 | 0 | 16.796 | 16.796 | |
| **D | STB DAIWA OUSHU KOU-HAITOU KABU MOTHER FUND JAPAN, LTD. RE: CUSTODY BANK OF |
0 | 50.001 | 801 50 - |
|
| **D | STABILIZED INCOME MOTHER FUND LTD. RE: NISSAY OF JAPAN, TRUST BANK THE MASTER |
0 | 37 769 | ਹ ਦਰ 37. |
|
| **D | KOKUSAI TRUST SERIES OF FUND. EUROPEAN EQUITY |
0 | 19.849 | 19-849 | |
| **D | FOREIGN STOCK INDEX MOTHER FUND (CURRENCY HEDGED) STB JAPAN, LTD. RE: CUSTODY BANK OF |
o o | 5.439 ರ |
5-439 б |
|
| **D | C ET A | .771 ঠ |
.771 ਟ |
||
| **D | RESP CONVERGENCE EQUI SOCI |
590.118 | 590.118 | ||
| **D | ETF S&P CATHOLIC VALUES DEVELOPED EX-U.S. GLOBAL X |
. 644 ರಿ |
8 - 6 4 4 | ||
| **D | POOL ABSOLUTE RETURN GLOBAL EQUITY l FUNDS FIDELITY |
G | 104 52 |
104 52. |
|
| **D | COMPANY FUNDS PUBLIC LIMITED VANGUARD |
8.393.285 | 8.393.205 | ||
| **D | PLANS BENEFIT EMPLOYEE EOR TRUST GROUP FIAM |
929.400 | 929.400 | ||
| **D | ADVISOR UTILITIES FUND FIDELITY VII: SERIES ADVISOR FIDELITY |
. 700 338 |
8.700 ਤੇ ਤੋ |
||
| **D | RESEARCH ENHANCED IN EQ (ESG) UCITS ETFS (IRELAND) ICAV-GLOBAL JPMORGAN |
ETF | 201.262 | 201.262 | |
| **D | MOTHER FUND SEKAI KOUHAITOU RE: RTB JAPAN, LTD. BANK OF CUSTODY |
53.300 | 53.300 | ||
| **D | MIXTE CARGILL |
-085 ಗ್ |
3.085 | ||
| D D |
POOL RB TOKKIN 18420-7105 FIDELITY FUNDS - SUSTAINABLE GLOBAL DIVIDEND PLUS JAPAN, LTD. RE: |
1.011-699 | 011.699 1. |
||
| **D | CUSTODY BANK OF | 585.801 | 585.801 | ||
| **D | EUROPE INDEX FUND FUND REAL ASSETS MULTI-STRATEGY MSCI ICAV/FIDELITY II UCITS COHEN & STEERS FIDETITY |
873 34.833 26. |
34.833 26.873 |
||
| **D | FUND EX-US EQUITY TRUST-WORLD INSTITUTIONAL INVESTMENTS SEI |
||||
| **D | EUROZONE RESEARCH ENHAN INDEX EQ (ESG) UCITS ETF ICAV - JPMORGAN ETFS (IRELAND) |
151.567 3.622.727 |
3.622.727 567 151. |
||
| **D | FUND II THORNBURG INTERNATIONAL EQUITY |
.527 28 |
527 29 |
||
| **D | EQUITY FUND SEI INSTITUTIONAL INTERNATIONAL TRUST INTERNATIONAL |
8-132-468 | 8.132.468 | ||
| Pagina 13 | |||||
| Azionisti: | 31 Teste: ਤ ਤੋਰੇਤੋ |
||||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |
||||
LleF
certified ੂ 1800
EMARKET
SDIR
1000 del 19 maggio Ogetto: Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revoca dell'Assemblea ordinaria
| JAPAN, LTD. RE: GIM INTERNATIONAL EQUITY MOTHER FUND THE MASTER TRUST BANK OF Ragione Sociale |
Proprio 0 |
Delega 41.250 |
Totale 0 41.25 |
|
|---|---|---|---|---|
| RNATIONAL EQUITY INDEX MOTHER FUND LTD. RE: MANULIFE INTE JAPAN (LUX) OF SUISSE INDEX FUND BANK TRUST MASTER CREDIT THE |
0 | .433.753 8 |
433.753 в |
|
| VANGUARD INVESTMENT SERIES PUBLIC LINITED COMPANY | 0 | 086 6. L |
16.380 | |
| ISR TEMPERE CM-AM SOLIDAIRE |
0 | |||
| 0 | 020 6. 13 |
136.330 | ||
| 8 69.98 |
||||
| SIDEFILL EUROS - GEORYT DIVIDEMD BOOL | ||||
| E TRUST INTERNATIONAL EQUITY INSTITUTIONAL INTERNATIONAL 은 그 T |
||||
| MORLD INDEX FUND MSCI ICAV/FIDELITY |
0 | ਟੇ ਖੋ 1 9 |
||
| 0 | 29.509 | 29.509 | ||
| . 229 ୧ ହ |
б . 22 ୧ I |
|||
| INDEX MOTHER FUND OF JAPAN, LTD. RE: MSCI-KOKUSAI BANK TRUST MASTER untile |
||||
| EUROPE II CCF FTSE DEVELOPED SRI |
5.120 ਣ ਕੇ |
|||
| 5.787 8 g |
||||
| 533 .280. 1 |
.200.533 โ |
|||
| CONTROLLED BALANCE NISSAY RISK RE: LTD. JAPAN, OF BANK TRUST MASTER THE |
||||
| POOL SOLUTIONS SUSTAINABLE CLIMATE l FIDELITY FUNDS |
||||
| FOND INDEX EQUITY DEVELOPED GLOBAL LEGAL & GENERAL |
||||
| ED WORLD II CCF SRI FTSE DEVELOP |
0 | L | ||
| 0 | 384 6. 6 T |
|||
| 0 | 15.641 | |||
| 0 | 107.624 | 107.624 | ||
| 370 | ||||
| 100.000 | 000 00 ไ |
|||
| FUND INTERNATIONAL DEMOCRACY |
||||
| SERIES INTERNATIONAL INDEX FUND FIDELITY TRUST: STREET CONCORD FIDELITY |
||||
| STB EUROPE EQUITY MOTHER FUND II RE: LTD. JAPAN, OF BANK CUSTODY |
0 | |||
| CMN CNT FD UK CONTRACTUAL |
0 | 153-692 | t | |
| 0 | 830.807 | 807 30 - 0 |
||
| 307 | 307 | |||
| DEV EUR EX UK CCF INVESTMENTS COMMON CONTR FD- VANGUARD FTSE VANGUARD |
||||
| POOL FUNDS ~ SUSTAINABLE EURQPEAN DIVIDEND PLUS FIDELITY |
23 . | |||
| 8 5.45 |
5.458 | |||
| 169"866 | 201 978. |
|||
| INTERNATIONAL EQUITY SELECT ETF DEVELOPED |
||||
| FUND RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY CATHOLIC |
P 82 . 491 2 |
824 ס ঘ C |
||
| NZAM EURO STOXX 50 EX BANKS (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) PLACED INVESTMENT TRUST) ME RENEWARDLE ENERGY INCOME EQUITY MOTHER FUND EURO STOXX (JPY HEDGED) (PRIVATELY TMA GLOBAL EQUITY INDEX MOTHER FUND ETF MANAGED VOLATILITY FUND IN EQ (ESG) UCITS EQUITY EX-US FUND CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND JPM KOKUSAI REI MOTHER FUND (LDA) FD/VANG FTSE DVLPD WRID EX MOTHER FUND EQUITY POOL MTBJ400021913 RESEARCH ENHANCED GLOBAL EQUITY ENHANCED EUROPE INVESTMENTS TRUST - SCREENED WORLD RE: RB TOKKIN 18420-7106 RE: TMAM GLOBAL MANAGED INTL nzam CIT RE: RE: RE : ALLOCATION FUND RE: TMA TAX- INFRASTRUCTURE ICAV BUILDER CIT POOL FUNDS - SUSTAINABLE RESEARCH ELC LTD. INVESTMENTS II CCF/VANGUARD CCF-VANGUARD LTD. LTD. LTD. LTD. JPMORGAN ETES (IRELAND) ICAV-EUROPE RE: RE: ETF l FUNDS FUNDS EUROPEAN DIVIDEND FUND JAPAN, TRUST BANK OF JAPAN, JAPAN, JAPAN, BANK OF JAPAN LTD. LTD. BANK OF JAPAN, (IE) FIRST TRUST EUROPE ALPHADEX JAPAN, LTD. INVESTMENT COMMON 20 CREDIT MUTUEL SANLAM UNIVERSAL FUNDS PLC BANK OF JAPAN - WEALTH MANAGED BANK OF OF OF FUND DYNAMIC ASSET LISTED INVESTMENTS II BANK BANK FUND INVESTMENTS INDEX INSTITUTIONAL INSTITUTIONAL FIDELITY UCITS II EQUITY TRUST TRUST MACRO TRUST MASTER TRUST GLOBAL THE MASTER TRUST BERMAN OF SUISSE BANK MASTER TRUST TROST CONTINENTAL MASTER WORLD MASTER MASTER GLOBAL PINEBRIDGE STAUBLI 80 MACQUARIE NEUBERGER FIDELITY VANGUARD VANGUARD VANGUARD FIDELITY FIDELITY CUSTODY CREDIT MASTER SCHUCO LACM THE SBI THE THE DHS SEI THE |
0 0 0 0 0 0 0 G 0 0 0 0 0 0 0 000 |
59 670 500 975 3.800 519 24.450.000 151.240 ਰੇ " ਦੇ ਕੇ ਕ -260 336.821 823 680 525 370 37.032 920 051 538.111 3.016 9-260 683 16.293 156 171.105 27.283 S . ব 458. র . 258. 156. 231. 3. 109. 178 261 81 లా ਤੇ ਕੇ 28 б 8 |
156.670 24.450.000 .454 151.248 3.800 . 680 0 6 61.975 295.120 585.787 336-821 231.023 3.525 139-519 01.260 15 - 641 37.032 27.283 09.156 3.016 9.644 99.260 4.683 171.105 53.692 16.293 250.920 23.051 530.111 166.384 . 50 . 55 178 283 458 e J ਟ โ B |
EMARKET
SDIR certified )C-O4 A 2014
3.016 978.691 530.111 2.491.824 168.992 450.827
978.691 538.111 3.016 2.491.824 450.827 168.992
ﮯ ﻣ
Pagina 14
3.373 31
Azionisti in delega:
Teste:
3.393 20
1
Azionisti in proprio:
Azionisti.
**D
* * D
VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE DEVELOPED WRLD CHMN CONT FD
EIDELITY EUNDS - CLEAN ENERGY POOL
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di zzioni proprie, previa revoca dell'autorizzazione conferita dell' Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |||||
|---|---|---|---|---|---|---|---|---|---|
| **D | ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 20.739 | 20.739 | ||||||
| **D | SALEM STREET FIDELITY |
TRUST: FIDELITY GLOBAL EX U.S. | INDEX FUND | 203 054 ਤੇ |
054.203 3. |
||||
| **D | SCHRODER | INTERNATIONAL MULTI-CAP EQUITY TRUST . | . 596 તે શેર |
965.596 | |||||
| **D | ICAV UCITS FIDELITY |
FIDELITY l |
SUSTAINABLE RESEARCH | BILE ENHANCED GLOBAL EQUITY UCITS |
. 329 20 |
б 20.32 |
|||
| **D | NUVEEN GLOBAL | INFRASTRUCTURE | FUND | .005 653 t |
653.005 L |
||||
| **D | l FÜNDS FIDELITY |
SUSTAINABLE | SOLUTIONS POOL CLIMATE |
ਟ | .749 33 |
6 7 4 33. |
|||
| **D | STREET SALEM FIDERITY |
TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND | 8 ୧ - B 774 2 |
g 7 4 L ਟ |
|||||
| **D | TRUST DEVELOPED FIRST |
MARKETS EX-US ALPHADEX FUND | .285 ે રાજ 1 |
பு . 88 176.28 |
|||||
| **D | TRUST DYNAMIC EUROPE EQUITY INCOME FIRST |
FOND | .678 ਤੇ ਕੇ ਤੇ |
343-678 | |||||
| **D | EURO FUNDS - FIDELITY |
STOXX | POOL 50 |
0.131 ର ଚ |
|||||
| **D | THORNBURG INTERNATIONAL EQUITY | FUND (Q.P.), LLC | 0 | .292 b б |
660.131 | ||||
| **D | FUNDS - ITALY POOL FIDELITY |
ਟ 94 - 29 |
|||||||
| **D | INVESTMENTS VANGUARD |
CCF II |
- VANGUARD SRI | ELSE DEVELOBED MOBILD II | (B) CCF | 0 | 4-918-918 253.119 |
ਰੇ I 8 918. ਟ प |
|
| **D | FIDELITY | FUNDS - SUSTAINABLE EUROPE EQUITY POOL | 0 | б בריינה |
|||||
| **D | TRUST EUROZONE ALPHADEX FIRST |
1340 F | 0 | .427 ਹੈ ਹੈ ਕੇ L |
194.427 1. |
||||
| **D | FIDELITY UCITS ICAV - FIDELITY SUSTAINABLE RESEARCH | ETF ENHANCED EUROPE EQUITY UCITS |
0 | 53 - ୧ ବ ସ 12 |
641 ਟ ﺎ |
||||
| ELE | **D | ÉPARGNE DIVERSIFIE ELIOR |
0 | . 745 . 2 S 31 |
ಷ 15.25 € |
||||
| **D | SOLIDAIRE ISR ORANO |
0 | 5 | 5.745 | |||||
| **D | THALES AVS FRANCE | 587 37 |
587 37 |
||||||
| P | **D | DUFF & PHELPS GLOBAL LISTED INFRASTRUCTURE CIT | 0 | . 300 ഗ |
5-380 | ||||
| **D | 0 | 112.300 | 112.300 | ||||||
| **D | VARIABLE | INSURANCE PRODUCTS FUND II: INTERNATIONAL | INDEX PORTFOLIO | 0 | .111 124 |
124.111 | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400021914 | 28.202 | 28.202 | |||||||
| **D | FIDELITY FUNDS - GLOBAL ENHANCED INCOME | POOL | 0 | 0.465 8 A |
888.465 | ||||
| **D | LOS ANGELES CAPITAL GLOBAL FUNDS | PLC - LACM GLOBAL | SUSTAINABLE EQUITY FUND | 0 | . 618 ા દ |
6.618 โ |
|||
| **D | BALL PACKAGING EUROPE | 4.013 | 4.013 | ||||||
| **D | MILLEIS BANQUE 30-70 | . 855 б |
9.855 | ||||||
| **D | OC F | 0 | 3 9 4 27 |
27.394 | |||||
| **D | CONVERGENCE ACTIONS EUROPE | 00.935 P |
400.935 | ||||||
| **D | GLOBAL RESOURCES SOLUTIONS CIT кві |
.102 1 48 |
148.102 | ||||||
| **D | DYNAMIQUE CGI |
ਦੇ ਤੇ ਰੇ ﻟﺴﻴﺎ B |
ਦ ਤੇ ਰੋ 87 . |
||||||
| **D | LIFE INTERNATIONAL EQUITIES FUND AMP |
5.161 B |
85.161 | ||||||
| **D | TAX ADVANTGD ABS NON AOR |
ETT B | . 939 837 |
837.939 | |||||
| **D | SUISSE CREDIT CSIF12 |
xxxx | FUND GROWTH USD PORTFOLIO |
. 104 9 |
6.104 | ||||
| **D | SUISSE CREDIT CSIFIC |
LUX | BALANCED EUR FUND PORTFOLIO |
71.200 | 71.200 | ||||
| **D | CREDIT CSIF4 |
SUISSE LUX GLOBAL HIGH | INCOME FUND USD | 6.000 S |
56.000 | ||||
| **D | EQUITY MORID III CH CSIF |
EX | CH | VALUE WEIGHTED PENSION FUND CREDIT SUISSE FUNDS AG | . ६२८ 9 b |
6.698 D |
|||
| **D | SUISSE LUX CREDIT വ CSIF |
EQUITY FUND ITALY |
252.862 | 252.862 | |||||
| **D | 12 CSIF |
CHEDIL 201225 TOX BORDEDTIO END NIETD CHE | 17.680 | 17.680 | |||||
| **D | SUISSE LUX CREDIT CSIF12 |
FUND GROWTH PORTFOLIO |
CHF | .120 S |
5.120 | ||||
| **D | CH EQUITY ENO CREDIT CSIF |
SUISSE FUNDS AG | 532.531 | 532.531 | |||||
| **D | suisse CREDIT N CSIF |
LUX | EUROPEAN DIVIDEND PLUS EQUITY FD | .057 રવટ |
502.057 | ||||
| **D | FONDS VORSORGE AXA |
II | EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS | AG | . 634 817 |
17.634 B |
|||
| **D | KOLUMBAN BALANCED CREDIT | FUNDS AG UBS ASSET MANAGEMENT SCHWEIZ SUISSE |
AG | .189.727 I |
189.727 I |
||||
| **D | SUISSE LUX CREDIT 2 CSIF |
PLUS EQUITY DIVIDEND GLOBAL |
FUND | .758 б ਉ ਪੈ |
849.758 | ||||
| **D | FUNDS INVESTMENT CS |
LUX CS 2 |
INFRASTRUCTURE EQUITY | FUND | 764.000 ਟ |
764.000 ਟ |
|||
| **D | SUISSE CSIF 2 CREDIT |
LUX | SMALL MID CAP ALPHA LONG SHORT FUND | . 000 320 |
320-000 | ||||
| **D | EQUITY WORLD FINREON |
ECONOMIC | PENSION CREDIT EXPOSURE |
SUISSE FUNDS AG | . ୧1 ୧ 32 |
32.616 | |||
| **D | INVEST BALOISE FUND |
IE 2 Ch |
EX SCHWEIZ AKTIEN WELT |
PASSIV CREDIT SUISSE FUNDS AG | 9.668 b |
49.668 | |||
| **D | PK CSG WORLD | AG EQUITY CHEDIT SUISSE FONDS |
. 632 S 23 |
235.632 | |||||
| **D | AXA VORSORGE | FONDS II EQUITIES GLOBAL MARKETS CREDIT | SUISSE FUNDS AG | 0 | 9 770.79 |
9 770.79 |
|||
| Pagma 15 | |||||||||
| Azionisti: | 3.393 | Teste: | 31 | ||||||
| 20 | |||||||||
| Azionisti in proprio: | Azionisti in delega: | 3.373 |

10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione di azioni proprio, previa revoca dell'autorizzazione enflerita del 19 maggio 2022
FAVOREVOLI
| . 293 Totale 120.934 б Delega 293 120-934 6 |
.025 .350 டி 148 5.350 148.025 |
117.025 4.192 17.025 4.192 J |
. 375 4.987 10 987 10.375 4 - |
574.195 ਟ .574 . 195 82.337 ਟ |
337 338.338 82 338 38. € |
ਰੇ ਕੇ 2 752. 752.997 |
ਰੇ ਤੇ ਤੇ 330.765 ਦੇ ਹੋ ਤੇ 583.983 S 76 30. |
139.482 139.482 |
313 30 - 8 T 830-313 409.034 1. |
409-034 832-548 6. B . 54 832 9 |
574 101 101.574 |
173.108 0 173.10 |
97.697 97.697 |
9 641.80 641-805 4.774.306 |
4-774.306 4.270.847 .270.047 प |
830-212 830.212 |
505.038 C .505.038 ਟ |
301.711 .711 301 |
0.657 10 570 100-657 82 |
82.570 -102.020 L 1.102.020 |
22.400 . 400 22 |
317 ea. 69.317 |
22.105 ਹੋ ਦੇ ਪ 22.105 67 . |
67.964 19. 19.544 |
ਦੇ ਪੈ ਪੈ 556.958 ਰ ਦੇ 8 556. |
977 521 - 977 521. |
48-023 48.023 |
ਦੇ ਖੇ ਰੇ 6.005 .724 . ਟ . 005 ਰੇ ਟੇ ਚੋ 724. e N |
000 0 5 50.000 |
02.615 L 102.615 |
000 20. 20.000 |
000 359-424 5 - 8 85.000 359.424 |
544.557 544.557 |
190.070 190.070 |
60.732 60.732 |
118.476 26.907 9 26.907 118.47 |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio 0 |
0 0 |
0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | G | 0 | 0 0 |
0 | 0 | 0 | 0 | ||||||||||||||||||
| EQUITY MORID EX CH CLIMATE CHANGE BIUE DENSION ENND FINS CREDIT SUISSE FUNDS AG | DANICA LINK - INDEKS GLOBALE AKTIER | 6 | NORGE - ACCUMULATING KL EURO - ACCUMULATING KL ASSET ALLOCATION ASSET ALLOCATION |
KL DANMARK AKKUMULERENDE AKTIER l l INSTITUTIONAL AFDELING DANICA PENSION ASSET ALLOCATION |
INDEXPOOL | AKKUMULERENDE KL KL l |
BNP KL | TTE KL | BEHALF OF BAYVK G2-FONDS | FONDS W/LIBI- |
FONDS MBH W/MEBI- |
(AKTIEN) | EX SCHWEIZ CREDIT SUISSE FUNDS AG | 21 ਤ PENSION INVESTMENT FUND TRUST NUMBER NUMBER TRUST FUND BENSION INVESTMENT |
10 FOR BENSION INVESTMENT FUND IRUST NUMBER |
EQUITY FUND | B | Pagina 16 | 31 | 3.373 | |||||||||||||||||||
| WIF-EUROPE DISCOVERY FUND NMM5-WIEQ-CNS-ACCOUNT Ragione Sociale III CSIF CH |
INSTITUTIONAL AFDELING INVEST GLOBAL VALUE FÜND KAPITALFORENINGEN DANSKE SCHRODER |
MTBJ40003112 RE: LTD. JAPAN, BANK OF INVESTERINGSFORENINGEN THE MASTER TRUST |
SELECT TACTICAL TACTICAL SELECT INVEST INVEST KAPITALFORENINGEN DANSKE INVEST DANSKE DANSKE INVESTERINGSFORENINGEN |
TACTICAL SELECT INVEST DANSKE INVESTERINGSFORENINGEN |
INDEKS KI CAP (UNHEDGED) INVEST GLOBAL INVESTERINGSFORENINGEN DANSKE GLOBAL SHARES - LARGE ONEPATH |
ISR FCP ALM ACTIONS EUROPE |
FONDO PENSIONE COMETA DANSKE INVEST |
EUROPE HIGH DIVIDEND FUND ALM ACTIONS EURO |
INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKUMULERENDE KL | ISR EURO ZONE ALM ACTIONS |
INDEKS INDEKS GLOBAL EUROPA INVEST INVEST DANSKE DANSKE INVESTERINGSLORENINGEN INVESTERINGSFORENINGEN |
INDEKS EUROPA INVEST DANSKE INVESTERINGSFORENINGEN |
EUROPA HOJT UDBY DANSKE INVEST INVESTERINGSFORENINGEN |
MINISTRY OF ECONOMY AND FINANCE | STRATEGIES FUND MBH ON EQUITY UNIVERSAL-INVESTMENT- GESELLSCHAFT INTERNATIONAL MULTI-MANAGER |
PORTFOLIO-PARTNERS INTERNATIONAL VALUE FUND VARIABLE |
392 MI-FONDS |
CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | MI-FONDS 391 | CS FUNDS AG LB INTERNATIONAL PORTFOLIO SUPERANNUATION SCHEME TELSTRA |
ਅਤੇ ਮ KAPITALVERWALTUNGSGESELLSCHAFT BAYERNINVEST |
KAPITALVERWALTUNGSGESELLSCHAFT BAYERNINVEST |
KAPITALVERWALTUNGSGESELLSCHAFT MBH W/VECO BAYERNINVEST |
2 CH IF AKTIEN WELT INVEST FUND BALOISE |
LIVSFORSIKRINGSAKTIESELSKAB BANK SERVICES TRUST & CUSTODY PENSION АР |
FOR FOR TRUSTEE LTD AS TRUSTED ਸਟ LTD SERVICES BANK CUSTODY र् TRUST |
CORPORATION INVESTMENT BEST |
LIVSFORSIKRINGSAKTIESELSKAS DANICA PENSION, |
EX-JAPAN PORTF. CORPORATION ÜMBRELLA FD-TMA ACWI INVESTMENT BEST TMA |
TMA UMBRELLA FUND - GLOBAL EQUITY PORTFOLIO | FONDSFINANS FORNYBAR ENERGI VERDIPAPIRFONDET |
SERVICES BANK LTD AS TRUSTEE CUSTODY હ TRUST |
INCOME FUND JPM MULTI |
JPMORGAN GLOBAL PROPERTY INCOME FUND CHOICE BEST STYLES EUROPE ALLIANZ |
SCHRODER INSTITUTIONAL POOLED FUNDS - ADVANCED GLOBAL | CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER TRUST & |
Teste: 3.393 |
Azionisti in delega: 20 |
|
| Badge D D **D |
D D |
*D * D |
D D |
**D | D D |
**D | D D |
* * D | **D | D D |
**D | **D | **D | **D | *D * D |
**D | **D | **D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | **D | Azıonıştı: | Azionisti in proprio: |
250
EMARKET
SDIR
GRTIFFE
ിറ്റ്
10 maggio 2023 15.37.01
del 19 magni 2012 - 1 2 12:00
Ogetto: Autorizzazione di azioni proprie, previa revea dell'autorizzazione conferita dell'Assemble ordinaria del 19 maggio 2022
251

(100
10 maggio 2023 15.37.01
| ALLIANZ VKA FONDS AGI INSURANCE DEDICATED LARGE CAPS | Proprio | Delega | Totale | |
|---|---|---|---|---|
| CGI SUBFONDS EQUITIES | 0 | 547.392 | 547.392 | |
| UNIINSTITUTIONAL EUROPEAN BONDS & EQUITIES PV-WS RCM SYSPRO VALUE EUROPE |
0 0 |
249.362 108.514 |
249.362 108.514 |
|
| 0 | 118-843 | 118.843 | ||
| o o o | 391.000 . 024 - 709 గా |
391.000 | ||
| EUROPEAN EQUITIES l SICAV |
98.109 | 3.024.709 98.109 |
||
| EQUITIES CLIMATE TRANSFORMATION l QUONIAM FUNDS SELECTION SICAV |
0 0 | . 963.057 N |
963-057 2 |
|
| 0 | 10.327 747.557 9 |
10.327 6.747.557 |
||
| EQUITY | (US) COMMON TRUST |
o o | . 024 . 466 বা |
4.024.466 |
| EQUITY | FUND (AU) | б 111.25 |
111.259 | |
| AND INCOME FUND | 00 | - 637 பு 175.64 ୧ ଦି 3 - 1 |
64.637 โ |
|
| 0 0 | 13.291 | 3.175.645 13.291 |
||
| IRELAND DAC | 0 | 9.006 S |
59.006 | |
| CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST | 338.028 ਟ .280-75 P |
200.752 ব - |
||
| 00 | . 540 ਪੈ |
338.028 4-540 |
||
| INTERNATIONAL INDEX TRACKING FUND INVESTMENT FUNDS ICVC AVIVA INVESTORS |
0 | 37.541 ા |
137-541 | |
| II INVESTORS MULTI-ASSET CORE FUND FUNDS ICVC AVIVA |
0 | 115.270 | 115.270 | |
| FUND GLOBAL EQUITY INCOME INVESTORS AVIVA ICVC FUNDS |
0 0 |
001 7. |
7.001 | |
| III FUND CORE MÜLTI-ASSET INVESTORS AVIVA ICVC FUNDS |
0 | .467.149 14 648 I |
-467-149 ไ |
|
| I FUND CORE MULTI-ASSET INVESTORS AVIVA AVIVA ICVC ICVC FUNDS FUNDS |
0 | 168 1. |
14.648 JEB |
|
| IV V FOND FUND CORE CORE MULTI-ASSET MULTI-ASSET INVESTORS INVESTORS AVIVA ICVC FUNDS |
0 | 4-570 | 4.570 | |
| 0 | .455 g |
. 455 б |
||
| 0 0 |
6.611 1.658 |
1-658 | ||
| FI | 0 | 03.905 | 905 6.611 83 - |
|
| 0 | 201.965 | 201.965 | ||
| ETHIQUE SOLIDAIRE | 0 | 2-609 | 2.609 | |
| ACTIONS | 0 0 |
19.431 | 19.431 | |
| O | 630.009 | 009 630. |
||
| 0 | 235.997 316.957 |
997 316.957 35 - N |
||
| 0 | 2 715.88 |
715.882 | ||
| EPSV DE EMPLEO | 0 | 2.662 | 2.662 | |
| 0 | 6.242 | 6.242 | ||
| 0 | б 88 5. 37 |
75.889 E |
||
| FONS DE PENSIONS | 0 | 597 б |
9.597 | |
| COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIQNES, P.P | 0 0 |
3.272 | 3.272 | |
| 0 | 3.425 | 3.425 | ||
| 4.527 20.938 |
4.527 20-938 |
|||
| 54.419 | 54.419 | |||
| FCP HUMANIS RETRAITE ACTIONS BAS CARBONE SOLIDAIRE DYNAMIQ THALES |
194.291 | 194.291 | ||
| 243 565. |
565.243 | |||
| FCP HGA ACTIONS SOLIDAIRE EMPLOI SANTE | 346.840 298-435 |
298.435 346.840 |
||
| Pagina 18 | ||||
| 31 Teste: |
||||
| 3.373 Azionisti in delega: |
252
EMARKET
SDIR certified
freshing
:
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione eofierita dall'Assemblea ordinaria del 19 maggio 2022
FAVOREVOLI
| Badge **D |
Proprio 0 RETRAITE ACTIONS EMPLOI SANTE Ragione Sociale HUMANIS |
Delega 912-630 |
Totale |
|---|---|---|---|
| 44 - 457 **D |
BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DEVIEOPED NATION MULTI FACTOR PRIVATELY PLACED MASTER INVESTIENT TR KOOKMIN |
0 | 44.457 912.630 |
| D D |
0 0 HOLDING AND MANAGEMENT COMPANY DPAM GLOBAL STRATEGY L AFIR |
85.319 p |
485.319 |
| D D |
0 COMPANY, N.A. INVESTMENT FUNDFOR EMPLOYEE BENEFIT TRUSTS W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWICO-AKTIEN INSTITUTIONAL TRUST GMBH ALLIANS GLOBAL INVESTORS BLACKROCK |
.135.830 317.168 9 |
30 ୧୫ . 8 L 317 6.135 |
| D D |
0 0 TRUSTS FOR EMPLOYEE BENEFIT INVESTMENT FUNDS N.A. COMPANY , INSTITUTIONAL TRUST BLACKROCK |
0 35 570.14 L 6 б ર્દ્ર વ |
9.135 . 140 64.570 ర |
| **D | 0 619-9962 ו ב TECHNOLOGY AGENCY FOR JAPAN SCIENCE AND LTD. AS TRUSTED JAPAN. SUSTAINABLE OF CUSTODY BANK BLACKROCK |
ਕ 8 9 641. |
8 9 б ed I |
| **D | C FUNDS BLACKROCK FUND, INC SÉRIES FUND OF BLACKROCK ADVANTAGE INTERNATIONAL EQUITY OE PORTFOLIO BALANCED SUSTAINABLE BLACKROCK |
5.427 | . 427 ഗ |
| **D | O BLACKROCK FUNDS V PORTFOLIO OF INCOME OPPORTUNITIES STRATEGIC BLACKROCK |
056.039 85.144 T |
. 144 ഗ്വ 8 |
| D D |
0 BRUNEI SHELL RELIREMENT BENEFIT FUND BLACKROCK |
0 6.41 |
039 6.410 રે ર . 0 L |
| **D | 0 INDEX FUND B2 ICAV IMI FONDS I EX-U.S. MSCI ACWI |
64.509 | 509 ୧ ବ - |
| **D | 0 0 BLACKROCK VARIABLE SERIES FUNDS, INC MANAGED VOLATILITY V.I. FUND OF BLACKROCK |
409.839 | 839 ਖੇ 0 9 |
| D D |
G PLC FUNDS POOLED INSTITUTIONAL BLACKROCK |
774 . 442.643 മ T L |
19.774 - 442 - 643 T |
| **D | 0 (MSXFFESGB) B FUND FOCUS INDEX FUND INDEX CDN MSCI EAFE EQUITY ESG FUELS EX-FOSSIL BLACKROCK MSCI ACWI |
166.170 | 170 66. t |
| **D | 0 t A/VBDK GMBH INVESTORS GLOBAL ALLIANZ |
6 ਟੈ 180.7 గా |
. 180.729 E |
| D D |
0 III M/LIPCO СМВН INVESTORS GLOBAL ALLIANZ |
.428 B .35 € 22 ﺎ |
22.428 35 13. |
| **D | 0 TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS BLACKROCK INTERNATIONAL INDEX V.I. BLACKROCK |
143.673 | 143.673 |
| **D | 0 VARIABLE SERIES FUNDS, INC. FUND OF BLACKROCK B FUND EX USA ESC INSIGHTS MORID |
8 વૈ 103-9 |
103.984 |
| **D | 0 THEAM QUANT- MULTI ASSET DIVERSIFIED DEFENSIVE |
8 135.36 |
135.368 |
| **D | 0 PED ALLIANZGI-FONDS |
817.147 5.931 |
17.147 8 |
| D D |
ESG INFRASTRUCTURE - ECPI GLOBAL ALLIANZGI-FONDS WERT BNP PARIBAS EASY |
. 547 488 |
.931 488.547 S |
| **D | SUPERANNUATION FUND 1190 |
200 7. |
.200 1 |
| **D | SUSTAINABLE WORLD EQUITIES l G-A. -FUND-B |
62.663 | 62.663 |
| **D | CTED 90% PROTE FUNDS - WORLD CLIMATE NAVIGATOR THEAM QUANT |
.311 141 б S ਟ 8 0 |
29.311 |
| D D |
EUROPE ESG QUALITY EASY - BNP PARIBAS |
1.214.857 | 57 485.141 8 .214 t |
| **D | FOCUS HIGH CROSS ASSET l BNP PARIBAS THEAM QUANT |
113 ব |
4-113 |
| **D | 5 CAPPED SRI S-SERIES SMALL CAPS EASY - MSCI EUROPE LITHIUM RENDEMENT |
520 ୧୫ ବି I |
20 S б ୧୫ T |
| **D | LBPAM ISR AVENIR EURO | .610.069 T |
069 elo ไ |
| **D | 0 0 OPTIMIZED ZEPHYR - EUROPE EQUITY ESG |
42.232 | 32 42-2 |
| **D | 0 TRUST EQUITY (INDEX) GLOBAL INVESTORS WHOLESALE |
340 45.315 ರಿ ರಿ 9 |
340 315 0. 545. a |
| D D |
0 EQUITIES PASSIVE GLOBAL EQUITY l ROMA QUANT- FONDAZIONE THEAM |
32.559 | 32.559 |
| **D | 0 EUROZONE INCOME DEFENSIVE WORLD GLOBAL GOALS EQUITY IESG THEAM QUANT- |
369 55. 9 |
ਤੇ ਵੱਡ 655. |
| **D | 0 OPTIMISED PLUS 2 ZEPHYR - |
573.433 | 573.433 |
| **D | 0 0 - WORLD EQUITIES G-A. - FUND-B |
54.663 | 54.663 |
| **D | 0 BETA/LOT133/FRR10E ട BNP |
713 100. |
08.713 T |
| **D | 0 BRI A/C AMMER-GIEE |
161.640 25.771 |
640 25.771 "נפו |
| D D |
0 EURO EQUITY GROWTH SYCOMORE l AMSELECT выв |
178.464 | 178.464 |
| **D | C ECBI GLOBAT ESG HYDROGEN ECONOMY FOCUS ITALIA l l EQUITY EASY PARIBAS PARIBAS вле |
145.052 | 145.052 |
| **D | 0 EUROPE EQUITY LOW VOL l EASY PARIBAS влр |
б 244.05 |
244.059 |
| **D | 0 0 MIN TE FILTERED MSCI MORID ESC - EASY PARIBAS BNB |
9 0 399.36 10.74 t |
360 9 10.74 399. T |
| Pagina 19 | |||
| Azionisti: | 31 Teste: 3.393 |
||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |

10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e alla disposizione di azionizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| BNP PARIBAS FUNDS - GLOBAL CLIMATE Ragione Sociale THEAM QUANT |
SOLUTIONS - EQUITY EUROPE DEFI |
Proprio 0 0 |
Delega 94.884 |
Totale 94 - 88 4 |
|---|---|---|---|---|
| 61-084 100.000 |
61.084 100.000 |
|||
| EQUITY | FUND E EURO GLOBAL EQUITIES BROAD |
0 | 238.893 | 238.893 |
| EASY - | GROWTH EUROPE દરિ |
0 | . 045 836.514 9 |
836.514 6.845 |
| BOND | PLAN CLIMATE CARBON OFFSET EUROPE |
0 | 3.688 | 3-688 |
| SPECIALISTEN MEDISCH STICHTING PENSIOENFORDS |
0 | 65.261 | 65.261 | |
| ACTIONS | ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO | 0 | 25.530 186.568 |
25.530 |
| III - EQUITY WORLD EMPLOYEE SCHEME |
0 | 2.466 | 2.466 186.568 |
|
| ÉASÝ - MSCI EUROPE EX CW | 0 | 745.437 | 745.437 | |
| AVE | 4.019 | 4.019 | ||
| TOSCA MAFI |
0 0 |
71.137 15.278 |
5.278 71-137 T |
|
| AFE | 0 | 121.634 | 121.634 | |
| FONDS | OB PENSION | 0 | 43.291 | 43.291 |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 693.224 | 693.224 | ||
| BNP PARIBAS DEEP VALUE BLACKROCK INDEX |
SELECTION FUND | 0 0 |
653.206 | 653.286 |
| GANO ALLIANZGI-FONDS |
2 | 32.975 .041.602 S |
32 - 975 5.041.602 |
|
| GANO ALLIAN2GI-FONDS |
0 | 5.710 | 5.710 | |
| ALLIAN2GI-SUBFONDS TOB | -NEU- | 0 | 932 21. |
21.932 |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL VALUE MANAGED VOLATILITY PORTFOLIO | 0 | 587.292 | 587.292 | |
| ALLIANZGI-FONDS SIV | 0 | .025 0 |
8.025 | |
| reis | DBI-STIFTUNGSFONDS WISSENSCHAFT SELECTION |
0 0 |
.771 .931 ഗ 0 |
5.771 . 931 B |
| EADS | INVEST FOR LIFE AKTIENFONDS | 0 | 47.700 | 47.700 |
| ALLIAN2GI-FONDS VSBM | 06.164 T |
106.164 | ||
| DPF SHI ALLIANZGI-FONDS ALLIAN2GI-FONDS |
MF DITINGER BENSIONSEONDS |
0 0 |
7.000 | 7-000 |
| DUNHILL ALLIANZGI-FONDS |
0 | 84.748 8.700 |
84.748 8.700 |
|
| 0 | 00.000 t |
100.000 | ||
| REINVEST ALLIANZGI-FONDS |
0 | 4.420 | 4-420 | |
| RENDACTIS | 0 | 260.795 | 260.795 | |
| ALL-COUNTRY ACTIONS |
PATRIMOINE RESPONSABLE INDEX FUND EQUITY |
0 0 |
512.654 | 512.654 |
| - TRUST |
EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO | 0 | 325.699 24.184 |
325.699 24.184 |
| TRUST - | TY PORTFOLIO EO/INTERNATIONAL MANAGED VOLATILI |
0 | 971.497 | 971.497 |
| INTERNATIONAL UNCONSTRAINED EQUITY FUND | 0 | . 049 . 843 1 |
7.049-843 | |
| MANAGED | INTERNATIONAL UNCONSTRAINED FUND PORTEOLIQ EQUITY |
0 | .753.749 ਟ |
2.753.749 |
| PF1 FIDELITY CONMON ALLIANZGI-FONDS |
EIDELITY EUROPE EX-UK EQUITY FUND (INVESCO) EUA l PF1-AA2-E FUND II CONTRACTUAL SEGMENT |
0 | 479.068 470.178 |
470.178 479.068 |
| OF | EUROPE EQUITY INCOME AND GROWTH MOTHER FUND BNP PARIBAS stre RE: JAPAN, LTD. |
0 | ਤੇ ਹੋ ਹੈ। 11 |
11-391 |
| 245.000 | 245.000 | |||
| ACTIONS RENDEMENT | 0 | 341.195 | 341.195 | |
| FUNDS - | EUROPE VALUE | .895.047 ਨ |
895.047 2. |
|
| DIVIDEND SUSTAINABLE FUNDS EUROPE |
107.903 | 107-903 | ||
| TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO JNL/BLACKROCK GLOBAL ALLOCATION FUND |
233.729 65.702 |
233.729 65.702 |
||
| Pagina 20 | ||||
| 31 Teste: 3.393 |
||||
| 3.373 Azionisti in delega: 20 |
||||
256

10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di zioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| D D |
SICAV BNP ÉASY ÉURO STOXX 50 ALLIANZGI-FONDS DIN |
0 0 |
000 .134.499 ഗ T ไ |
.134.499 5.000 I t |
|
| **D | ISR BNP PARIBAS VALEURS EURO |
0 | 030 58 ಕ ਟ |
.358.030 ਟ |
|
| **D | SVKK ALLIANZGI-FONDS |
0 | ರಿ 4 2 ไ |
942 ไ |
|
| D D |
ALLIANZGI-FONDS DSPT KREBSHILEE-2-FONDS |
0 D |
000 206 0 ಗಾ గా 9 |
206 30.000 |
|
| **D | BLACKROCK | B MSCI EAFE EQUITY INDEX NON-LENDABLE FUND |
0 | -764 ਰੇ I 4 T |
914.764 63 . 1 |
| **D | MSCI EÜROPE EQUITY INDEX FUND B | (EUROSECB | 0 | 075 .077. ໄ |
077.075 1 |
| **D | EQUITY INDEX ESG SCREENED EUROPE |
FUND B ( EURXCHB) | 233 199. |
199.233 | |
| **D | TILTS FUND ACWI ALPHA CDN |
0 | 904 ರ E |
39-904 | |
| **D | EXTENDED ESG CDN MSCI EAFE |
FOCUS INDEX FUND A | ਤੇ ਕ ਦ 626. |
626.345 | |
| D D |
TIMOR-LESTE WHOLESALE SCREENED DE BANCO CENTRAL ISHARES |
FUND INDEX INTERNATIONAL EQUITY (BCTL) |
0 0 |
717 95 I ഗ 320 5 |
320.717 55.195 |
| **D | THE MASTER TRUST BANK OF JAPAN, ITO. FOR FORRATION OF NATIONAL PUBLIC SERVICE PERSONNEL MITUAL AID ASSOCIATI | 0 | 20.673 | ||
| 20.673 | |||||
| **D | MSCI EMU INI INDEX FUND B (EMUINIB) | 0 | 171 5 |
5.171 | |
| **D | CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 0 | 151.039 | 151.039 | |
| **D | MSCI ACWI CDN BLACKROCK |
EX-CANADA INDEX FUND | 0 | ਕੇ 1 ਵ ਨ 25 |
252.916 |
| D D |
INDEX FUND B - ITALY (MSITE) FUND CDN WORLD INDEX MSCI EQUITY BLACKROCK |
0 0 |
. 134 902 555 3.327 |
327.902 സ് గా |
|
| **D | ESG NON-LENDABLE JIIIS ALPHA GLOBAL |
в FUND |
0 | 310 ਟ |
55-134 .310 ਟ |
| **D | WORLD ALPHA TILTS - ENHANCED FUND | B | 0 | 0 б . 7 క E |
33.790 |
| **D | EX-U.S. ALPHA TILTS FUND B (ACWITLB) GLOBAL |
0 | 289 30. |
б 30.28! |
|
| **D | DEVELOPED LARGE CAS EN GEOEXPOSURE INDEX RUSSELL |
(REMGEOB) B FUND |
0 | 574 32 |
32.574 |
| **D | THRIFT SAVINGS PLAN | 0 | 314 .417 27 |
27.417.314 | |
| **D | STANDARD LIFE INTERNATIONAL DESIGNATED ACTIVITY COMPANY | 0 | .093.754 L |
093.754 1. |
|
| **D | ਟ ਉੱਟ CRYOSTAR |
0 | 265 I |
1.265 | |
| **D | CM-AM ALIZES EQUILIBRE | 0 | . 142 85 ાં |
185.142 | |
| **D | ENTE NAZIONALE DI PREVIDENZA ED ASSISTENZA MEDICI (E.N.P.A M | 0 | 500 952 |
52.500 6 |
|
| D D |
ENTE NAZIONALE DI PREVIDENZA ED ASSISTÈNZA DEI MEDICI INVESTIGNE FUND SERVICES LIMITED |
E DEGLI ODONTOIATRI | 0 0 |
. 003 . 463 32.021 |
021.003 2. E |
| **D | 340 | 340.463 | |||
| **D | LARARFOND BALANSERAD | 0 | . 357 222 |
357 222. |
|
| **D | OHMAN MARKNAD EUROPA OHMAN MARKNAD GLOBAL |
0 0 |
226.000 244.000 |
226.000 | |
| **D | OFFENSIV LARARFOND |
0 | 233 ead. |
244.000 639.233 |
|
| **D | SERVICES PTY LTD FUND APEX |
0 | 60.570 | 60.570 | |
| **D | LARARFOND FORSIKTIG | 0 | 579 23 |
23.579 | |
| **D | OHMAN GLOBAL | 0 | 891.672 ਟ |
91.672 8 ਟ |
|
| **D | BANK SWISS NATIONAL |
0 | -137 598 ટ દ |
98-137 S 6. ਟ |
|
| **D | LUX SUISSE CREDIT CSIFIS |
BALANCED CHF FUND PORTFOLIO |
0 | 0 0.88 L |
088.00 |
| **D | LUX SUISSE CREDIT CSIFIS |
BALANCED USD FUND PORTFOLIO |
0 | . 680 б |
9.680 |
| **D | PORTFOLIO LUX SUISSE CREDIT CSIFIS |
EUR GROWTH FUND |
0 | 37.120 | 37.120 |
| **D | אַנד SUISSE CREDIT CSIF 12 |
USD YIELD FUND PORTFOLIO |
0 | .512 P |
4 - 512 |
| **D | LUX SUISSE CREDIT 12 CSIF |
EUR AIETD FUND PORTFOLIO |
0 | 54.160 | 54.160 |
| **D | FORTD LIQUID REAL ASSETS FULCRUM |
0 | .744 । ਕੈ |
744 1 चै . |
|
| **D | ASSURANCE VIE CARDIE |
0 | 602.740 1. |
602.740 1. |
|
| D D |
DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO DE ARGENTA |
FUND | C 0 |
600.200 0 53.33 |
53.330 608.200 |
| **D | ASSET MANAGEMENT SA REPRESENTING ARGENTA ARVESTAR |
PENSIOENSPAARFONDS DEFENSIVE | 0 . ടട 124 |
124.550 | |
| **D | SA MANAGEMENT ASSET ARVESTAR |
PENSIOENSPAARFONDS REPRESENTING ARGENTA |
00 | 0 .696.70 T |
1.696.700 |
| Pagina 21 | |||||
| Azionisti. | 3.393 | 31 Teste: |
|||
| Azionisti in proprio; | 20 | 3.373 Azionisti in delega: |
|||

્ટડડ
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e di zzioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022
| FAVOREVOLI | ||||
|---|---|---|---|---|
| Badge | Ragione Sociale | |||
| ★★★ | ADAMI SERGIO | Proprio | Delega | Totale |
| ★★★ | GIORGIANNI FRANCESCO | 0 0 |
-262 -367 ไ t |
1.262 |
| **D | CENTRE GLOBAL INFRASTRUCTURE FUND | 0 | 1.367 | |
| **D | FUNDS PLC SANLAM UNIVERSAL |
. 146 141 |
141.146 | |
| **D | AC 130 30 FUND WORLD TOPS MACCF |
o o | 50.210 | 50.210 |
| **D | AC 50 FUND 150 TOPS MACCE MORID |
0 | 1.247 2.449 |
247 ໄ |
| **D | SECURA SIJOITUSRAHASTO AKTIA |
0 | 2.449 | |
| **D | EUROPA SIJOITUSRAHASTO AKTIA |
100.000 | 00.000 t |
|
| **D | PRUDENTIAL LEGACY INSURANCE COMPANY OF NEW JERSEY | G 0 |
50.000 P |
450.000 |
| **D | LIFE ASSURANCE BUBLIC COMPANY LIMITED MUANG THAI |
7.654 T ారా |
417.654 | |
| **D | STICHTING PENSIOENEONDS PROVISIM | 0 | 90.795 ﺎ |
190.795 |
| **D | 36 MUTB4000215 RE: LTD. JAPAN, THE MASTER TRUST BANK OF |
0 | 36.118 | 36.118 |
| **D | STELLAR INSURANCE, LTD | G | 613-514 | ਦੇ I 4 613. |
| **D | ABU DHABI PENSION FUND | 0 0 |
8 38.00 |
008 30. |
| **D | FOR TRUSTEE AS LTD. MASTER TRUST BANK OF JAPAN, THE |
FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI | C 929.821 |
750.262 821 29 6 |
| 750.262 | ||||
| **D | SBC MASTER PENSION TRUST | 63.243 | 63.243 | |
| **D | 1934 GLOBAL INVESTMENT FUND LP | 000 | 310-918 | 310.918 |
| **D | FUNDACAO CALOUŞTÉ GULBENKIAN | 32-221 L |
221 32. L |
|
| **D | SICAV DIRECT ING |
0 | 410.605 | 410.605 |
| **D | ਕੇ 2 RE: MUTB4000214 JAPAN, LTD. BANK OF TRUST MASTER THE |
0 | 220.104 | 220.104 |
| **D | ਟ RE: MTBJ4000255 TRUST BANK OF JAPAN, LTD. MASTER THE |
0 | 30.513 | 513 30. |
| **D | WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND 2NB |
0 | 142.590 | ર વે ૦ 142. |
| **D | NEI CLEAN INFRASTRUCTURE FUND | 0 | 68.872 б |
872 968 - |
| **D | DVAN DIVERSIFIEDLIQUID ALTERNATIVESPCP | 0 | 4.948 | ਰੇ ਖੇ ਉ 4 - |
| **D | INVESTMENTGMBH ON BEHALF OF DEAM FONDS ZATI DMS |
0 | 6.013 | 6.013 |
| **D | L FUND SHAW ALLCOUNTRY GLOBAL ALPHA EXTENSIONCUSTOM DE |
0 | 12.447 | 12.447 |
| **D | LB STOCKSELECTION II MASTER ACCOUNT AOR |
0 | 3.040 | 3-040 |
| **D | PORTFOLIO PORTFOLIOS UTILITIES SELECT FIDELITY |
0 | 0 50.20 S |
50.200 5 |
| **D | CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 0 | 794.054 7. |
.794.054 1 |
| **D | S.A. VIDACAIXA, |
0 | 570.044 1. |
570.044 I |
| **D | S.A. KUTXABANK GESTION SGIIC, |
0 | . 8 ୧୧ 8 ਦੇ ਪ ঘ |
8 6 6 54 - 8 P |
| **D | PENSIONES, S.A., SGFP KUTXABANK |
0 | .207 607 |
607.207 |
| **D | AQR TAX AWARETOTAL RETURN FUND LLC | 0 | .014 8 ਟ |
|
| **D | CMAP SRPA FUNDLIMITED | 0 | .797 б |
797 28.014 9. |
| **D | LP TAX ADVANTAGEDGLOBAL EQUITY MARKET NEUTRAL FUND AOR |
0 | 9 65.03 |
65.036 |
| **D | BELGIUMLIMITED CIN |
0 | 0 73 |
730 |
| **D | BANCO BILBAO VIZCAYA ARGENTARIA SA | 0 | 622.336 2 |
.622.336 ਟ |
| **D | INVESTMENT EATON VANCE TRUST COMPANY COLLECTIVE |
0 | 15.742 | 15.742 |
| **D | STICHTING DE NATIONALE ALGEMEEN PENSIOENFONDS | 0 | . 314 e I |
61.314 |
| **D | BENEFI INSURANCE OFFICE PLC STAFF RETIREMENT ECCLESTASTICAL |
0 | 255.000 | 55.000 ਟ |
| **D | OEIC THE NFU MUTUAL |
0 | 77.762 | 762 77. |
| **D | MANAGEMENT LTD EDENTREE ASSET |
0 | 16.500 | 16-500 |
| **D | EDENTREE INVESTMENT FUND SERIES 1 EDENTREE GREEN FUTURE FUND | 0 | 122.000 | 122.000 |
| D D |
30 SHARES PORTFOLIO SANTANDER MAX SANTANDER |
0 | 92.791 | 791 92 - |
| **D | PORTFOLIO SHARES SHARES 50 PERCENT PERCENT 70 MAX MAX SANTANDER |
0 | 25.051 5 |
25.051 9 |
| **D | INGE FOCAL 793 MEMBERS BENSION BENEFIT TRUST OF PORTFOLIO |
0 | 50.761 ന്ന |
50.761 8 |
| **D | AUTORIDADE MONETARIA DE MACAU | 0 | 33.103 T |
133.103 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS BLOOMBERG | 450.112 | 112 50. ਸ |
|
| 8 42.03 |
42.038 | |||
| Pagina 22 | ||||
| Azionistı: | 31 Teste: 3.393 |
|||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |
256

10:00 200
i este.
Azionisti in delega:
Azionisti in proprio:
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revorizzazione conferita dall'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale 9.044 154 64.389 .410. বা Delega б P P 49.04 1.410.15 64-38 |
ਰੇ ਰੇਖ 265 000 -418.144 30. 1. 212. 0 ਟ S S 0 000 000 418.144 ਰੇ ਰੋ 212.26 ഗ ਟ |
ਦੇ ਦੇ ਰੇ 8 3 3 4 3.058 32.602 73.61 661 - 67 - 5 E 373.618 567.334 32.602 661.569 8 3.05 |
188 324.099 432.353 ਰੇ ਕੇ I 605 . 909 85.436 13.049 .609.661 273. 45 . 5 ਟ ਟ 6 3.049 3.163.723 432-353 273.991 584.909 5.436 609.661 5.18 324.09 P 28 ไ ਟ |
832 б 23.836 6 38.406 238-365 . 939 163.723 166.235 120.744 106.136 7.776 45.496 111.792 . 562 15.891 240.734 262.572 15.694.362 6.562.024 17.713 405.686 7.455 226.007 085 . 481 39.870 -520.854 605.634 444.39 31.33 18 б 8 32 ﺴﺎ ದ E T ১ ไ 8.406 136 32 235 6 7.776 836 120.744 ਰੇ I 1.339 ਰੇ ਦ 734 262.572 024 870 713 ਦ ਤੇ ਪ 085 238.365 111.792 362 189.8 405.686 854 7.455 ਰੇ ਤੇ ਰੋ ୧೭ 226.087 444.39 8 5.8 4 ഹ 106. 562. 520. 240. 17. 3. 79. 05. 166. . 694 . 5 б 0 ਟ ప్ I ਟ € प I € ಗ್ E 9 ല 9 1 3 L I |
178.646 178.646 |
|---|---|---|---|---|---|
| Proprio 0 0 0 |
0 0 0 0 |
0 0 0 0 0 0 |
0 0 0 0 0 0 0 0 |
0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 |
|
| AKTI | AKTIER | TRUST FUND FUND |
Pagina 23 3.373 31 |
||
| SUBSIDISED SCHOOLS PHOVIDEMI FUND ALASKA PERMANENT FUND CORPORATION INTEL RETIREE MEDICAL PLAN TRUST Ragione Sociale INTL BESS LP |
INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS GLOBALE KAPITALFORENINGEN INVESTIN PRO ACADIAN GLOBAL VALUE US EQUITY CORE MARKET CONTINUOUS ILC PLC TRUST MURRAY INTERNATIONAL TACS NON |
INVESTERINGSFORENINGEN INVESTIN SAMPENSION GLOBALE BNYM MELLON DT NST INTERNATIONAL STOCK INDEX FUND EQUITY INCOME FUND LTD SUSTAINABLE GLOBAL SOUTH AFRICA QUILTER CHEVIOT LTD BANK OF BAY WELFON STANDARD |
SACHS TRUST - GOLDMAN SACHS INTERNATIONAL EQUITY IN GOLDMAN SACHS AND CO PRICE GROWTH OPPORTUNIT BNYM MELLON BE NST INTERNATIONAL EQUITY EUND CONCENTRATED EQUITY PRIVATE POOL AST T ROWE AND GROWTH FUND FOUNDATION INC GLOBAL EQUITY FUND CORPORATE CLASS FIMITED SERIES TRUST INCOME TECH SELECT GLOBAL GLOBAL VIRGINIA ADVANČED GOLDMAN |
MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST COMPANY INTERNATIONAL EQUITY COMMON FUNDS GLOBAL SUSTAINABLE INFRASTRUCTURE DIAMOND INTERNATIONAL EQUITY LIMITED PARTNERSHIP GLOBAL INFRASTRUCTURE INCOME ETF TIMITED LEADERS EQUITY ETF INVEST VERDENSINDEKS SACHS PROFIT SHARING MASTER TRUST INDEX FUND TEXAS PERMANENT SCHOOL FUND CORPORATION DI PERBADANKAN FIDUCIARY INVESTMENT FUND CONSOLIDATED EDISON RETIREMENT PLAN INDEX FUND VOYA VACS INDEX SERIES I PORTFOLIO HOLDINGS INC LEGAL AND GENERAL UCITS ETF PLC FUND FUND FUND FUND FUND EX US POCLED FUND NATIONAL BANK FINANCIAL INC DANMARKS GRUNDFORSKNINGFOND 3 FUTURELEGACY 7 ഗ 9 P WORLD XTRACKERS MSCI EAFE ESG FUTURELEGACY FUTURELEGACY STOCK KUMPULAN WANG PERSARAAN FUTURELEGACY FUTURELEGACY EMD GOVERNMENT OF BERMUDA MANAGEMENT WESPATH FUNDS TRUST ты FORDHAM UNIVERSITY KAPITALFORENINGEN EUROPEAN FTSE ALL EQUITY UOF INVESTMENTS MULTI ADVISOR DIVERSIFIED BNY MELLON BNY RELLON MELLON BNY MELLON BNY MELLON MELLON THE ZEDRA MACQUARIE GLOBAL VANGUARD VANGUARD GOLDMAN |
Azionisti in delega: Teste: 3.393 20 |
| Badge D D D D |
D D D D |
D * * D D D D |
CI CI CI CI D D D D D D * D *D |
RED אר BNY CI D D D D D D D D * D D D D D D D D D D D D D D D D D D D D *D |
Azionisti in proprio: Azionisti: |

10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 54-423 | 54.423 |
| ** D | ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | C | 61.780 | 61.780 |
| **D | BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | g | 229 19. t |
119.229 |
| **D | MANUFACTURERS LIFE INSURANCE COMPANY THE |
0 | 682 144. |
144.682 |
| **D | INCARNATE WORD THE OF THE CONGREGATION OF THE SISTERS OF CHARITY |
0 | 393 00. B |
800.393 |
| **D | IQ 500 INTERNATIONAL ÉTF | C | 294 172. |
172.294 |
| **D | INTERNATIONAL LLC LEXINGTON |
0 | 793 9 て |
26.793 |
| * * D | INTERNATIONAL LLC CERVURITE |
0 | 264.317 | 64.317 ਟ |
| **D | MARANIC II LLC | 0 | 406 8 |
. 406 8 |
| **D | TERREBONNE INVESTMENTS LP | G | 05 9 ਟ |
. 605 ১ ﺎ |
| **D | WINDFALL INVESTMENTS LP | 0 | 7 - | |
| **D | PHILANTHROPAR INVESTMENTS IP | 0 | 155 323 |
. 323 7.155 |
| **D | OAK HILL INVESTMENT MANAGEMENT | 0 | 4 - | বা |
| **D | OHSU FOUNDATION ENDOMMENT FUND LP | 0 | 245 42. |
.245 ಳು ನ |
| **D | 986 20. |
20.986 | ||
| **D | BRIDGEMATER INPLEMENTATION FUND IV LIC LLC MASTERS I |
0 | 829 27 - |
27.829 |
| **D | STICHTING PENSICENFORDS NOTARIAAT | 0 | 824 63 - |
63.824 |
| **D | EQ DCG DEUTSCHE |
0 | 24.616 | 24.616 |
| **D | OPPORTUNITY FUND FUNDS VI BNY MELLON BALANCED BNY MELLON INVESTMENT |
0 | 8 4 5 7. ਟ |
27.045 |
| **D | ETF MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX |
0 | 78.782 | 78.782 |
| **D | OPERATING CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF |
0 | 146.059 | 146.059 |
| **D | 0 | 347 263. |
263.347 | |
| WELLS FARGO BANK N A | 0 | 4-231 | 4.231 | |
| **D | MAN GLG EUROPEAN ALPHA INCOME FUND | G | 8 ਰੇ 3 | 8 ਰ 3 |
| **D | CITW FUND IP | 0 | 320 15. |
320 5. ไ |
| **D | AMITY BALANCED FUND FOR CHARITIES FUND | 0 | 40.000 | .000 0 r |
| **D | HIGHER INCOME FUND | 0 | 00.000 8 |
0.000 80 |
| **D | AMITY INTERNATIONAL FUND | 0 | .120.000 ไ |
.120.000 |
| **D | FOND EUROPEAN AMITY |
0 | 700.000 | . 000 700 |
| **D | GEORGETOWN UNIVERSITY THE | C | 48.710 N |
248.710 |
| **D | MOTHER CABRINI HEALTH FOUNDATION INC | 0 | 105.000 | 05.000 t |
| **D | INVESCO MARKETS II PLC | C | 212 200 - |
.212 8 0 ਟ |
| **D | MINISTRY OF DEFENSE FENSION FUND OF THE SULTANATE OF OMAN | C | 720 207. |
207.720 |
| **D | GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO | C | 303 33 - |
33.303 |
| **D | ROTHSCHILD MARTIN MAUREL | 0 | 783.490 | 83.490 1 |
| **D | TEXAS UTILITIES QUAL NDT PARTNERSHIP | 0 | 267 37. |
37.267 |
| **D | SHELL CANADA 2007 PENSION PLAN | 0 | 180 12. |
.180 12 |
| **D | b ENDOWMENT PORTEOLIO L |
4-085 | 4.085 | |
| **D | THE NONREPRESENTED EMPLOYEES OF SOUTHERN CALIFORNIA EDISON COMPANY 1999 VOLUMBAR EMPLOYEES BENEFICIARY ASSOCIATION OF |
D | 8.388 | |
| 0 8.38 |
||||
| **D | SHARON D LUND RESIDUAL TRUST | 0 | 379 র্ব - |
.379 যা |
| D D |
MANAGERS LTD MICHELLE LUND REV TRUST BLACKROCK FUND |
0 0 |
831 ర ഹ |
5.831 |
| **D | HOR THE SISTERS OF CHARITY OF THE INCARNATE OF CONGREGATION |
0 | 85 389 14 - . 469 . য |
.469.985 P |
| **D | MARSHFIELD CLINIC SALARY REDUCTION PLAN | 0 | ୧୫ E 0 8 |
38 ਰ ୧୫ 80.3 I d |
| **D | INV BENEFIT COLLECTIVE ENDLOYEE YORK MELLON NEW OF BANK THE |
0 | .262.749 | 262.749 L |
| **D | INVESTMENT FUND PLAN COLLECTIVE BENEFIT YORK MELLON EMPLOYEE NEW OF BANK THE |
0 | 187 .461. 5 |
.187 d 61 ഗ |
| **D | EUND CF SL INTERNATIONAL STOCK INDEX BRAN MELLON |
78 S 603 |
0 3.57 ୧୦ |
|
| **D | FGR FONDS 18 a 2 |
977 . 060 - t |
060.977 T |
|
| **D | FONDS STICHTING 1 1895 |
રે ક б 9 ల |
8 S . ਰੋ રે ર |
|
| **D | LISTED INFRASTRUCTURE FUND FIRST SENTIER INVESTORS ICVC FIRST SENTIER RESPONSIBLE |
9 ம் ਟ 9 8 ไ |
9 S . 2 ଚି ହ I |
|
| Pagina 24 | ||||
| Azionisti . | 31 Teste: 3.393 |
|||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |
258
EMARKET
SDIR
GRTIFFE
ద్య
9
Azionisti in delega:
Azionisti in proprio:
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione entferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS KAPITALFOREMINGEN INVESTING PRO VELLIV MORLD EQUITY |
0 | ੜ ਹੈ ਕ .077. T |
.077.119 t |
| D D |
EQUITY ETF GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE PLANET FUND VIRTUS NFJ INTERNATIONAL VALUE |
C | વે છ ഗ 15 ల |
96 S 315 |
| **D | THE UNIVERSITY OF GLASGOW OF COURT UNIVERSITY THE |
0 0 |
4 1 8 3. € 0 L |
.418 -033 T |
| **D | CO LTD BANK CONSORTIUM TRUST |
C | 333 ਰੇ ਪੈ б 6. ల 9 б ১ |
ਤੇ ਤੇ ਰੇ ਪੈ 3 б E ୧୧ ర ਟ |
| **D | FUND SERIES SMART EUROPEAN EQUITY FUND INVESTMENT POOLED BCT |
0 | 216 7. ਪਾ |
.216 47 |
| **D | ALCOA FOUNDATION | G | 740 ﻟﻠﺪ m |
. 740 பு E |
| D D |
SHELL NEDERLAND PENSIOENFONDS STICHTING | 0 | 598 1 |
598 ﺎ |
| **D | DUSTRIEEN MEUBILERINGSBEDRIJ ION PORTFOLIO DE MEUBELI N PRESERVATION ASSET ALLOCAT BEDRIJFSTAKPENSIOENFONDS VOOR AST TRUST SERIES STICHTING ADVANCED |
0 0 |
253 5. ਦੇ ਤੋ |
635.253 |
| **D | PORTFOLIO ALLOCATION BALANCED ASSET AST TRUST SERIES ADVANCED |
0 | 832 319.055 603. โ |
319.055 |
| **D | ASSET ALLOCATION PORTFOLIO GROWTH CAPITAL AST TRUST SERIES ADVANCED |
0 | 239 51. . 0 2 |
. 239 832 .051 . 603 T ਨ |
| **D | FOLIO QUANTITATIVE MODELING PORT AST TRUST SERIES ADVANCED |
0 | ਤੇ ਤੋਂ ਦ 123. |
335 123. |
| **D | EUROPE LTD QUILTER CHEVIOT |
0 | 11.461 | .461 11 |
| D D |
RETIREMENT SYSTEM EMPLOYEES COUNTY MACOMB MACOMB |
0 | 54.053 | 54.053 |
| **D | TRUST COUNTY INTERMEDIATE RETIREES MEDICAL BENEFITS FOND INCOME MELLON GLOBAL INFRASTRUCTURE BNY |
0 0 |
.009 ഗ |
009 б |
| **D | SYSTEM STATE RETIREMENT ARIZONA |
0 | 0 ਕੋ 9 342.214 411. |
.214 2 ਤੇ ਪ |
| **D | SYSTEM STATE RETIREMENT ARIZONA |
0 | 970 .778. T |
970 411.049 .778 I |
| **D | FOUNDATION FOREST |
0 | . 052 T |
052 - T |
| D D |
GLEL PARA FUND SEQUOIA |
0 | 279 | 279 |
| **D | ONE GLB STEWARDSHIP PARA мөм |
0 | 804 P |
80 d 5 |
| **D | OF C D WEYERHAEUSER NUMBER IRREV TRUST TRUST 1975 |
0 | ୧ - ୧୫୧ | ਰੇ ୧ 9 9 |
| **D | IRREVOCABLE TRUST OF CD WEYERHAMMSER 1973 |
0 0 |
5.223 | .223 பா |
| **D | SYSTEM BARBARA COUNTY EMPLOYEES RETIREMENT SANTA |
0 | 4.761 91.039 |
4.761 |
| **D | INC FÜND INCOME SELECT DRE |
0 | 32-200 ಷ ப |
039 .332-200 91. 5 |
| **D | ENPLOYEE RETIREMENT INCOME PLAN TRUST ਤੇ ਮ |
0 | 274.845 | 274.845 |
| **D | ENFOXEES RELIBENENT SYS PENNSYLVANIA STATE OE COMMONWEALTH |
0 | .677 e o |
677 60. |
| **D | ETF EQUITY INTERNATIONAL MELLON BNY |
0 | 07.434 ਟ |
07 - 434 2 |
| * * D **D |
EQUITY ETF XTRACKERS MSCI KOKUSAT |
0 | ರಿ ನಿರ್ದಿಕೆ 5. ರಿ |
958 ી રે |
| **D | CHURCH THE PRESBYTERIAN SEMINARY OF PITTSBURGH THEOLOGICAL MARION |
0 | 50.903 | 903 50 |
| **D | CANDRIAM ESG INTERNATIONAL EQUITY ETF TRUST PARTITION BRADLEY IQ |
0 | 20.395 | 20.395 |
| **D | KT EUROPA VALUE INDEX SPARINVEST INVESTERINGSFORENINGEN |
0 | 23.639 | 123.639 |
| **D | KL SUSTAINABILITY WORLD JONES DOW INDEX SPARINVEST INVESTERINGS FORENINGEN |
0 0 |
203 147 . |
203 147. |
| **D | YORK MELLON INTERNATIONAL LIMITE BANK OF NEW THE |
0 | 90.097 325.315 C |
325.315 |
| **D | FÜND ESB PENSION THE |
0 | - 613 51 ट |
390.097 ei 3 51. ਟ |
| **D | INC RETURN FUND VIRTUS TOTAL |
0 | 959 86. б |
986.959 |
| **D | ETF EX US REDGED EQUITY ALL WORLD XTRACKERS MSCI |
0 | аез 42 - |
863 42 |
| **D | CO LTD FUNDS PUBLIC GLOBAL cars |
0 | 0 00 50. ১ |
000 50 ਟ |
| **D | STATE OF WISCONSIN INVESTMENT BOARD | 0 | 26.265 S ਟ |
265 526 ਟ |
| D D |
AIB GROUP IRISH PENSION SCHEME KOREA BANK OF |
0 | ਟ 219.59 |
592 ਨ 1 9 |
| **D | ASSET CB RASTRUCTURE QUALIFIED INVESTORS PRIVATE PLACEMENT SEECIAL KOOKMIN BANK ACTING AS TRUSTEE OF HANA ALTERNATIVE |
0 | P 12.33 |
3 3 4 12 |
| 84.848 | A | 0 | 84.848 | |
| **D | NN PARAPLUFONDS 1 NV | G | .039.112 1 |
.039.112 |
| D D |
EATON VANCE MANAGEMENT | 0 | 915 1 |
815 ﺎ |
| **D | DPCTA MASTERFONDS OF ONIVERSAL INVESTMENT GESELLSCHAFT MBH ON BEHALF THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST |
0 C |
0 ﺎ . 05 21 ా 12 |
611 12.050 - b |
| Pagina 25 3.393 |
||||
| Azionisti: | 31 Teste: |
|||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |
EMARKET
SDIR
CRIFF ון)
ﻟﺘﻨﺘﺞ ﺍﻟ
0
3.373
ટડવ
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | |||
|---|---|---|---|---|
| **D | SYSTEM TRUST FUND FLORIDA RETIREMENT |
0 Propri |
Delega 236 ਬਾ |
Totale |
| **D | LP N VEBA PARTNERSHIP |
a - a 1 e 1. - 18 દન |
4.181.236 | |
| **D | FUNDS PLC BNY MELLON GLOBAL |
.026.617 I |
026.617 19.916 T |
|
| **D | LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 975 ದ್ |
3.975 | |
| **D | EMD INVEST GLOBALE AKTIER III KAPITALFORENINGEN |
929 27 . |
27.929 | |
| **D | MILMINGTON INTERNATIONAL FUND | 63.047 | 63.047 | |
| D D |
UK ENHANCED INDEX FUND FUND UK EUROPEAN EQUITY EX UK GLOBAL INVESCO INVESCO |
364 . 524 . 2 |
. 364 7-524 |
|
| **D | પ્રદ FUND INCOME EUROPEAN EQUITY INVESCO |
953 -325.713 9. ໄ |
. 953 .325.713 б L |
|
| **D | GLOBALE AKTIER BASIS INVEST INVESTERINGSFORENINGEN NYKREDIT |
62.040 | 0 62.04 |
|
| * * D | INVEST TAKTISK ALLOKERING INVESTERINGSFORENINGEN NYKREDIT |
ਰੇ 8 8 66. |
8 66.89 |
|
| **D | FUND UK TARGETED RETURNS INVESCO GLOBAL |
26.103 | 5 26.10 |
|
| D D |
INTERNATIONALE KAPITALANLAGEGESSANDSCHANT MBH ACTING TEXAS SYSTEM OF EMPLOYEES RETIREMENT |
51 ১ 5.705. |
5.705.251 | |
| **D | FOR ACCOUNT OF 2FO AKTIEN EUROPA โ EQUITIES KAPITALFORENINGEN INVESTIN PRO GLOBAL |
000 89. E |
389.000 | |
| **D | PRUDENTIAL GROWTH ALLOCATION PORTFOLIO TRUST AST SERIES ADVANCED |
ਰੇ ਧੋ 190 0" TEE 844 - |
b 844.190 .09 331 |
|
| **D | PLC MARKETS III INVESCO |
598 13. |
8 3.59 ਜ |
|
| **D | ELE MARKETS UCITS EMERGING RAFT FTSE INVESCO |
60 б 116. |
0 116.96 |
|
| D D |
S ETF DEVELOPED MARKETS EX U FTSE RAFI INVESCO |
368 1.570. |
.570.368 T |
|
| **D | EQUITY FUND GREAT WEST CORE STRATEGIES INTERNATIONAL LIMITED LIFE BLACKROCK |
215 72 |
72.215 | |
| **D | BLACKROCK GLOBAL FUNDS | 67 ୧ ਤੋ б 8 51. 6.204. l S |
. 967 6.284.863 151 S |
|
| **D | GLOBAL WIND ENERGY ETF TRUST FIRST |
463 ਰੇਵੇ . |
964.463 | |
| **D | CLEAN EDGE SMART GRID INFRASTRUCTURE IND NASDAQ TRUST FIRST |
200 6. B p |
6.200 ਪੋ ਬ |
|
| **D | VIRGINIA RETIREMENT SYSTEM | .370.386 t |
9 .370.38 ไ |
|
| **D | INVESCO FUNDS | 0 | 216 .609. б |
9.609.216 |
| D D |
50 50 BALANCED PORTFOLIO PGIM PSF FUND E OND UTILITY SERIES THE PRUDENTIAL JENNI SON PGIN |
914 .024. பு |
5.024.914 | |
| **D | PORT PSF PGIM FLEXIBLE MANAGED FUND SERIES THE PRUDENTIAL |
077 166 11. 6. |
.077 8 9 |
|
| **D | FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST AND ELECTRIC COMPANY NUCLEAR GAS PACIFIC |
005 32. ਟ |
8 ટ 9 11-1 . 0 232 |
|
| **D | INTERNATIONAL INDEX FUND GREAT WEST |
843.435 | 843.435 | |
| **D | INC BIC BNY MELLON CLOBAL EQUILIT FUNDS GLOBAL BNY MELTION |
. 416.669 1 |
-416.669 ા |
|
| **D | TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID FIRST MACQUARIE |
200 353. |
208 353. |
|
| D D |
BANK OF KOREA | 0 | ਨੇ 8 ਕੋ ന്മ |
- 984 8 |
| **D | VAERDIPAPIRFONDEN SPARINVEST INDEX SYSTEM FIREFIGHTERS RETIREMENT |
146.125 | 146.125 | |
| **D | PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 27.435 | 27.435 | |
| **D | FUND EQUITY FÜND AP 7 NATIONAL PENSIÓN SHEDISH THE SEVENTH |
160 0.314.691 527. ﺎ |
527.160 10.314.691 |
|
| **D | SERIES TRUST AST INTERNATIONAL GROWTH PORTFOLIO ADVANCED |
618 716. |
716.618 | |
| **D | INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 951 33. |
33.951 | |
| D D |
SECURITIES FUND INFRASTRUCTURE GLOBAL MACQUARIE LE |
857 295. |
57 295.0 |
|
| **D | OVERSEAS FUND STANLIB FUNDS LIMITED FUNDS INC PRINCIPAL |
ਦ 63 247. |
247.563 | |
| **D | SOLUTIONS LTD LINK FUND |
048 027 36. 8 Ф |
36.048 | |
| 0 年中 |
GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 205.716 | 205.716 48.027 |
|
| **D | FUND ABB PENSION |
107 12. |
12.107 | |
| **D | EQUAL WEIGHT INDEX ETF P EUROPE 350 INVESCO S AND |
୧୫ ନ 3. |
5 3.68 |
|
| **D | FUND GLOBAL VALUE IA ClaringTon |
176 8. S |
.176 58 |
|
| D D |
INC INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI |
92 1.019.034 8 5. 0 S |
92 .019.034 B 505. L |
|
| Pagina 26 | ||||
| Azionisti: | ਤੇ। Teste: 3.393 |
|||
| Azionisti in proprio. | 3.373 Azionisti in delega: -20 |
150
EMARKET
SDIR certified
ప్ర
الاس الاست
Azionisti in delega:
Azionisti in proprio.
10 maggio 2023 15.37.01
Assemblea Ordinaria del 10 maggio 2023
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione eonferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale . 142 11-895 Delega 95.142 11.8 |
65 B 147. 865 147 |
304 92 5 E 304 5.209 ਰ 2 3 |
209 .019 ਤੇ ਰੇ 019 39. |
911 575 911 75. S |
. 084 ర్ 9.084 |
263.265 263.265 |
247 59.757 316. 757 316.247 59. |
.063-164 L .063.164 I |
.470.000 T 0 -470.00 L |
.683.630 t 1.683.630 |
20.121 20.121 |
103.068 03.068 |
200 42 200 ರ ನ |
182.310 68.139 139 82.310 69. ਹ |
337.441 337.441 |
.199.252 T .199.252 ໄ |
234 .125. ਟ 125.234 ਟ |
217 362 362.217 5.167 |
167 386 219 ഹ 386 219. |
90 9 21 21.690 |
809 687 . б 687.80 |
.034.778 ਟ 8 77 .034. ਟ |
88.961 . 349 22 T ג בנ 22.349 188 - |
418.787 787 18. য |
વ વિશ્ વે રે б 20 9 945.48 0 ਟ |
95.118 8 11 95 - |
253 322.397 ਰੋ ਰੋ 8 ਤੇ 97 99.253 22. E 8 |
85.252 . O T 085.252 1. |
053 ਰ 6. L 196.053 |
ਰੇ 4 ਦ 12 S ਰੇ ਖੋ 12. |
41.251 .251 41 |
27.145 . ਰੋ T 145 927. T |
.576 04.662 ਰੇਤੇ T 576 104.662 93. |
488 б 8 ਹੋ ਉ 9. |
142 ਰੇ ਉ ਟ 98.142 |
. 530 4 O 40-530 |
150 377. 150 77. ದ |
167 238. 238.167 |
401.757 56.300 300 401-757 ടല. |
. ਦ.79 142 .579 142 |
. 961 32 32.961 |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprío 0 |
0 | 0 | 0 | 0 | 0 | 0 | O | D | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 0 |
0 | Q | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 0 |
C | C | 0 | 0 | 0 | 0 | Pagina 27 | ||||||||||
| INTERNAT BETA ACTIVE HEDGED FTSE INTERNATIONAL ETF SACHS GOLDMAN |
EUROPE E BETA ACTIVE SACHS GOLDMAN |
ETF HEDGED EQUITY |
PORTFOLIO | THE CLAUDE MARIE DUBUIS RELIGIOUS AND CHARITABLE TRUST | TRUST CHARITABLE |
CONGREGATION OF THE SISTERS OF CHARITY OF THE INCARNATE WORD | BPT FORDS DM2 OF BEHALF ON |
ਟ 6KN FONDS DNS OF BEHAILF ON |
ਨ AVD FONDS 0% S OF BEHALF ON |
TRUST | RETIREMENT SYSTEM OF LOUISIANA GLOBAL LISTED REAL ASSETS FUND |
GLOBALE AKTIER LI INVEST |
KAPITALFOREMINGEN LAEGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT ADMINISTRATION AS | FUND REAL ASSET MSCI EUROPE HEDGED EQUITY ETF FUNDS INC DIVERSIFIED |
ETF DEVELOPED EX NORTH AMERICA FTSE |
BANK OF SOUTH AFRICA LTD | FTSE DEVELOPED EX US MULTIFACTOR ETF ETF EAFE HEDGED EQUITY |
QUALIFIED CPUC DECOMMISSIONING MASTER TR NUCLEAR FACILITIES |
INDEX FUND CONCORD STREET TRUST FIDELITY INTERNATIONAL |
TRUST | INVESTINENT EUNDS III BAY MELTON GLOBAT EQUITY INCOME EUND | EQUI STOCK FUNDS BNY MELLON INTERNATIONAL CORE |
FOND INDEX STOCK |
EQUITY INCOME FUND | TRUST SETTLEMENT SYSTEM |
DETROIT OF THE CITY OF |
INVESTMENT | TRUST INVESTMENT GMBH | FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | FUND VIRTUS DUFF AND PHELPS GLOBAL INFRASTRUCTURE |
WMC INTERNATIONAL DIVIDEND ETF | 31 Teste: ਤੋਂ ਤੇਰੇਤ |
|||||||||||
| BNY MELLON GLOBAL INCOME FUND Ragione Sociale Badge D D |
ETE TRUST IQ 50 PERCENT SACHS GOLDMAN |
ETF TRUST SACHS GOLDMAN |
XTRACKERS MSCI EUROZONE | INTERNATIONAL INDEX VOYA |
THE AMERICAN UNIVERSITY IN CAIRO | WORD INCARNATE |
TRUST ARIZONA PSPRS |
СИВН INVESTMENT DAS |
GMBH INVESTMENT Divis |
GMBH DNS INVESTMENT |
ENERGY PENSION MASTER SEMPRA |
TEACHERS DELAWARE |
INVESTERINGSFORENINGEN LAEGERNES | LIFE LID BLACKROCK |
XTRACKERS PRINCIPAL |
INVESCO PUREBETA | K10 FONDS HI |
K12 FONDS MI |
STANDARD | MSCI XTRACKERS XTRACKERS |
EDISON SC |
MASTER TRUST INC TEXTRON |
FIDELITY | CORP RFA VEBA CENTRAL BANK BELLSOUTH EUROPEAN |
BNY MELLON | MELLON BNY |
INTERNATIONAL MELLON BNY |
INTERNATIONAL MST LON BNY |
RETIREMENT MANVILLE PERSONAL INJURY HAMPSHIRE NEW |
SHELL PENSION TRUST | PENSION TRUST UPSTREAMCO |
INVESTMENTS EASTSPRING |
NATIONAL TREASURY MANAGEMENT AGCY | POLICE AND FIRE RETIREMENT SYSTEM | TRUST ALTE LEIPZIGER LEIPZIGER ALTE |
EUROPEAN CENTRAL BANK | MAN | VIRTUS | Azionisti. |
Lal


10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale 85 50 153.245 103.750 8 8 . 984 24.2 - 8 -059.4 L . 412 ਟ 1 245 Delega 103.750 888 - 485 250 ਕੇ 8 ਪੋ 53 - 24. .412. . 059 7 t ໄ ਟ Proprio 0 0 0 0 0 0 |
.715 . 883 838 3.618 0.431 50.071 22.882 . 433 ਕ ਤ 8 L 8 D 715 883 838 8 2 13.618 50.071 80-431 8 4 3 - 22. 4 - 433 - യ 0 g G C 0 0 g |
.970 . 3 4 9 . 366 261.158 829 10.400 097 907 రా 22 - ol 6. 121 . 8 ୧୧ 70 б 9 1 158 ਰ ਦ 400 ਤੇ ਕੇ ਰੇ 907 829 970 097 70.366 261 - 10. 121. 1.866. 22. 66. ਕੇ ਰੇ 0 0 0 0 0 0 0 0 0 |
.725 558 . 357 . 209 ୧୫୧ 300 95.170 278 85.227 91.717 29-077 329.238 75.038 162.760 67.959 657 . 21. . 696. 76 8 ਟ t P I 760 9 95.170 278 75.030 21.300 4.357.209 76.725 717 29.077 329.238 657.558 167.959 85.227 90.450 ୧୫ 91 - 162. 8. ਦ ਰੇ ਦ " ਟ 1. 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 |
252 29.559 974 90.450 270.779 124.307 .890.000 62.700 . 654 79.400 187.231 466.044 420.917 .284.530 . 00 . .058. 118 b C য T T 917 779 124.307 0 ರಿ ೨ ಗ 187-231 288-252 29.559 466.044 0 118.654 0 0 4.890-00 70 284.53 79.40 270. 62 . .058. 420. ਧੀ ไ ไ 0 0 0 |
|---|---|---|---|---|
| CHICAGO CHICAGO OF OF EUND FUND FIRE AND POLICE PENSION ASSOCIATION OF COLORADO RETIREMENT RETTREMENT OF IDAHO OF VENICE PENSION PLAN AND TRUST PENSION AND PENSION AND SYSTEM FLORIDA GLOBAL EQUITY FUND LIC EMPLOYEE RETIREMENT TEACHERS TEACHERS Ragione Sociale SCHOOL SCHOOL DIOCESE PUBLIC PUBLIC PUBLIC |
FOR ACCOUNT OF BPT KAPITALANLAGEGESELLSCHAFT MBH ACTING TRUST PRAIRIE I RETAIL QUALIFIED FD INTI HIGH DIV ATD INDEX RÉTAIL PRAIRIE II MONTICELLO MINNESOTA RETAIL FUND LIC INVESTMENT NSP MINNESEOTA INTERNATIONALE MINNESOTA FUNDS VANGUARD HIGHLAND INVESCO NSP NSP |
AND NON IREES POSTRETIREMENT MEDICAL PLAN TRUST MANAGEMENT ETF SUSTAINABLE INTERNATIONAL EQUITY INCOME ﺎ ไ PAT RPK DWS FONDS OF DWS FONDS GLOBAL EQUITY PGE CORPORATION RETIREMENT MASTER TRUST SAÍ INTERNATIONAL INDEX FUND BEHALF OF ON BEHALF PLC MAN NUMERIC RI DEPOSITARY ON GMBH смвн FUND DWS INVESTMENT 2 DV INVESTMENT CZ DEAM FONDS MAN FUNDS STICHTING PG AND E FIDELITY COLUMBIA DWG |
E EQUITY AND BENEFIT FUND OF COOK COUNTY YIELD Carre DIAIDEND XIETD EQUITY EX US HIGH DIVIDEND RETIREMENT SYSTEM INSURANCE CO OPERATIVE LIMITED FIRST TRUST EUROZONE ALPHADEX UCITS ETF AZI DFA INTERNATIONAL CORE EQUITY FUND EUROPEAN EQUITY FUND INC EUROPEAN INDEX FUND EQUITY FUND FUND FUND INDEX FUND EMPLOYEES CAPITAL FUND ALL WORLD EAFE HIGH COUNTY EMPLOYEES ANNUITY INTERNATIONAL GLOBAL AURION GLOBAL EQUITY БГС BALANCED INTERNATIONAL POLICE MAPFRE MSV LIFE MSCI PRUDENTIAL MSCI PRUDENTIAL PRUDENTIAL INCOME BNY MELLON BLACKROCK MUNICIPAL XTRACKERS XTRACKERS NATUC AZL BOC вос вос |
LARRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST AS TRUSTEE OF SAMSUNG EUROPEAN ESG SECURITIES MASTER INVESTMENT TRUST EQUITY MULTI FACTO PRIVATELY PLACED MASTER Pagina 28 3.373 31 TRUST RETIR R TRUSTEE OF MIRAE ASSET TRIUMPH INC MASTER PENSION TRUST SYSTEM MASTE COMMONMEALTH OF BENNSYLVANIA PUBLIC SCHOOL EMBLOXEDS INDUSTRIES INC MASTER VEBA TRUST Azionisti in delega: OF LEAVENWORTH HEALTH PENSION INSURANCE CO INA ABOLLO MOLICI ASSET INCOME EUND FUND CORPORATION Teste: ELECTRIC INDUSTRIES 20 3.393 AS KOOKMIN BANK ACTING KOOKMIN BANK ACTING SISTERS OF CHARITY FUND ELECTRIC ILMARINEN MUTUAL ALASKA PERMANENT PMPT INKA FONDS ALABAMA TRUST INKA PBEAKK HAWAIIAN HAWAIIAN |
| Badge D D D D D D |
D D D D D D **D |
D D D D D D D D **D |
D D D D D D D D D D D D D D D |
Azionisti in proprio: Azionistı: D D D D D D D D D * D D D D * |
262

ನಿಯ
ﺭ
the Need
Assemblea Ordinaria del 10 maggio 2023
Ogetto: Antorizzazione all'acquisto e alla disposizione di azionizzazione conferta dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| a.716 Totale 166.701 571.013 10.426.203 . 960.393 .338.801 ਰੇ 1 45.929 23.364 357.2 ﺳﺎ T C N 801 Delega 929 013 ਤੇ ਰੇ ਤੋ 291 9.716 701 0.426.203 3 € d 6. 571. .357. 45. . 960 . గా 0 E 6 e 2 . 3 ા ਟ ਟ 1 0 0 0 0 0 0 0 0 |
8 ਵੇਂ ਦੇ 306.399 142.061 4.000 110.68 167.909 352.308 61-316 225.393 14.540 994.799 27.655 106.497 81.251 65.000 73.660 60.217 70.076 123.503 39.630 84.158 57-358 407.119 50.254 22.159 24.262 40-375 22.135 04.321 70.272 3.964.751 28.753 352-768 223.357 45.906 46.245 135.663 4.700 16-228 7.232 90.771 1 399 845 393 909 308 540 73.660 31 e 135 158 4-000 262 994.799 40.375 106.497 65.000 076 70.272 8 .232 142.061 89-011 27.655 81.251 60.217 123.503 39.630 84.321 407.119 28.753 50 - 254 б 223.357 45.906 0 u .964.751 16.228 135.663 790.771 352.76 2.15 4.70 46.24 57.35 352 . 14. 25. 167. 61 . 70 - 22. 84 - 306. 24. 1 C ১ E 0 0 0 0 0 0 0 0 G 0 0 C 0 0 9 0 0 0 0 0 0 0 0 0 0 0 0 0 0 C 0 0 0 0 0 0 0 0 0 |
|---|---|
| Proprio | EDGE SMART GRID INFRASTRUCTURE UCITS ETF Pagina 29 |
| SERIES DEVELOPED INTERNATIONAL INDEX FUND PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA NEVADA LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM FENSION RESERVES INVESTMENT TRUST FUND SYSTEM OF RETIREMENT BENEFITS INVESTMENT FUND BLACKROCK SOLUTIONS FUNDS ICAV EMPLOYEES RETIREMENT LTD SOUTH DAKOTA REINSURANCE CO |
ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET ALLOCATION PORTFOLIO UNIVERSAL INVESTMENT GESELLSCHAFTMBH ON BEHALF OF AEKSAAR MASTERFONDS ASSOCIATION PRIVATE INVESTMENT KAG MBH FIRST PRIVATE WEALTH AMERICA 3.373 31 EQUITY TRUST BEDRIJESTAKPENSIQENFONDS VOOR DE ZOETWARENINDUSTR SERVICES LIMITED AS URUSTEE PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN ETF COMPENSATION SAN DIEGO GAS AND ELEC CO NUCLEAR FACILITIES QUAL DEC MEXICO FIRST TRUST GLOBAL FUNDS PLC FIRST TRUST NASDAQ CLEAN PORTFOLIO TRUST ROBECO BOSTON PARTNERS GLOBAL INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR DEVELOPED MARKETS INDEX FUND RETIREMENT SYSTEM OF THE STATE OF HAWAII OF NEW INTERNATIONAL FACTORS FUND DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING NV Azionisti in delega: EMPLOYEES RETIREMENT SYSTEM OF OHIO FOND SALARIED UNION INJURY AANVULLENDE ZIEKTEKOSTENVERZEKERINGEN BRIDGEWATER ALL WEATHER SUSTAINABILITY LP 992341 BEDRITESSENSIOENEONDS VOOR HEL FUBLIC EMPLOYEES RELIBEMENT ASSOCIATION IOWA FUBLIC EMPLOYEES RELIREMENT SYSTEM VOLATILITY FOCUSED FUND FUND COMPANY SUSTAINABILITY 11 LP BIRTH RELATED NEUROLOGICAL Teste: SCHOLARSHIP PUBLIC RETIREMENT SYSTEM FUND INDEX PRE ARRANGEMENT LIMITED MUTUAL LIMITED DEPOSITARY SYSTEM FOODS MASTER TRUST PENSION AND RELIEF WORKS HOURLY AND METROPOLITAN LIFE INSURANCE INTERNATIONAL EQUITY 3.393 20 FLORIDA RETIREMENT SYSTEM LIMITED LEVENSVERZEKERING NV NV RETIREMENT PGIM QMA INTERNATIONAL FOND SCHADEVERZEKERING GOVERNMENT NATWEST TRUSTEE AND GMBH GLOBAL EQUITY EUROPEAN FUND EDUCATION PLANNING TRUST |
| Ragione Sociale OF PUBLIC STATE POOL PENN Badge D D D D D D D D **D |
VOYA MULTI MANAGER ENERGY INSURANCE DWS INVESTMENT ALLWEATHER DAKOTA SNITHFIELD MIDDLETOWN ENPLOYEES STICHTING STICHTING HKSAR GROUP BOARD OF SHERIFFS INVESCO QUALITY ADVANCE INDIANA FLORIDA DIGNITY PUBLIC ROBECO SOUTH FIRST HSBC HSBC HSBC Azionisti in proprio: UPS THE ASR ASR ASR BH Azionisti. D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D **D |

10 maggio 2023 15.37.01
51.253
22.358
947.728 601.625 141.654 483-596 1.540.000
Totale 401.921 1-485.686 6.195.000 3.742.234 1-554.773 3-124.407
95.745 18.990 6.091 424.751 7.573 1.031.993 9.888 560.450 6 - 7 08 62.509 61-306 21.806 121.127 250.000 256.960 218.456 146.024 129.912 14 - 4 8 4 60.100
| Ogetto: Autorizzazione all'acquisto e alla disposizione di azionizzazione conferita dall'Assemblea ordinaria del 19 maggio FAVOREVOLI |
||||
|---|---|---|---|---|
| Badge | Ragione Sociale | Proprio | Delega | |
| **D | STICHTING ASR BEWARDER | C | ਰ 21 401. |
|
| **D | SGR SPA / AMUNDI RISPARMIO ITALIA AMUNDI |
00 | 9 ୧୫ 485. ไ |
|
| **D | ITALIA SPA / AMUNDI SVILUPPO 5GR AMUNDI |
0 00 5. । ਰੇ 9 |
||
| **D | SPA SGR AMUNDI |
0 0 | 2 3 4 742 లా |
|
| **D | SECTORIELLE ROTATION ETOILE |
253 51 |
||
| **D | ACTIONS INTERNATIONALES ETOILE |
0 | 8 35 22. |
|
| **D | SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE કલર AMUNDI |
0 | B 72 947. |
|
| **D | TO PIU / AMUNDI BILANÇIA SPA SGR AMUNDI |
G | S 62 601 |
|
| **D | US POCHE ACTION ACTIONS ETOILE |
0 | 141.654 | |
| **D | DIS TRIBUZIONE PIÜ A / OBBLIGAZIONARIO SPA SGR AMUNDI |
0 | ട 9 6 483. |
|
| **D | EQUITY CLIMATE ESG INVEST OFI |
000 540. T |
||
| **D | EURO EQUITY ESG OFI INVEST |
773 ਟ ਦੇ ਪ T |
||
| D D |
EQ SICAV I - LOW VOLATILITY SG DNCA ACTIONS EUROPE ISR AB |
0000 | 124.407 ന |
|
| **D | ANDROS | ಲ್ಲ 95.74 |
||
| **D | STAUBLI 80 20 - SGAM | 18.990 | ||
| **D | BRIDGE BUILDER INT EQUITY FUND | 6.091 | ||
| 2 | **D | ASTRAZENECA FONDS N2 | 0000 | .751 424 |
| **D | INC .- AB INTERNAT FUND, AB CAP |
573 ﺎ |
||
| 64 | **D | GSK ACTIONS | ਰੇ ਕੇ ਤੋ B 88 ਤੇ ਹ 0 I |
|
| **D | METZLER INTERNATIONAL INVESTIC | o o o | 0 4 5 ర్ S |
|
| **D | VOLKSWAGEN | 0 | B 6.70 eo |
|
| **D | THE SEI GLOBAL MASTER FUND PLC |
6 50 62 |
||
| **D | 405 DIVERSIFIE ISR PART કુલ |
0 0 | 306 e I |
|
| ** D | MAR SICAV III - DYNAMIC ALL AB |
9 . во 21 |
||
| **D | ISR ACTIONS INTERNATIONALES કુલ |
00 | .127 121 |
|
| **D | OFI INVEST ESG ACTIONS CROI ES |
0 | 0 250.00 |
|
| **D | KOKUSAI EQUITY INDEX FUND | 256.960 | ||
| **D | HALEVY A2 | 0 0 | 9 218.45 |
|
| **D | MORGAN STANLEY PATHWAY FUNDS | 0 | 146.024 | |
| **D | PASTEUR ISR | 0 | 129.912 | |
| **D | AFFINITY WORLD LEADERS EQUITY | 0 | 14.484 | |
| **D | AB SICAV I - ALL MARKET INCOME | 0 | 60.100 | |
| **D | INVEST ACTIONS CROISSANCE OFI |
G | б . 38 ট |
|
| **D | CUS BK JP-RE GL SUP DVD EO MOT | 0 | 7.100 | |
| **D | SOGECAP PROTECTED EQUITIES | 704.045 | ||
| **D | HALEVY Al | S 199.49 |
||
| **D | INVESTISSEMENT 101 AUTRES | 0000 | 34.409 | |
| **D | SR TR-BLKRK GL INV MAGI A ark |
б 2.35 |
||
| **D | UF 6 A | 0 | 12.893 | |
| D D |
SICAV I - EUROZONE EQUITY DNCA ACTIONS EUROPE CLIM કર્ AB |
0 | 123.323 2. |
|
| **D | IRCEC CASSETTE DIVERSIFIE | 0 0 |
143-650 | |
| **D | ÉUROPÉAN EQUITY SÍCAV I - AB |
0 | . 847 .431.335 178 I |
|
| **D | EQUITY INCOME FUN DESTINATIONS |
527.968 | ||
| **D | AB SICAV I-SUSTAIN ALL MK PORT | 0 0 | 0 25.73 |
|
| **D | MAAF ASSURANCES SA | 0 | 9 - 63 927 |
|
| ** D | ALZHEIME MEDERIC FONDATION FCP |
C クフ ミツ |

12.760
315.708
27.573
12.760
315.708 927 - 636
0 0 00
4.389
7.100
704.045 199 - 495 34.409 2.359 12.093 2.123.323 143.650 178.847 1-431.335 527.968 25.730 927.636 27 - 573
Pagina 30
3.373 31
20 Azionisti in delega: Teste:
Azionisti in proprio:
Azionisti:
3.393
FCP FONDATION MEDERIC ALZHEIME
SILVER INVESCO EURO EQUITY
**D **D
PROTEC BTP
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revea dell'autorizazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale | 923 | 06.714 I |
B 54.00 8 |
0 55.00 |
426-904 21.613 |
50-000 17 1 |
105.147 | 461 | 23.020 | 91.551 | 407 | 588 - 939 | 892.093 | 395.408 ব . |
400.000 | 776.106 | ம 0 0 500.34 б |
447.663 . 5 |
6.997 | 159.240 | 630.000 | .051.096 t |
33.447 | 411-108 | 2.714.703 | 444.698 | 19.447 | 180.166 | 30.087 | 369.112 | 69.964 415.051 |
10-090 | 374.315 | 214 25 - |
27.889 | . 426 8 |
206 ਟ б |
11-284 | 896.296 | ਰ 8 343.4 |
10.015 | 7 804 ı i |
510 14.081 |
9.630 .78 5 |
. 636 19 |
11.834 | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 23 6 |
106.714 | 854.808 | 426.904 55.000 |
321.613 | 750.000 | 105.147 | 461 | 23.020 | 91.551 | 407 | 8.939 ਦ ਸੋ |
2-093 8 ਰੋ |
4.395.408 | 400.000 | נטפ 345 776. 580. |
80 S ਰੇ |
୧୧३ 447. |
997 6. |
240 9. 15 |
630.000 | ૦૧૯ .051. I |
3.447 3 |
411.108 | 703 .714. ਟ |
444.698 | 9.447 T |
166 0. 8 T |
87 0 30. |
9.112 415.051 3 ୧ |
ર વ б 9 . 9 |
090 10. |
315 374. |
214 5. ਟ |
ਬ ਬੇ ਰ 27. |
. 426 0 |
206 92. |
284 11. |
296 96. 0 |
343.498 | 804 10.015 7. |
510 11. |
081 14. |
0.630 0 .7 ದ |
19.636 | 11.034 | |||
| Proprio | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | D | 0 | 0 | Q | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | |||
| Pagina 3 1 | |||||||||||||||||||||||||||||||||||||||||||||||||
| 31 | 3.373 | ||||||||||||||||||||||||||||||||||||||||||||||||
| MB | STOKX | FD | CORE MSC | INT EQ | SOSTENIB | 24 | Teste: | Azionisti in delega: 20 |
|||||||||||||||||||||||||||||||||||||||||
| Ragione Sociale | LE FINISTERE ASSURANCE | AIM EQUITY EUROPE CANTONS ALLIANZ RETRAITE |
IARD MULTI-ASSETS | ALLIANZ HOSPIT VAL DURABLES | - LOW VOLATILITY | SEB GENERATION PLUS THEODOR-HE SEGALL BRYANT HAMILL INT FD |
LYXINDEX - LYXOK GLOBAT GENDER | LYXOR-MSCI EMU ESG BROD CIB (D | CORE EURO STO FD-LYXOR |
CORE FD-LYXOR |
DVD INCOME INTERNAT |
LYXOR MSCI l FUND |
MULTI UNITS LUX-LYXOR | NUVEEN GL NET ZERO TRANS ETF | MSCI MORID (DR) UČI | 50-65 ACTIONS |
MUL- LYX FTSE IT ALL CAP | ACTIONS CROISSA ESG |
TAX MAN | WORLD CLIMATE MSCI |
DYNAMIQUE EURO ESG |
EUROPE ESG LEADERS | ESG EQUILIBRE EURO -GL ESG IMPROV PORT |
ESG PRUDENT EURO | EUROPE | ISR ACTIONS EURO | BLACKROCK GLB ALLOCATION FUND | OFI INVEST PATRIMOINE | PSSF-PROGETTO AZIONE SOSTENIBI | FER ACTIONS MONDE | MUL-LYX NET ZERO 2050 SP MORID | - PROGETTO AZIONE | INVEST DIVERSIFIE | LIF-LYXOR MSCI WORLD CATHOL | - PROGETTO CEDOLA 06 2023 INVEST DYNAMIQUE MONDE M |
INVEST ISR VALEURS EURO | CEDOLA 07 2023 - PROGETTO |
PATRIMOINE | AMUNDI SOLUZ IT PROG CED 04 | ਹੈ ਰੋ - PROGETTO CEDOLA |
AFER ACTIONS EURO ISR | OFI INVEST PERFORMANCE | INVEST ISR PATRIMOINE MOND | 3.393 | t | ||||
| ALLIANZ | ALLIANZ | ALLIANZ | AB SICAV I | FASSON | LYX IND | LYX IND | EUROPAC | LYXINDEX | LYXOR CORE | DIVERSIFIE | OFI INVEST | BRIDGE BUILDER | MUL-LYXOR | INVEST OFI |
LYXOR MSCI | OFI INVEST SICAV I AB |
INVEST OFI |
INVEST OFI |
INVEST OFI |
ASI | OFI | ASI | OFI | OFI | ASI | AFER | ASI | OFI | Azionisti in proprio: | ||||||||||||||||||||
| Badge | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | Azionisti: |
265

peopinell
g
20
Azionisti in proprio:
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revea dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| Totale | 5.588 | 118.885 | 577 ব B |
9.540 47 |
178.401 | ୧ 3 ब T |
121.000 | 13.398 | 7.014 | 5.299 653.711 |
28.500 t |
89.185 S |
514.229 | 10.876 | 10-256 | 551 24 . |
218.202 | 271.371 | 76.017 | 59.781 | 69-852 | 176.179 | 75.672 | 23.411 | .012.249 € |
.387.868 ਟ |
31 856 | 510.000 | 133.082 226.007 |
521.663 | 3.286 | 102.738 | 2.669.340 | 163.500 | 6.624 | 117.880 | 323.757 | 15.080 | 382.620 | 120.000 | 5.773.403 | 10 2.000 |
250.838 | 161.655 | 219.954 | 167.766 372.543 |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 500 ഹ |
885 118 |
577 84. |
540 479. |
178.401 1.634 |
121.000 | 13.398 | 7.014 | 5.299 | 53-711 g |
128.500 | S 589.18 |
514.229 | 10.076 | 10.256 | 24.551 | 218-202 | 271.371 | 76.017 | 59-781 | 52 69.8 |
176.179 | 75.672 | 23.411 | 3.012.249 | 2.387.868 | ર ર 0 31. |
510.000 | 133-082 87 8 226. |
521.663 | 3.206 | 02.738 t |
-669.340 ਟ |
500 163. |
es d 0 |
117.880 | 323.757 | 15.080 | 382.620 | 120.000 .773.403 ഹ |
10 | 2.000 | 250.038 | 161.655 | 219.954 | 167-766 372-543 |
|||
| Proprio | 0 | 0 | 0 | ੰ 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | D | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | D | 0 | 0 0 |
0 | 0 | 0 | G | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 0 |
0 | 0 | 0 | 0 | 0 | 0 0 |
||||
| Pagina 32 | |||||||||||||||||||||||||||||||||||||||||||||||||
| 31 | 3.373 | ||||||||||||||||||||||||||||||||||||||||||||||||
| RENDEMENT ISR | 2023 10 |
2023 CEDOLA 12 |
2024 | INFRASTRUTT SOS II | PORT-BLKRK SRS FD | ്ക | NIK CS GL HGH YLD | HIGH YIELD PUR FD INF EQ MOT |
Teste: 3.393 |
Azionisti in delega: 20 |
|||||||||||||||||||||||||||||||||||||||
| INVEST REBOND Ragione Sociale |
INVEST ISR VALEURS EUROPE | - PROGETTO SVILUPPO ORIENT | INVEST EQUILIBRE MONDE | - PROGETTO SVILUPPO GLOBAL | AMUNDI BRIDGEWATER ALL WEATHER | - PROGETTO AZIONE CITTA | ICAV GLOBAL MULTI ASSET GR | PROGETTO AZIONE r |
MULTI-ASSET VARIO FUND l |
EUROPE UCITS ETF LYXOR MSCI |
EMG EUROPE NUMERIC INVESTORS | ETOILE ACTIONS | EUROPE ENERGIE ETOILE |
CEDOLA PROGETTO l |
PROGETTO - l |
PROGETTO CEDOLA 01 AMIF |
EMU EQUITY l AMIE |
AIF-MULTI-ASSET TEODORICO EUROPEAN EQUITY f |
AIF= TACTICAL PORTFOLIO INCOME | AMUNDI TOTAL RETURN | ASI-PROG AZION CIITA FUTURE II | BILANCIATO PERCORSO ATT י |
BIL PERCORSO ATTIVO 11 - |
PROG AZIONE INFRAS SOST l |
PROG AZ | ASI BIL PER ATTIVO III | GLOBAL FUND-OFI INVEST ACT4 | AM SF-EUR EQU OPTIMAL VOLAT | CS-INVESCO PAN EUROPEAN HIGH | AMUNDI AUSTRIA . | ALL GT BIKRK |
BLKRK GL ALT VI FD-BLKRK VAR | AB FCP I-GL VALUE PORT | JP-RE Cus BK |
FD (AUST) LEVEL GL ALL BIKKK |
Gr GL JP-RE JP-RE cus BK CUS BK |
I - DYN DIVIFIED PORT AB FCP |
NUVEEN GI INV FD-NUV GL CL INF | EQUI-DEVELOPPEMENT DURABLE | BANKINTER GESTION DE ACTIVOS | STOK ERIK | J SUNDERMEIJER BEHEER B V | MLC INVESTMENTS, MLC LIMITED | MLC INVESTMENTS, MLC LIMITED EQUIPSUPER |
MTAA SUPERANNUATION FUND LGIASUPER |
||||
| OFT Badge **D |
OFI **D |
ASI **D |
OFI **D |
ASI **D |
**D | ASI **D |
AFS **D |
ASI **D |
AFS **D |
**D | **D | **D | **D | ASI D D |
ASI **D |
ASI **D |
**D | **D | **D | **D | **D | ASI **D |
ASI **D |
ASI **D |
ASI **D |
**D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | ★★★ | **D | **D | D D |
**D | **D | Azionisti: | Azionisti in proprio: |
266
EMARKET
SDIR certified
ﺍﻟﻘﺎﺩﺭ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪ
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizazione enferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| 36.116 6 77.693 714 0 69.626 883.378 215.454 58.083 279.961 123.756 567.757 478.00 23.18 99. 3 ਾ 8 . 1. S 1 e t 0 0 0 |
|---|
| 715 341 . 0 |
267

Jero page
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| Totale | 420.716 | 411.227 87.611 |
611.590 | 3 8 € 82. |
.164.531 P |
73.697 | 673.817 | 302.630 | 200.080 | 90.906 | .933.813 | 9.328.650 | . 954 . 999 T |
8.855.689 | 524.166 | .274-779 t |
9.408 B |
971-238 m |
185.256 116.131 |
510 . 893. t |
387 8. ਤੇ ਤ |
35.398 | 74.460 98.072 |
818 | 556 4 3 . |
96.154 | 20.193 | 3.184 | 560 44 . |
179.460 t |
12.576 | 16.365 | 16.480 | 507.717 | 104 - 406 | 1.875 | 3 . 559 1.876 |
1.074 | 33.613 | 1.879 | ਰੇ ਕੇ ਉ | 387.170 | 71.291 | 767.054 | 34.966 45.905 |
で | ||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 420.716 | 411.227 87.611 |
611.590 | ૩ વે ୧ 82. |
-164.531 ਧਾ |
73.697 | 673-817 | 302.630 | 200.000 | 90.906 | 1.933.813 | . 328.650 б |
. 954 . 999 T |
- 855.689 B |
524.166 274.779 |
89.400 | .971.238 .131 । ਦ ไ 3 |
85.256 ไ |
893.510 T |
387 358 |
35.398 | 74.460 | .072 8 O |
818 | ર રહ 43. |
96.154 | 20.193 | 3.104 | 44.560 | -179.460 | 576 12. |
16.365 | 16.400 | 507.717 | 104.406 | 75 ਟ ਰੋ B 3. 1. |
-876 S T |
1.874 | 33.613 | 1.879 | 948 | 387.170 | 71.291 | 767.054 | 05 66 34.9 . 9 5 বা |
|||||
| Proprio 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | ||||||||||||||||||||
| Pagina 34 | ||||||||||||||||||||||||||||||||||||||||||||||||||
| E EX-US |
ਦ ದಿ FUTURE FUTURE |
MEDI . | THE MEDI. | FUND . | REFUGEE | 31 | 3.373 | |||||||||||||||||||||||||||||||||||||||||||
| LENDING l |
TRUST. | EQUITY FUND | FOND SHARE |
OFF BEHALF ON AND |
OF BEHALF ON AND |
OF BEHALF ON AND |
OFF BEHALF ON AND |
FUND | FUND 50 | GLOBAL SHARE INDEXED |
FOR PALESTINE | a/13 | NO. 4 ARTICLE II TRUST | EAFE INDEX FUND NON-LENDING | TRUST FOR MELANIE B. WERL U/I DATED SEPTEMBER 3 | BROIDA | OF ARLINGTON | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | PLAN RETIREMENT |
Azionisti in delega: | ||||||||||||||||||||||||||||||
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) | EAFE INDEX FUND | RETIREMENT MASTER COMPANY |
EMPLOYEES` RETIREMENT ASSOCIATION. | PASSIVE | PLC. | WHOLESALE MULTI-MANAGER INTERNATIONAL | FUND INDEX SHARES |
WSSP INTERNATIONAL EQUITIES TRUST | SAGITTARIUS PENSIOENFORDS |
PENSICENFONDS | PENSIOENFONDS | RETIREMENT ASSOCIATION OF COLORADO | FOR GUARDIANS OF |
PTY LTD FOR GUARDIANS INVESTMENT COMPANY NO. 2 OF |
FOR GUARDIANS OF |
FOR GUARDIANS OF |
COMMON CONTRACTUAL UCITS |
INVESTMENT STATE |
30 FUND SHARE GLOBAL |
FUND SHARES GLOBAL |
STATE WHOLESALE | RELIEF AND WORKS AGENCY | UAD 03/1 FAMILY TRUST |
2010 TRUST | TRUST PENSION PLAN |
PLAN TRUST PENSION |
3 UAD 9/19/02 | CORPORATION | FOUNDATION | TRUST | TRANSIT AUTHORITY RETIREE HEALTHCARE TRUST | JOEL G. BROIDA FOR |
FOR MARNA J. | EMPLOYEES. RETIREMENT PLAN OF THE DIOCESE | RICHARD A. BROIDA FOR |
TRUST | PRESBYTERIAN CHURCH IN AMERICA 403(B) (9) UNITED SERVICES AUTOMOBILE ASSOCIATION |
Teste: 3.393 |
20 | |||||||||||
| Ragione Sociale | TRUST COMMON NORTHERN |
THE COCA-COLA | FRESNO COUNTY | GLOBAL DEVELOPÉD MARKET | NEW IRELAND ASSURANCE COMPANY | BT | INTERNATIONAL BT |
STICHTING | HEINEKEN STICHTING |
ਨ ਅੰਦ STICHTING |
ENPLOYEES BUBLIC |
BOARD FUND FUTURE FUTURE |
BOARD FÜND MREE |
BOARD FUND FUTURE |
BOARD FUND FUTURE |
TRUST NORTHERN |
FIRST COLONÍAL |
COMMONWEATHY | COMMONWEALTH | FIRST COLONIAL |
NATIONS UNT TED |
HALTON L. THOMAS |
WALTON ROBSON 5. |
MATT J. WOLLMAN REV TRUST. | ROBSON WALTON 2009 GRAT si |
FOUNDATION ZOMA |
IBM PERSONAL | PERSONAL IBM |
JTW TRUST NO. | NORTHERN TRUST COMMON | GREEN JOSHUA |
CORPORATION MOZILLA |
CHAI THE AVI |
FAMILY 2010 ALW |
CHICAGO | TRUST. DB RESIDUARY ACORN 1998 |
TRUST RESIDUARY DB |
TRUST RESIDUARY DB |
RESIDUARY TRUST DB |
STEPHEN N POTTER | IMPACTASSETS INC | NATIONAL PHILANTHROPIC TRUST | ||||||||
| Badge **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | C * * |
D D |
D D |
**D | **D | * * D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
Azionisti: | Azionisti in proprio: |
268

mille
ﯽ
support
10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e di aziozi proprie, previa revoca dell'autorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale Delega |
.207.046 L 7.207.046 |
67.067 67.067 |
322 58. 0 958.322 |
10-589 10.589 |
77.212 77.212 |
347-844 347.844 |
53-499 53.499 |
.977 বঁ 4.977 |
44.768 44.768 |
159.857 159.857 |
20.029 20.029 |
3.325 3.325 |
36.646 36 - 64 6 |
5.224 5.224 |
20.711 47 720 20-711 |
47.720 12-074 12.074 |
1.196 1.196 |
79-545 તે ' રેતે ર 1 |
16.597 597 16. |
17.702 17.702 |
10.816 0.816 L |
23.379 23.379 |
33.136 33.136 |
21.415 21.415 |
146.024 146.024 |
10.687 10.687 |
131.749 131 - 749 |
189.920 189.920 |
26.693 26.693 |
103.798 103.798 62.358 |
62.358 928.576 928.576 |
2-670 2.670 |
556.020 556-020 |
74.320 74.320 |
181.750 750 181. |
237.331 331 237 - |
15.300 300 106 6. 15. |
5 6.106 . 36 లా 365 3. |
-321 L 1.321 |
30.577 577 30. |
168-321 168.321 |
217.369 217.369 |
1.786 786 1. |
.526 33 33.526 |
5.510 510 5. |
25.102 102 5. ਟ |
6.784 6.784 |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
G | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | G | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | ||||
| Ragione Sociale | EXCHANGE HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT |
HOSPITAL AUTHORITY PROVIDENT FUND SCHEME HONG KONG SPECIAL ADMINISTRATIVE |
EXCHANGE REGION GOVERNMENT BEAT DRUGS FUND ASSOCIATION |
THE FUNDO DE PENSOES | FJ INVESTMENTS LLC | EVA VALLEY MA1 LLC | FIDDLER PARTNERS LLC | FOURTH AVENUE INVESTMENT COMPANY | CARNELIAN INVESTMENT MANAGEMENT LLC. | CYMI EQUITY L.P | CARROLL AVENUE PARTNERS LIC | DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | DFI LP EQUITY (PASSIVE | DYNASTY INVEST LTD | DELFINCO LP | SENTINEL INTERNATIONAL FUND | AND RESO STATES OF GUERNSEY ACTING BY AND THROUGH THE FOLICY |
SENTINEL INTERNATIONAL TRUST | SLW PORTFOLIO LLC | SOLARI-LANE TRUST | PRO-CEN INVESTMENTS ITC | ST. JOSEPH HEALTH LONG TERM PORTFOLIO PROVIDENCE |
OMEGA FFIP LIMITED PARTNERSHIP | 2005 TRUST NO. 2 ARTSFARE |
LLC. . RDM TIQUID |
ROTHKO ALL COUNTRIES WORLD EX-US EQUITY FUND L.P. | BERNSTEIN TAX-MANAGED GLOBAL STYLE BLEND SERIES CINDY SPRINGS LLC. |
THE HARRY L. BRADLEY JR. TRUSTS MASTER INVESTMENT PARTNERSHI | INTERNATIONAL EQUITY FUND LLC | WEALTH MANAGEMENT THE JBUT MASTER INVESTMENT PARTNERSHIP LLP C/O JACOBUS |
LTM INVESTMENTS LLC | LEHMAN-STAMM FAMILY PARTNERS LLC | LEGAL & GENERAL MSCI EAFE FUND LIC | LAKE AVENUE INVESTMENTS LIC | 1 MACKENZIE GLOBAL ENVIRONMENTAL EQUITY MASTER FUND (CAYMAN) METIS EQUITY TRUST. |
MF INTERNATIONAL FUND LIC | LONA LLC | THE GRAUSTEIN TRUSTS PARTNERSHIP | INVESTMENT PARTNERSHI HASLAM FAMILY |
INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | GLOBAL BOND FUND | ZOMA CAPITAL PORTFOLIO LLC | AVALON PORTFOLIO II LLC | FCM INTERNATIONAL LLC | CBRE CLARION REAL ASSET LONG/SHORT FUNDLP | THYSSEN GLOBAL INVESTMENTS CORP. 801 INVESTMENTS LLC |
Pagina 35 ਤੇ I Teste: ਤੋਂ ਤੇ ਰੇਤ |
3.373 Azionisti in delega: 20 Azionisti in proprio: |
|
| Badge | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | D D |
Azionisti: |
26 P

Ulusional and
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale | 303 5 . |
12.596 | 2.045 | .670 0 |
11.626 | 92.430 102.028 |
383.087 | 621.785 | 721.952 | 237.513 | 43.973 | 650.000 5. |
169.347 | 52-148 | 6.476 | 11.059 | 494.510 560.605 |
991.573 | 32.975 | .391.024 ਟ |
812.965 | 781 511. |
100 б 20 |
503 11.759. |
124 247 . |
5.403 ਰੇ ਦੇ ਪ 220 - 9 |
3.217.146 | 51 S 232. |
145 01. D |
55.016 | 81.848 . O T |
518 8. |
ਕੇ ਹੋ ਦ 393 .376. 49 . ನ 2 |
66-644 | ટ વે વ 52 - |
.627.257 | 6.162 | 867 330.537 206. |
10-029 748.682 |
39.490 | 57.343 | 32.649 | 54-593 33.778 |
||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 5.303 | તે ર 12.5 |
. 045 ਟ |
8.670 | 11.626 | 92.430 102.828 |
383.087 | 621.785 | 721-952 | 237.513 | 43.973 | 5.650.000 | 169.347 | 52.148 | 6.476 11.059 |
494.510 | 560.605 | 991.573 | 32.975 | 2.391.024 | 812.965 | 781 511. |
209.100 | .759.503 L L |
247.124 | 220.964 55.403 |
217.146 m |
232.551 | S 401.14 |
55.016 | 8 1.081.84 |
8 9 8.51 .376.91 ਟ |
ಕ 249-39 |
66.644 | 52 - 544 | 1.627.257 | 6.162 | 330.537 206.867 |
10.029 | 748.68 | 39.490 | 57.343 | 32-649 | 54.593 33.778 |
|||
| Proprio | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 0 |
||||||||||
| Pagina 36 | |||||||||||||||||||||||||||||||||||||||||||||||
| SUSTAINABILITY IND EX FUND | FOR ARIA | AUSTRAL | 31 | 3.373 | |||||||||||||||||||||||||||||||||||||||||||
| 1 ਰੇ ਰੋ I ଚି TRUST DATED AUGUST |
FUND | ST FUND LLC | SERIES DBT INTERNATIONAL VALUE |
FUND. BLEND SERIES. |
PLAN RETIREMENT STAFF |
RÉTIREMENT PLAN STAFF |
PRC FUND SECURITY |
PRC FUND SECURITY |
PRC FUND SECURITY |
PRC FUND SECURITY |
FIDELITY | FLEX INTERNATIONAL INDEX FUND TRUST: FIDELITY INTERNATIONAL VALUE FUND |
SERIES GLOBAL FIDELITY |
INTERNATIONAL FIDELITY |
FUND. | ILLINOIS SYSTEM OF |
COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE | SHARES FUND | SHARES FUND | FUND | 1. FUND INFRASTRUCTURE SECURITIES |
FUND. | CORPORATION OF SOUTH | FUND INFRASTRUCTURE FEEDER FUND |
FÜND | BOARD | PORT | Teste: | Azionisti in delega: | ||||||||||||||||||
| STRATEGIC GLOBAL BALANCED TRUST | VIRGINIA C. MARS REVOCABLE MEC INTERNATIONAL FUND LLC |
LLC | FUND LP | ATIVO INTERNATIONAL EQUITY FUND LP | LLC. FUND ALPHA |
GUAM RETIREMENT | EAFE GENERAL MSCI |
LIMITED. SH |
CO হ BERNSTEIN |
UNITED NATIONS JOINT STAFF PENSION STYLE GLOBAL |
FUND MONETARY |
FUND MONETARY |
POLYTECHNIC | SOCIAL FOR COUNCIL |
SOCIAL FOR COUNCIL |
SOCIAL FOR COUNCII |
SOCIAL FOR COUNCIL |
PLAN PENSION |
BAE SYSTEMS PENSION SCHEME | STREET TRUST: PENSION SCHEME SALEM |
INVESTMENT | TRUST: STREPT SALEM |
TRUST: STREET SALEM |
MANAGEMENT LIMITED ASSET |
SUPERANNUATION | STATE UNIVERSITIES RETIREMENT | SUSTAINABLE INTERNATIONAL INTERNATIONAL PASSIVE PASSIVE |
QIC LISTED EQUITIES FUND | INDEX GREEN TRANSITION |
EQUITIES INTERNATIONAL |
FUND. EQUITIES INTERNATIONAL |
SUPERANNUATION FUNDS MANAGEMENT | ATLAS INFRASTRUCTURE AUSTRALIAN HIGH CONVICTION co |
INFRASTRUCTURE LISTED |
SUPERANNUATION GOVERNMENT ENDLOYEES |
ട് NO . TRUST |
EQUITY INTL |
3 UAD 01/17/03 | 12 no - TRUST TESTAMENTARY |
S TRUST NO. 4 UAD 01/17/03 NO . TRUST TÉSTAMENTARY |
TESTAMENTARY TRUST NO. 7. | ਤੋਂ ਤੇ ਰੇਤੇ | 20 | ||||
| Ragione Sociale | WAM INVESTMENTS | SILVER GROWTH | ASCENSION | GOVERNMENT OF | LEGAL & | INVESTMENTS ど |
ر SANFORD |
BERNSTEIN | INTERNATIONAL | INTERNATIONAL | NGEE ANN | NATIONAL | NATIONAL | NATIONAL | NATIONAL | CHEVRON UK | MINEMORKERS. FIDELLTY |
FIDELLITY | FIDETITY | FIDELITY | WITTINGTON | NEW ZEALAND | MERCER MERCER |
WORLD NIT |
COMMONWEALTH GLOBAL | OIC | oic | હ MORRISON |
MERCER GLOBAL | HRW TESTAMENTARY | LAZARD/WILMINGTON | TRUST NO. HRW |
HRW | HRW HRW |
HRW | Azionisti in proprio: | |||||||||||
| Badge **D |
D D |
**D | **D | **D | **D | **D | **D | **D | * * D **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | Azionisti: |

Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 15.37.01
LISTA ESITO DELLE VOTAZIONE
Ogetto: Autorizzazione all'acquisto e di azioni proprie, previa revea dell'Assemble ordinaria dell'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale | 32.139 | 26.066 | .017 વ ર |
79-233 | 56.987 | 102.399 | 32.165 | 126.611 | 43-665 | 25.713 | 20.482 | 37.736 | 5-769 | 49.547 33.420 |
24.229 47.736 |
13.011 | 52.239 | 16.691 | 76.067 | 159.687 | 13-108 | 219.004 | 58.734 | eao | 18.795 | 2.150.971 | 37.969 | 500.471 | 306.766 2. |
20.061 | 9.861 | 464.316 | 40.020 | 685.091 1 - |
230.645 | 4 - 615 | 132.773 | 1.549.115 | . 922 ﺎ |
.978 17.387 |
70.769 163.545 |
19.837 | 986.912 | 69.675 | 71.701 | 24.736 | 40.943 | ( | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 32.139 | 9 26.06 |
46.017 | 79.233 | 56.987 102-39 |
б | 92-165 126.611 |
9 43-66 |
25.713 20.482 |
37.736 | б | 5.76 | 9.547 33.420 ರ್ಥ |
47.736 | 24.229 | 13-011 | 52-239 | 6.691 ﺎ |
76.067 | 159.687 | 13.108 | 219.004 | 58.734 | 690 | 18.795 | 2.150.971 | 37.969 | 500.471 | 2.306.766 | 61 0.8 ਟ |
0-861 | 464.316 | 40.020 | .685.091 ไ |
238.645 | 615 4 . |
132-773 | .549.115 1 |
922 ﻟﺴﺎ |
17.387.978 545 1 ਦ |
0.769 3 - L |
9.837 L |
886.912 | 675 9 - 9 |
71-701 | 4.736 ਟ |
40.943 | |||
| Proprio | 0 | 0 | 0 | 0 0 |
0 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | |||||||
| Pagina 37 | ||||||||||||||||||||||||||||||||||||||||||||||||||
| CERTAIN BELLSOUTH. | PLAN (S) . | FUND | PLAN TR. | 31 | 3.373 | |||||||||||||||||||||||||||||||||||||||||||||
| UNION OF SCOTLAND | CATHOLIC CONFERENCE MASTER PENSION TRUST | BOARD. | TRUST. | DEFINED BENEFIT MASTER TRUST. . | BELLSOUTH CORPORATE TRUST UNDER EXECULIVE BENEFIT | FUND | INC. TRUST UNDER EXECUTIVE BENE. | aund | NORTHERN MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE | EQUITY INDEX FUND | SERVICES LIMITED AS TRUSTEE O | PROTECTION FUND RENAISSANCE | BALANCE RETIREMENT TRUST |
PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS | GLOBAL INVESTMENTS COLLECTIVE FONDS THUST | |||||||||||||||||||||||||||||||||||
| . Na m | 9. | TRUST UAD 03/19/13 | INVESTMENT FOND |
DEFINED BENEFIT MASTER | EXECUTIVE BENEFIT PLAN (S) FOR | QUALIFIED FUND. | ENGINEERING 524 (G) ASBESTOS PI TRUST | RETIREMENT MASTER TRUST | BOTTOM UNIT I QUALIFIED | FUND | PLAN | INVESTMENT | THE HENRY SMITH CHARITY | I | € | PENSION SCHEME | 10. . | Teste: | Azionisti in delega: | |||||||||||||||||||||||||||||||
| NO. TRUST |
TRUST NO. TRUST NO. |
FAMILY | DE FENCE DENTAL |
ENDOWMENT | 9/19/02. . UAD |
9/19/02 UAD |
9/19/02 UAD |
9/19/02 | FOUNDATION | TELECOMMINICATIONS | CATHOLIC CONFERENCE | INTERNATIONAL EQUITY | AND DEPOSITARY | PENSION | CHURCH (USA) FOUNDATION | SERVICES CASH RETIREMENT |
NO. TRUST |
TRUST NO. | SERVICES UK | UAD 01/17/03 | UAD 01/17/03 | 3.393 | 20 | |||||||||||||||||||||||||||
| Ragione Sociale | TESTAMENTARY | HRW TESTAMENTARY HRW TESTAMENTARY |
STEUART L. WALTON | XPO LOGISTICS RETIREMENT MASTER TRUST | AND MEDICAL |
IDAHO OF |
ರ NO. TRUST |
ไ NO. TRUST |
ហ TRUST NO. |
2 UAD JTW TRUST NO. |
ARVEST FOUNDATION | ALUMBRA INNOVATIONS | MOTOR COMPANY | COMPANY MOTOR |
ESSENTIA HEALTH | TRUST UNDER | CLINTON NUCLEAR POWER PLANT | NORTHERN FUNDS INTERNATIONAL GROWTH EQUITY | CYSTIC FIBROSIS FOUNDATION. | COMBUSTION | ELECTRIC CO | CONSTELLATION PEACH | ROBSON WALTON 1999 CHILDRENS TRUST | NORTHERN FUNDS - INTERNATIONAL | THE NEMOURS FOUNDATION PENSION | NEMOURS FOUNDATION | NORTHERN GLOBAL SUSTAINABILITY INDEX FUND | NATWEST TRUSTEE | THE OF |
PRESBYTERIAN | PROVIDENCE HEALTH & RAILROAD |
NICC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | NORTHERN TRUST | THE TRUSTEES OF | TESTAMENTARY | TESTAMENTARY | SURICH FINANCIAL | ನ NO. TRUST |
더 NO. TRUST |
TESTAMENTARY TRUST NO. 11. TESTAMENTARY TRUST NO. |
||||||||||
| મારિઝ | THE | MICHIGAN | STATE | JTW | ארד | JTW | FORD | FORD | BELLSOUTH | EMERSON | MICHIGAN | เก | ACTIVE M | THE BOARD | NATIONAL | HRW | HRW | HRW | HRW | ARW HRW |
Azionisti in proprio: | |||||||||||||||||||||||||||||
| Badge | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
Azionisti: |
271

NO CO
11201
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzzione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale 78.570 32.492 Delega 006 78.570 32.492 29 0 |
.561.819 29.006 2 2.561.019 0 |
.643 8 95 1 3 4 - 61 € 4 3 895 61. 134. 0 |
248 527. 527.248 G |
117.661 150.450 50.458 117-661 ไ 0 |
5.852 - 852 45. J |
871 37. 37.871 0 0 |
279.912 12.026 12.026 279.912 0 |
609 89 - T 89.609 t 0 |
-453.053 ਟ .453.053 ਟ 0 |
01-446 679.691 L 679.691 101.446 0 0 |
ਰੇ ਦੇ ਦ 82. L 182.90 C |
238 83. t 183.538 0 |
80.480 17 380.480 0 |
873 -449. 9 6.449.873 0 0 |
ਟ 24.247 46-88 24.247 6.082 b 0 |
21.189 587 189 0 |
25.369 25.369 0 |
962.642 962.642 0 |
37.414 37.414 54.945 0 0 |
54.945 215-210 215-210 0 |
15.213 15.213 0 |
32.798 9 8 632.79 0 |
4.451.158 4.451.158 0 0 |
486.190 1.071-573 573 90 486.1 071. t 0 |
16.661.601 16-661.601 0 |
196.878 6.878 1 ਰੇ 0 0 |
211.305 103.594 305 103.594 211 0 |
4.190.436 .190.436 ট 0 |
32.963 32.963 0 |
3.347.209 б .347.209 80 โ .306. ర్ 5 0 0 |
306.180 838 .551. 5 0 |
551.838 .048-731 గా N .048.731 ਟ 0 |
0 - 15 J d d 144.150 0 |
916.169 169 916. 0 |
.212.273 51.325 T 325 .212.273 51. 0 0 |
.309.230 L .309.230 L |
u 1.170.51 .170.515 L |
|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio | Pagina 38 | |||||||||||||||||||||||||||||||||||||
| W. K. KELLOGG FOUNDATION TRUST HRW TESTAMENTARY TRUST NO. 4 OPER TRUST Ragione Sociale SHELBY COUNTY |
SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST FUNDS PENSION FUND FIRE AND STATE OF UTAH OHIO POLICE |
SYSTEM TENNESSEE RETIREMENT COUNTY SHELBY |
EMPLOYEES. RETIREMENT PLAN DUPONT CHARITABLE TRUST POWER WATER AND ALFRED |
CORPORATION MASTER RETIREMENT TRUST ENERGY DUKE |
CSAA INSURANCE EXCHANGE | CHICAGO EMPLOYEES ANNUITY AND BENEFIT FUND OF RETIREMENT FUND OF THE CITY OF DALLAS EMPLOYEES MUNICIPAL |
BRITISH COAL STAFF SUPERANNUATION SCHEME | EUND RETIREMENT ILLINOIS MUNICIPAL LOS ANGELES CITY |
FIRE AND POLICE PENSION PLAN ENDLOYEES. RELIRENEUL SYSLEN ANGELES ros CITY OF |
FOUNDATION OF TEXAS BAPTIST |
SOCIAL SECURITY AUTHORITY PENSION AND GENERAL |
GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. AUTHORITY SOCIAL SECURITY PENSION AND GENERAL |
GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. SPARTAN |
GAK INSTITUUT STICHTING |
NYOMING RETIREMENT SYSTEM | GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | SARTE AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT SYSTEMS STATE RETIREMENT MASTER TRUST CREAH |
GENERAL INDEMNITY COMPANY USAA |
CASUALTY INSURANCE COMPANY USAA |
TALLAHASSEE OF CITY |
COMPANY OF CANADA LIMITED PENSION TRUST MOTOR FORD |
PUBLIC SECTOR PENSION INVESTMENT BOARD IMPACT INC. CMA |
PENSION PLAN 2100 IWA - FOREST INDUSTRY |
HAMBRO CAPITAL MANAGEMENT UMBRELLA FUND PLC g |
I SCHEME CONTRACTUAL AUTHORISED BLACKROCK |
CORPORATION. MANAGEMENT EQUITY TRACKER FUND INVESTMENT ACS 30:70 GLOBAL COLUMBIA BRITISH |
LGPS CIV AUTHORISED CONTRACTUAL SCHEME. LONDON |
STATE TEACHERS RETIREMENT SYSTEM OF OHIO | AUTHORISED CONTRACTUAL SCHEME PANAMA DE FONDO DE AHORRO LGPS CENTRAL FIDELCOMISO |
TRUST AUSTRALIAN RETIREMENT |
ACS UMBRELLA PARTNERSHIP (WALES PP) ASSET POOLING PENSION IF WALES |
AUTHORISED CONTRACTUAL SCHEME POOL ACCESS LE THE |
SCHEME CONTRACTUAL AUTHORISED BLACKROCK UCITS CCF. POOL ACCESS IE THE |
BLACKROCK ASSET MANAGEMENT IRELAND LIMITED CLEARWATER INTERNATIONAL FUND |
KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | MUTUAL PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY AMF TJANSTEPENSION AB BLO |
31 Teste: 3 393 |
|
| Badge D D **D |
D D |
**D | D D |
**D | D D |
**D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | **D | **D | D D |
**D | **D | * * D **D |
**D | **D | **D | D D |
**D | **D | D D |
**D | ** D | 0 来平 |
D D |
Azionisti: |
272

3.373
Azionisti in delega:
20
Azionisti in proprio:
10 maggio 2023 15.37.01
FAVOREVOLI
273
EMARKET
SDIR certified
2
ക്രിക്കുന്നു. അവലംബം പ്രാമങ്ങളുടെ അവലംബം പ്രാമങ്ങളുടെ അവലംബം പ്രാമങ്ങളുടെ അവലംബം പ്രാമങ്ങളുടെ അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം അവലംബം അ
lusor
K
ill
10 maggio 2023 15.37.01
LISTA ESITO DELLE VOTAZIONE
Oggetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione conferita dall'Assembla ordinaria del 19 maggio 2022 FAVOREVOLI
| . 8 9 9 .467 ક તે ર .828 7.024 3.079 5.509 2.787 6.201 7.621 3.453 2.086 3.267 1 - 992 988 7.326 .981 3.964 4 - 541 3.949 2.378 6.143 4.690 2.821 2.842 63.834 618.959 -628.826 483.249 89.661 86.799 584 - 935 9.037 683.556 29.406 703-141 54.567 11.952 107.827 033.639 376.829 97.000 95.771 95-516 59.099 148.000 1.320 466.108 277.871 158.054 1. ರ I 8 ഗ S N 2 7.024 . 899 -267 તે ર . 086 3-079 3.949 3.453 2.787 .378 . 992 4.820 . 964 .509 0.467 7.326 4 - 541 .821 1-988 7.621 483.249 6.201 . 143 4.690 2.842 5.981 2.628.826 63.834 06.799 107.827 9.037 376.829 595.516 .320 99.661 584.935 703.141 54.567 11.952 683.556 2.033.639 9.406 97.000 9.099 148.000 466-108 95.771 277.071 8.054 618.95 8 ਟ ಗ E 5 ટ ਟ T 9 L ১ S 15 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 G 0 0 0 0 0 0 0 0 0 0 0 0 0 ) ( BNY MELLON NA AS SECURED PARTY A GOLDSTINE & R GOLDSTINE TTEES AMD 12/10/04 NON-US EQUITY CRAWFORD TTEES AMD 01/11/19 B HARLEEN TTEES AMD 06/01/12 RE R SAMUELS & LORI W SAMUELS TTEES UAD 04/30/12 ROBERT LOVELACE & ALICIA MINANA TTEES 11/24/15 Pagina 40 01/22/15 TOM ROBINSON & JOAN E WELLMAN ITEES DONNALISA P BARNUM TTEES AMD 02/11/10 MZ PARTNERS TTEES AMD MINANA & ROBERT LOVELACE TTEES TTEE AMD 12/05/00 PARACHINI & V PARACHINI TTEES NUSE HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. CRANFORD & DONA A R MULLER & I L MULLER MARK DALZELL REV. LIVING TRUST UAD 06/16/95 MARK H DALZELL TTEE ਤੇ । ANN C BARTRAM TTEE. REV TRUST UAD 09/20/90 S G DIMARCO & J LISTED INFRASTRU CONVERTIBLE FUND II - DUFF & PHELPS GLOBAL LISTED INFRASTRUCTUR STANLEY GLOBAL SE OPPORTU - OPPORTUNIT ITS CAP THE MASTER TRUST BANK OF JAPAN LTD. AS TRUSTEE OF GREEN TEC EURO - BALANCED DIVERSIFIER EQUITIES EUROPE SCOTT WALLACE - CMI CONTINENTAL SAMUELS FAMILY TRUST UAD 07/03/96 THEODO - MEDIOLANUM ENERGY TRANSITION DYNAMIC INTERNATIONAL VALUE FUND SERVICES (CAYMAN) LIMITED ACTING SOLELY IN BARNUM & TTEES GORDON PORTFOLIO SOLUTION PORTFOLIO SOLUTION AL HORIZONS MULTIACTIVOS GLOBAL PRUDENTE FUND UAD 03/05/91 N ALICIA 08/23/77 GLOBAL GLOBAL TRUST UAD 01/06/10 MEDIOLANUM MORGAN 05/13/94 WILLIAM M ET FUND HIGH DIVIDEND 04/26/95 & LARY MULLER TRUST UAD 07/01/81 P MÜZZY PARACHINI FAMILY TRUST UAD 08/20/98 A FUNDS - CHALLENGE PROVIDENT REVOCABLE TRUST UAD L 2012 NONEXEMPT GRAT UAD 04/30/12 TR MACQUARIE UNIVERSE THE CMI GLOBAL NETWORK FUND - MACQUARIE CRAWFORD TRUST UAD - AKTIEN EUROPA (EUR) INDEX (C) (B) (A) GRAT REMAINDER POOL LIVING TRUST UAD Teste: ENVIRONMENTAL FOUNDATION MUZZY FAMILY TRUST UAD 01/10/89 GOLDSTINE LIV TR SPECIALIST FUND 52 51 ਟ 1 51 SHARE FUND 3-ALPHA BALANCED GLOBAL GLOBAL EUROPE GLOBAL LLC DOUGLAS GOLDMAN FUND LLC INVESTMENTS LLC - COX INVESTMENT COMPANY LP 3.393 EDN l l SOLUTIONS SOLUTIONS COLD FAMILY INVESTMENTS BARNUM REVOCABLE TR UAD INVESTMENTS REVOCABLE INVESTMENTS DIMARCO / HARLEEN 1990 BRANDS BEST BRANDS BRANDS GOLDMAN l l l l VARIOPARTNER SICAV - L-P. GLOBAL GLOBAL SICAV SICAV SICAV SICAV I L 2012 NONEXEMPT LTIP ROBINSON FIDELITY IECFUTL ITALY STOCK FUND Dona WALLACE MCF PARTNERSHIP BEST BEST FUND FUND ROSLYN OF CUSTODY LTD JOHN & MARCIA WEATHERSFIELD ANN C BARTRAM VONTOBEL FUND MUDDY PAWS LP INVEST ZUGERKB FONDS INVEST INVEST INVEST LORI GBPO - QCF - INDEXED COMMONWEALTH FAMILY FAMILY FAMILY GORDON AND MEDIOLANUM MEDIOLANUM MEDICLANUM SA CHALLENGE MACQUARIE MACQUARIE ശ ANTHONY GOLDMAN Č NELLMAN TED AND MMA VIE പ DANSKE DANSKE DANSKE DANSKE SCOTT ABNER LISA GOLD GOLD GOLD CMLA JOHN MUFG ਜਿੰਟ ୟ |
3.373 Azionisti in delega: 20 Azionisti in proprio: AZIONISTI: |
Ragione Sociale Badge |
Proprio | Delega | ||
|---|---|---|---|---|---|---|
| 52 ITC |
Totale | |||||
284

10 maggio 2023 15.37.01
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Autorizazione all'acquisto e alla disposizione di azioni proprie, previa revea dell'autorizzazione entinaria del 19 maggio 2022
E FAVOREVOLI
| Badge **D |
SCHWAB INTERNATIONAL INDEX FUND Ragione Sociale |
Proprio | Delega | Totale | ||
|---|---|---|---|---|---|---|
| SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX | FUND | 4-430.077 | 4.430.077 | |||
| SUN LIFE ASSET | MANAGEMENT FUNDS - SUN LIFE AM GLOBAL | LOW CAR | 1.627.569 | 569 - 627 . 1 |
||
| SUS MITI MFAK83 ALLIANZ |
AS FND | -787 77 |
77.787 | |||
| II SICAV ABERDEEN STANDARD |
131.686 | 131.686 | ||||
| LEGAL AND GENERAL | ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 0 0 |
103.347 | 103.347 | ||
| ILA-LA WORLD ESG SCREENED FUND | 0 | 508.254 ਰੇ I |
-254 508 19. |
|||
| RAFIME IIA - |
0 | 850 43. 63 - |
850 4 3 . |
|||
| ILA-A-ILSDMH | 0 | ਰੇ ਰੋ | ਰੇ ਰੋਣ 3. 9 |
|||
| LIFE ASSURANCE PLC IRISH IRISH |
0 | 759.983 .290.340 T L |
өдэ б б .75 L |
|||
| LIFE ASSURANCE. A-ILDSCG l ILA |
0 | 947.495 | 348 -290. ไ |
|||
| 0 | 947-495 | |||||
| A-ILGLOEQG l I LA |
0 | S 40.60 |
40.605 | |||
| A-ILEZEQG l I LA |
0 | 57.736 | 57.736 | |||
| A-ILEZEQN l ILA |
0 | 186.127 | 186-127 | |||
| A-ILGLOEON l IIA |
G | 23.319 | 23.319 | |||
| STICHLING MA SERVICES AEGON CUSTODY B.V. |
0 | .181.626 14.238 ਟ |
14.238 | |||
| STICHTING | 0 | 3.125.583 | 181.626 2 |
|||
| INTL PORTFOLIO OF DFA INV CAP LARGE |
PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES | 0 | 907 517 | 125.5B3 3. |
||
| CMLA INTERNATIONAL SHARE FUND CFSIL ATF |
0 | 860 157. ट |
907.517 .157.960 2 |
|||
| SERVICES AANDELENFO ND MN STICHTING |
0 | 951 47. |
47.951 | |||
| FUTURE WORLD MOLTI ASSET FUND OVERITY (6558) БИС |
0 | 492.754 | 492.754 | |||
| FUND OVERLAY PMC MULTI ASSET |
0 | ਰੇ 2 ಗಿ .160. ల |
3.160.592 | |||
| HRLD EOT SHE LGAS |
ESG DEV IDX(6734) | 0 | રેટર .246. ਨ |
2.246.562 | ||
| MGNT) LTD 1 ASSUR ( PENS ઉ AND F |
БИС LGIN |
CSUF (36670) TESCO INDEX EQUITY TSGN (5270 | 0 | 898 9 - |
ਰੇਸ਼ 8 6 |
|
| MGNT) LTD ASSUR ( PENS G AND L |
RAFI FUNDAMENTAL GLOBAL r |
S EQUITY LOW CARBON TRANSITION INDEX FUND349 |
0 | 88.114 ਟ |
88.114 ਟ |
|
| ASSUR ( PENS MGNT ) LTD ઉ AND L |
PMC 1 |
ETSE CLIMATE TRANSITION WORLD DEVELOPED EQUITY INDEX FUND 3491 | G | 556.040 | 556.040 | |
| AND GENERAL ASSURANCE LEGAL |
( | PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITSD | 0 0 |
299.311 .425.880 ﻟﺴ |
99.311 ਟ |
|
| TBACO SOLACT ESG TSGX LGAS |
EX UNHG (3307) | 0 | 49.164 | .425 - 880 L |
||
| INV ESG បាន DIR EURO EX CLIENT SHF SHF LGAS |
FD(1848 TGIN FUND (1649) |
0 | 787.000 | 787.000 49.164 |
||
| AS UK LIMITED CITIBANK |
PMC CSUF (36670) FOR TRUSTEE |
0 TESCO INDEX EQUITY TSGN (527 |
0 | 62.271 | 62.271 | |
| AS LIMITED UK CITIBANK |
(STANDARD LIFE ASI (STANDARD LIFE ASI FOR TRUSTEE |
INTER EUROP |
0 | . 092 - 622 ਟ |
-092.622 ਟ |
|
| ED 16 ઉડ્ડ CNEALTH CFSIL RE |
0 | 124.497 | 124.497 | |||
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT | DIMENSIONS GROUP INC | 0 | 163.668 | 163.668 | ||
| FUND. MANULIFE GLOBAL |
0 | 986.238 ഹ |
986-230 u |
|||
| POOLED INVESCO |
INVESTMENT FUND - EUROPE FUND | 0 0 |
256.460 | 256.460 | ||
| GLOBAL ALLIANZ |
INVESTORS GLOBAL ECO TRENDS FUND | D | 233.632 347.000 |
233-632 | ||
| NMTB/NIK KOKUSAI-NH 935026 AEGON CUSTODY B.V |
0 | 314 97. |
347.000 | |||
| 935034 KOKUSAI-H NMTB/NIK |
-737 309 |
97.314 309.737 |
||||
| FUNDS ICAV BERESFORD |
23.420 | 23.420 | ||||
| STANDARD LIFE INVESTMENTS l SLIC II |
26.430 | 26.430 | ||||
| FIRST COLONIAL |
STATE INVESTMENTS LIMITED. | 0 | .771 576 L |
-576-771 1 |
||
| STANDARD ABERDEEN |
OEIC II - ASI EUROPE EX UK INCOME EQUITY FUND | 0 | 216.041 | 216.041 | ||
| STICHTING PGGM DEPOSITARY | C | 716 904. |
904.716 | |||
| COUNCIL FOR SOCIAL SEC FUND NATIONAL |
462.784 L |
-462 - 784 2 |
||||
| LEGG MASON INC. | 118.482 | 118.482 | ||||
| VERDIFACTED DE GLOBAL (IV : INGVILD ANGAIK BJONNES DROMNING EUREMIAS GT | 2.200 4.491.850 |
200 2. ঘ |
||||
| Pagina 41 | .491.850 | |||||
| Azionisti: | 3.393 | Teste: | 31 | |||
| Azionisti in proprio: | 20 | Azionisti in delega: | 3.373 | |||
St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St. St
EMARKET
SDIR certified onvel,
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revez dell'astorizzazione conferita del 19 maggio 2022 FAVOREVOLI
246

10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | |
|---|---|---|---|---|
| . * D | FUNDS VIII ICAV-MAN AHL DIVERSIFIED. MAN |
7.317 | 7-317 Totale |
|
| **D | TID m INSTITUTIONAL SERIES AHL |
0 | 28.074 | 28.074 |
| **D | FUND. NBIMC PUBLIC INFRASTRUCTURE (2017) |
1.541 | 1.541 | |
| **D | POOL PRIVATE WEALTH INTERNATIONAL FOCUSED EQUITY MERCER |
42.181 | 42.181 | |
| **D | RETRAITE D'HYDRO-QUEBEC DE CAISSE |
205.885 | 205.885 | |
| **D | EQUITY POOL GLOBAL VPI |
1.000.000 | 1.000.000 | |
| **D | POOL INCOME VPI |
837.500 | 837.500 | |
| **D | CORPORATION LIMITED FINANCIAL E-L |
|||
| **D | EQUITY FOOLED FUND BINCOR GLOBAL |
41.369 | 41.369 | |
| **D | SHORT BROTHERS COMMON INVESTMENT FUND | 614-834 | 614.834 | |
| **D | REAL RETURN ASSETS FUND (CANADA) TRUST BOMBARDIER |
471.688 | 471.688 | |
| **D | LINITED WGGW INVESTMENTS RUSSELL |
. 944 ਟ |
2 - 9 4 4 | |
| **D | EUROPEAN DIVIDEND LEADERS ETF QUANT RBC |
5-100 | 5.100 | |
| **D | FUND EQUITY GLOBAL O SHAUGHNESSY RBC |
10.190 | 10.190 | |
| **D | INFRASTRUCTURE PRIVATE POOL SUSTAINABLE KBI LIFE SUN |
208.324 | 208.324 | |
| **D | POOL. ASSETS PRIVATE REAL LIFE SUN |
933.541 | 933.541 | |
| **D | PRIVATE POOL DIVIDEND GLOBAL LIFE SÜN |
49.618 | 49.618 | |
| **D | HEAD FUND. SHAKESPEARE THE |
107.900 | 107-900 | |
| **D | TRANSITION CLASS ENERGY MIDDLEFIELD GLOBAL |
2.000 | 2.000 | |
| **D | FUND DIVIDEND POWER CLEAN INTERNATIONAL |
780.000 | 780.000 | |
| **D | ENERGY TRANSITION FUND (INCUBATOR VISION GLOBAT RBC |
0 | 16.100 | 16.100 |
| **D | EAFE EQUITY LEADERS ETF QUANT RBC |
0 | 251 2. |
2.251 |
| **D | OFFSHORE FUND L.P INVESTMENT ALTERNATIVE GLOBAL AQR |
0 | 152 | 52 L |
| **D | RETURN FUND TOTAL SYSTEMATIC FUNDS-AQR LUX AOR |
0 | 71 | 71 |
| **D | LIMITED TRUSTEES (CAYMAN CITCO ALPHA MASTER LIMITED C/O AGOL |
0 | 160,905 | 160.905 |
| **D | ARGONAUT LTD BERKELEY SHARMAINE LTD EVOLUTION AHL |
0 | .412 1.069 |
1.069.412 |
| **D | MAPLES CORPORATE SERVICES LIMITED FUND LP ENHANCED MASTER MULTI-STRATEGY BROOKFIELD |
13 | 13 | |
| D D |
BROOKFIELD MULTI-STRATEGY MASTER FUND LP MAPLES CORPORATE SERVICES LIMITED | 0 | 115 | 115 |
| **D | CAXTON INTERNATIONAL LIMITED | 0 | 400 26. |
26.400 |
| **D | (CAYMAN) L.P. AHL ALPHA CORE MASTER LIMITED C/O MAPLES INVESTORS THEMES MASTER MACRO |
635.471 | 635.471 | |
| **D | SERVICES LIMITED CORPORATE |
0 | 3.520 | 3.520 |
| **D | L.P. C/O OGIER GLOBAL (CAYMAN) LIMITED (CAYMAN FUND MASTER GLOBAL RESEARCH EQUITY EXTENDED POINT72 |
0 | 294.497 | 294.497 |
| **D | CAYMAN CORPORATE CENTRE LIMITED ASSOCIATES LLC C/O WALKERS CORPORATE MOORE GLOBAL INVESTMENTS |
1.657 | 1.657 | |
| **D | LLC. 4D GLOBAL INFRA FUND |
0 | 80.977 B |
880.977 |
| **D | S.R.L. PEC |
0 | 391.802 | -391.002 T |
| **D | DIVIDENDO ITALIA AMUNDI |
367-500 | 367.500 | |
| * * D | SELECTION BILANCIATO ESG AMUNDI |
2.997.000 | 2.997.000 | |
| **D | DINAMICO SELECTION ESG AMUNDI |
ਰੇ ਖੇ ਦ 58.850 ਰੇ ਦ |
5-946 ნ |
|
| **D | PIR ITALIA VALORE AMUNDI |
630.000 | 0.850 630.000 S |
|
| **D | CONSERVATIVO SELECTION ESG AMUNDI |
50.490 | 50.490 | |
| **D | ITALIA PIR 2023 ACCUMULAZIONE AMUNDI |
487.000 | 487.000 | |
| **D | AGOSTO 2026 INCOME PROGETTO AMUNDI |
826 26 - |
26.826 | |
| **D | TRE 2027 REALE INCOME PROGETTO AMUNDI |
. 687 б |
9.687 | |
| **D | 2027 QUATTRO REALE INCOME PROGETTO AMUNDI |
9-404 | 9.404 | |
| **D | 2020 INCOME PROGETTO AMUNDI |
0 | 8.724 | 8.724 |
| **D | ACCUMULAZIONE INFRA GLO 2026 DUE AMUNDI |
33.021 | 3.021 E |
|
| D D |
2024 INFRASTRU PRIVATE GLOBAL AMUNDI |
27.155 | 27.155 | |
| **D | ACCUMULAZIONE INFRA GLOBALI 2028 PROGETTO INCOME REALE 2027 AMUNDI AMUNDI |
559 12. |
12.559 | |
| 42.684 | 42.684 | |||
| Pagina 43 | ||||
| Azionisti: | ਤੇ 1 Teste: 3.393 |
|||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |
( |
277

LIONELA
A
10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e di azioni proprie, previa revece dell'autorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale | 24.699 | 296 3 - E |
200 34 - |
20.389 | વે છે રે 58. |
33.370 | ਦ ਦੇ ਰੇ 190.000 ട്. |
22.668 | 47.489 | 106.135 | 5.984 | 25.000 | 90.000 E |
45.518 | 150.000 | 1-209-211 | 105-122 | 20.733 | 8 242.526 6.94 |
4-038-614 | 60.000 | 910.936 1. |
7.734 | 327.070 | 213.322 | 44.943 | 450.000 271.246 |
76.594 | 0 232.95 |
98.097 | 9 82.20 |
117,849 | 0 309.19 |
716.161 б 3.057.29 |
67.100 | பி 6.78 |
8 73.77 |
144.175 | 212.135 | 141.069 | 470.544 | 26.920 | 6.151 | 30.270 | ||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | ర్ 24.69 |
9 33.29 |
8 34.28 |
б 20.38 |
33.370 58.90 |
190.000 | 5.569 | 22.668 | 47.48 | 106.13 | 5.984 | 0 25.00 |
0 390.00 |
45.518 | 0 150.00 |
1.209.211 | 105.122 | 20.733 242.526 |
6.948 | 4.038.614 | 60.000 | 910.936 " T |
7.734 | 327.070 | 213-322 | 44.943 450.000 |
271.246 | 76.594 | 232-950 | 8.097 б |
2-206 8 |
117.849 | 9 B । 309. |
3.057.299 716.161 |
100 67. |
6.785 | 73.778 | 144.175 | 212.135 | 141.069 | 244 470. |
26.920 | 6.151 | 30.270 | ||||
| Proprio | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | G | 0 | 0 | ਹ | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||||
| Pagina 44 | ||||||||||||||||||||||||||||||||||||||||||||||||
| 31 | 3.373 | |||||||||||||||||||||||||||||||||||||||||||||||
| REALE 2027 DUE INCOME |
2026 DUE 20121 2025 INCOME INCOME |
2026 AMUNDI PROGETTO INCOME l |
AM ACCUMULAZIONE INFRASTRUITTURE GLO 2026 | INC REALE 2026 | EUROPEAN EQUITY INSTITUTIONAL |
CONSERVATIVE | DYNAMIC | BALANCED | SUSTAINABLE WORLD EQUITY MANDATE 1 | ETHICAL EQUITIES GLOBAL |
TWINS GROWTH l |
LUXCELLENCE-HELVELLA EUROP EQUITY | INDEX MSCI JAPAN | FUNDS MULTI ASSET CONSERVATIVE | ALL ROADS CONSERVATIVE | - EUROPEAN STRATEGIC AUTONOMY | PAB EUROPE CLIMATE PARIS ALIGNED |
50 STOKK |
CLAY EUROPEAN MULTI CAPS | EUROPE | UNIVERSAL SELECT ESC WORLD |
MULTI-ASSET TARGET INC GLOBAL MULTI-ASSET EURO |
CTB CLIMATE TRANSIT EUROPE |
TARGET INCOME ASSETS REAL |
FDS GLOBAL MULTI-ASSET TARGET INC | JAPAN | ROADS GROWTH | - FUTUR CITIES | SELECT EMO ESG UNIVERSAL |
EQUITIES EUROPE CLIMATE ACTION VALÍANT |
TRANSITION CTB WORLD CLIMATE |
MULTI-ASSET CONSERVATIVE | EUROPE MSCI |
RISK PARITY - EUROPEAN EQUITY |
បK EX EUROPE |
WORLD CLIMATE PARIS ALIG PAB | SELECT ESG LEADERS EUROPE |
ALL ROADS | CPR INVEST-EUROPE SPECIAL SITUATIONS | RISK PARITY EQUITY EURO |
GLOBAL EQUITIES EQUITY ALLIANCEBERNSTEIN GLOBAL |
EQUITY EUROPE |
Teste: 3.393 |
Azionisti in delega: 20 |
||||
| Ragione Sociale Badge |
PROGETTO AMUNDI **D |
PROGETTO PROGETTO AMUNDI AMUNDI *D * D |
FONDI AMUNDI PROGETTO **D |
**D | PROG AMUNDI **D |
NAGELMACKERS **D |
INVEST CRELAN **D |
INVEST CRELAN **D |
INVEST CRELAN **D |
**D | SIF AMUNDI **D |
INDO ALT INVEST **D |
LEADERSEL P.M.I **D |
OTRON GLOBAL EQUITY **D |
D D |
AMUNDI AMÜNDI **D |
MIB FTSE AMUNDI **D |
LO FUNDS - * * D |
INVEST CPR **D |
AMUNDI MSCI **D |
EURO AMUNDI **D |
r FUNDS CLAY **D |
MSCI AMUNDI **D |
MSCI AMUNDI D D |
FUNDS FUNDS AMUNDI AMUNDI **D |
MSCI AMUNDI **D |
FUNDS AMUNDI **D |
AMINDI **D |
PRIME AMUNDI **D |
ALL LO FONDS - **D |
CPR INVEST D D |
MSCI AMONDI **D |
CPR INVEST l VF (LUX) **D |
MECI AMUNDI **D |
GLOB FDS AMUNDI **D |
INDEX AMUNDI **D |
FUNDS AMUNDI **D |
MECI AMUNDI **D |
MSCI AMUNDI **D |
MSCI AMUNDI **D |
LO FUNDS - **D |
D D |
FUNDS AURISX AMUNDI **D |
LOF TARGETNETZERO **D |
TARGETNETZERO LOF **D |
Azionisti: | Azionisti in proprio: |
228

10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | ||||
|---|---|---|---|---|
| Ragione Sociale | Proprio | Delega | Totale | |
| INDEX SOLUTIONS - AMUNDI PRIME GLOBAL AMONDI FUNDS GLOBAL EQUITY TARGET INCOME AMUNDI |
0 | 2.940.983 1 |
. 940. 983 N |
|
| FLEXIBLE INCOME FUND AMUNDI ONEMARKETS |
00 | 150.163 98.25 |
251 50.163 8. б T |
|
| ESG LEADERS SELECT HORLD MSCI AMUNDI |
0 | 190.923 | 923 0. б L |
|
| DYNAMIC BALANCED NEF ETHICAL |
0 | 906.149 | 906.149 | |
| STY PREMIA ARP EQUITY ALTERNATIVE RISK STRUCTURA - |
0 | 62.097 | 097 62.1 |
|
| HORLD AMUNDI MSCI |
0 | 264.000 4 - |
000 4 - 264 - |
|
| 600 EUROPE STOXX AMUNDI |
0 | 529-514 | ਦਾ ਕ 529 |
|
| AMUNDI INDEX MSCI WORLD | 0 | 772.169 | 772-169 | |
| EUROPE VALUE INDOSUEZ |
0 | 312-462 | 312.462 | |
| AMUNDI MSCI EUROPE EX SWITZERLAND | 675.590 | ਦੇ ਰੋਹ 675 . |
||
| EUROPEAN MULTI ASSETS FUNDS - CLAY CLAY |
0 | 25.000 | 000 25. |
|
| AMUNDI PRIME EUROPE l SOLUTIONS INDEX AMUNDI |
0 | 38 - 445 | 38.445 | |
| SELECT UNIVERSAL EUROPE ESG MSCI AMUNDI |
0 | 8.287 | 287 8 . |
|
| GLOBAL NAREIT EPRA FTSE INDEX AMUNDI |
0 | 1.282.142 | 82.142 ਟ L |
|
| EUROPE CAP RETURN ALL TOTAL l G FUND |
0 | 310_000 | 310.000 | |
| FACTORS EURO DYNAMIC MULTI FUNDS AMUNDI |
0 | 406-766 | 766 06. P |
|
| EUROŽONE PRIME AMUNDI |
C | 143.143 | 143.143 | |
| ECONOMY CPR INVEST BIDE |
G | 202.571 | 202.571 | |
| SELECT AMUNDI MSCI EMU ESG LEADERS |
0 | . 689 . 260 6 |
260 . 689 . 1 |
|
| EUROPE EQUITY FACTORS SUSTAINABLE EMU EQUITIES l INDEX INDEXIQ CLEOME |
0 | 321.000 | 000 321. |
|
| CONSERVATIVE ASSET ALLOCATION L CANDRIAM |
0 0 |
185-900 | 185.900 | |
| ALLOCATION DYNAMIC ASSET I CANDRIAM |
0 | 63.787 | 63.787 | |
| MULTI ASSET INCOME AND GROWTH L CANDRIAM |
0 | ਰੇ ਦੇ ਪੈ 97.261 3 - |
ਰੇ ਦੇ ਖੇ 261 3. 97. |
|
| BALANCED ASSET ALLOCATION ਸ CANDRIAM |
0 | 49.584 | ਟ 8 4 49. |
|
| EQUITIES WORLD l INDEX CLEOME |
G | 28.534 | ਦੇ ਤੇ ਪ 28. |
|
| EQUITY INDEXIQ FACTORS SUSTAINABLE EMU |
0 | 6.516 | 6-516 | |
| EUROPE EQUITIES CLEOME INDEX - |
0 | 90.491 б |
90.491 б |
|
| ASSET INCOME MULTI CANDRIAM L |
0 | 142-423 | 142.423 | |
| SEEYOND EUROPE MINVOL | 0 | 414.687 | 414.687 | |
| FUNDS-OLIVO FUND GLOBAL BBVA |
0 | 43.000 | 43.000 | |
| TABA DE INV INTL DURB BBVA |
0 | 0 7.75 |
7-750 | |
| INTL EUROPEAN EQUITY FUND DURB BBVA |
0 | ല 45.90 |
ਰ 05 45. |
|
| AMINDI WELTPORTFOLIO MMA IARD |
0 | 8.937 | 937 ന |
|
| C | 9 977.39 |
ਤੇ ਰੇ ਦ 77. 6 |
||
| CNBF-RC-SCHRODERS-FLEXIBLE COVER PROTECTION JURIDIQUE |
0 | 87.820 | 820 87. |
|
| APSA-SRI ABSOL RETURN MULTI-ASSETS N2 | C | 7.704 | 7.704 | |
| BPCE IARD | 0 0 |
924 64 - 684 |
ਰੇ 2 ਕ | |
| GMF ASSURANCES | 0 | 8 61.38 9 |
e B d 388 661 . 64. |
|
| MAAF VIE ACTIF GENERAL | 0 996.80 |
96.800 б |
||
| FIDELIA ASSISTANCE | ਟ 11.99 |
ਰੇ ਕੇ 2 11. |
||
| CRAMA LOIRE BRETAGNE ACTIONS | 0 | 82-176 | 82.176 | |
| APSA-SRI ABSOL RETURN MULTI-ASSETS N1 | 7.43 | 7.438 | ||
| LA SAUVEGARDE | 36.79 | 36.792 | ||
| GMF VIE D | 139.012 ਟ |
.139.012 ਟ |
||
| CNBF-RB-SCHRODERS-FLEXIBLE | 11.753 | 11.753 | ||
| MAAF SANTE | 29.139 | 139 ਰੇ . 2 |
||
| MANDAT ACTION HGAM | 606.528 | 606-528 | ||
| Pagina 45 | ||||
| Teste: 3 'ਤੇ ਨੇਤੋ Azionisti: |
ਤੇ 1 | |||
| Azionisti in delega: 20 ﺎ Dróprio: Azionisti in |
373 ಗ |
AFP

10 maggio 2023 15.37.01
Assemblea Ordinaria del 10 maggio 2023
Oggetto: Autorizzazione all'acquisto e alla disposizione di azionizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| 144 - 986 Totale 632.260 00000000 55.374 65.921 |
007 10-058 38.273 12 - 568 119.133 92.000 75.838 1.267.755 60.073 90-383 96.139 28 - 9 ไ |
189.003 30.287 66.785 130.097 341.975 113.451 933.641 45.200 32.870 89.423 34.840 |
77.016 94.512 26.734 34.649 46.010 517.206 600-283 639-943 98.263 0 95.868 7.393 5 9 121.137 91.752 212.991 43.862 15.144 14.065 18.500 248.343 81.145 249-59 150.00 11.13 ಗಾ |
C |
|---|---|---|---|---|
| Delega 632.260 000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 65.921 144.986 55.374 |
- 568 ತ 20.007 8 92.000 8 287 60.073 38.273 196.139 119.133 690.383 75.838 267.75 10.05 30. 12 1. |
341.975 89-423 130.097 189.003 113.451 0 32.870 S 121.137 933-641 34.840 66 - 78 45.20 |
. 649 - 595 . 263 . 500 . 343 46.010 517.206 26.734 94.512 150.000 95.868 9 .016 600.283 639.943 391.752 212.991 11 7.393 5 43.862 15.144 . 0 ୧ . 14 11.13 ರಿ ಈ ਤੇ ਪੈ 14 77 B 248 ਨ 4 ਰ 81 t |
|
| Proprio 0 o o 0 00 |
000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 | ���������������������������������� | ||
| Pagina 46 | ||||
| 31 3.373 |
||||
| EU INT. AA SSGA ACTIONS INDICE EURO GGVIE PREFON RETRAITE A ROBECO CAVAMAC ACTIONS CNP ASS. NAM ACT. EUR. MANDAT LBP PREVOYANCE |
RETURN ALL CAP EUROPE GROUPAMA LOIRE BRETAGNE LOCAL 1 тн ALLOCATION ACTIONS SATELLITE EPARGNE SOLIDAIRE EQUILIBRE UFF ALLOCATION DIVERSIEIEE ACTIONS CR TOTAL |
DUGUAY TROUIN INVESTISSEMENT GROUPAMA CR GENOVA 1 |
EURO DIVERSIFIE AMUNDI EQUILIBRE GLOBAL SOLIDAIRE FCP GROUPAMA PHARMA DIVERSIFIE CAVÉC LA FRANCAISE DIVERSIFIE PREDICA ISR MONDE - ACTIONS AGRICA ACTIONS OBJECTIF SCR ESR ADP DIVERSIFIE DYNAMIQUE AMUNDI LABEL DYNAMIQUE CENTRE EST EQUILIBRE PORT ROYAL EQUILIBRE |
Azionisti in delega: Teste: 3.393 20 |
| Ragione Sociale GPM2A Badge D D D D D D |
GROUPAMA GRAND EST GROUPAMA NORD EST LA GRENQUILLERE DAN EQUILIBRE MUTACTIONS 21 GROUPAMA AB CFAO D D D D D D D D D D **D |
AMUNDI IPSA ACTIONS AP ACTIONS 1 EURO AGRICA TACTIQUE G GROUPAMA NORD EST GAN EUROSTRATEGIE CONTI PLACEMENTS LFAML INDEXALPHA LV. CHALLENGE ROPS EURO P D D D D D D D D D D **D |
MONCEAU ACTIONS EEE SACD INVESTISSEMENT GROUPAMA SELECTION LCL DYNAMIQUE ESG VILLIERS DIAPASON CL CENTRE MANCHE LCL PRUDENCE ESG SOLIDARITES FDRN AMUNDI WALLON FAGUS DIEZE OPET D D D D D D D D D D D D D D D D D D D D D D |
Azionisti in proprio. Azionisti: |
280
EMARKET
SDIR
GRTIFFE
11
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alla disposizione dell'Assenterizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale | 161.750 | 883 121. |
37.794 | 187.026 226.941 |
132.786 | 237.191 | 703.058 | 75.734 | 603.420 | 191.316 | 303.846 | 30.725 | 220.960 | 1-985.707 | 24 480 | 877.570 1 - |
29-307 | 141.785 | 39.450 | 30.403 | 4.000 | 1.034.797 | 4.445 | 17.078 | 10.949 | 63.389 | 28.852 | 112.018 | 817.671 17 214 |
190-048 | 253.618 | 51.495 | 17.277 | 303.371 | 97.019 | 316.036 | 10.838 | 134.709 | 238-206 | 63.827 | 12.719 | 29.659 | 26.025 | 531.144 | 1.922.000 | 1.876.086 | 1.377.864 82.647 |
||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 161.750 | 121.883 37.794 |
187.026 | 226.941 | 132-786 | 237.191 | 703.850 | 75.734 | 603.420 | 191.316 | 303.846 | S 30.72 |
228.960 | 1.985.707 | 0 24.48 |
1.877.570 | 29-307 | S 141.78 |
39.450 | 0-403 ﻟﻌﺎ |
4.000 | .034.797 L |
4 - 4 4 5 | .078 7 I |
10.949 | 63 - 389 | 8.852 ਟ |
112.018 817.671 |
17.214 | 190.048 | 253.618 | 51.495 | 17.277 | 303.371 | 97.019 | 316.036 | 10.838 | 709 134. |
206 238. |
63.027 | 12.719 | 9.659 26-025 ટ |
531.144 | 008 1.922. |
1.876.086 | 82.647 1.377-864 |
|||||
| Proprio | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | g | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | D | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | C | |||||||
| Pagina 47 | |||||||||||||||||||||||||||||||||||||||||||||||||||
| 31 | 3.373 | ||||||||||||||||||||||||||||||||||||||||||||||||||
| 2 | DI | ટ | Teste: | Azionisti in delega: | |||||||||||||||||||||||||||||||||||||||||||||||
| Ragione Sociale | EPARGNE ACTIONS MONDE ISR | - ACTIONS EUROPE PREDIQUANT A2 |
AMUNDI HARMONIE | ADVIT ACT EU | ARRCO QUANT 2 | S CAVAMAC ACTIONS EURO | CAVÉC GROUPAMA DIVERSIFIE | ROPS-SMART INDEX EURO | ESR AMUNDI LABEL PRUDENCE |
AA LA FRANCAISE ISR | GRD 20 - ACTIONS | STAR PASTEUR | ELITE INTER-PHARMACTIONS | FGV ACTIONS EUROPE IM A | PREDIQUANT PREMIUM TITRES VIFS ACTIONS | GROUPAMA CR ACTIONS MONDE | BEL EQUITY EUROPE ESG | FDJ EQUILIBRE SOLIDAIRE IP ACTIONS EURO |
GROUPAMA MEDITERRANEE | GROUPAMA LOIRE BRETAGNÉ LOCAL | L.S DYNAMIQUE ET SOLIDAIRE | CARP - INDO | EQUILIBRE N 1 RENDEMENT |
CONVICTIONS AC GLOBAL |
SA EXPANSION | MODEREE THALES | ICI EQUILIBRE ESG | LABEL EQUILIBRE ESR | - ISR GROUPAMA |
FCP DES CAISSES LOCALES GROUPAMA P V | NEUFLIZE VIE OPPORTUNITES | TOTALENERGIES DIVERSIFIE EQUILIBRE ET SOLIDAIRE | DASSAULT SYSTEMES ISR MODERE | E ARRCO LONG TERME |
FCPE IBM FRANCE F | EE ACTIONS RESPONSABLES_F | FONDATION EUROPE FCP BOURBON 7 |
ERISA ACTION EUROPE N 2 | - POCHE ACTIONS FCP TESLA |
EQUITIES | ORANO DIVERSIFIE EQUILIBRE | GROUPE CEA CROISSANCE FCPE | ROPS ACTIONS EUROPEENNES | LBPAM ISR ACTIONS FOCUS EURO | VIVACCIO ISR ACTIONS | LBPAM ACTIONS DIVIDENDES EUROP | 2 STRATÉGIE PEA ISR |
3.393 | 20 | ||
| Badge | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | FCP **D |
**D | **D | FCPE CA **D |
EPARGNE **D |
**D | AMUNDI **D |
A.A. - **D |
**D | **D | **D | MONGELAS **D |
**D | D D |
HSBC D D |
**D | **D | **D | WORLD **D |
**D | **D | ** D | **D | **D | ** | LBPAM **D |
Azionisti: | Azionisti in proprio: |
EMARKET
SDIR certified
പച്ച
NCD/
us
Lol
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione in evoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale 323.000 55.138 843-804 52.197 75.019 44.000 823.513 422.956 781.767 3.389.795 353.734 421.302 00.370 285.148 3.860 120.000 490.000 764-706 116.235 87.020 1.102.370 600.000 1.305.385 930.639 500.000 765.566 170.000 120.000 314-280 98 - 307 94.800 7.830 16.569 759.297 25.900 19.548 82.665 |
418.705 135.775 ਰੇ ਰੋਬ 30.509 459.207 175-717 24.642 259.608 17.846 54.940 187.939 18-601 509. |
1.044.450 |
|---|---|---|
| Delega 843.804 734 513 87.020 -830 781.767 302 000 197 819 000 120.000 490.000 120.000 422.958 55.138 3.389.795 764.706 116.235 88.370 170-000 S б 5.148 102.370 600.000 3.860 314.280 98.307 930-639 94.800 0 25.900 19.540 765.566 82.665 759.297 1.305.38 500.00 16.56 353. 421. 75. 44 . 823 - 323. 52. L 8 2 I |
459.207 175.717 .601 135-775 17.046 509.998 418.705 24.642 ਟ 0 ਕੇ 54.940 187.939 259.608 1.044.450 30. 18 |
|
| Proprio 0 0 0 0 0 0 0 0 0 0 C 0 0 0 0 0 0 0 0 0 C 0 0 0 0 0 0 Q 0 0 0 0 0 0 0 0 0 |
0 0 0 0 0 0 0 0 0 0 |
|
| Pagina 48 | ||
| 31 3.373 |
||
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS EÚROPE OPTIM DIV HR HR EURO OPTIM DIV AEMA OBJECTIF NEUTRE CARBONE 2050 I HAMELIN DIVERSIFIE FLEX II PATR ISR CNP TOCQUEVILLE VALUE EUROPE ISR ACTIONS EUROPE 50 EUROPE 0 9 VAR ACTIONS RENDEMENT EQUITY CONVICTIONS ਜ਼ਿ STRATEGIES ACTIONS STRATEGIES ACTIONS CONVICTIONS 그 ISR A.A. CANDRIAM DIVERSIFIE EURO PATRIMOINE EUROPE LM LEPAM ISR STRATEGIE PEA MONDE PERFORMANCE ISR AA NATIXIS ACTIONS MIN D ACTIONS IT DIVERSIFIE EUROPE PLUS G FUND OPPORTUNITIES TONI ACTIONS ISR 100 ISR ACTIONS 00 LONG TERME EURO CARPIMKO EUROPE FLEXIBLE PREVAAL ACTIONS EU DORVAL CONVICTIONS ACTIONS C OFI AF DYNAMIQUE ESG RENDEMENT Ragione Sociale FRANCE ACTIONS ACTIONS ACTIONS GLOBAL T CPR EUROLAND 3 NOIS UNIVERS CNP NATEXI 5 2 FCP CNP ACP WF ACTIONS ട LOLA SHARE EGEPARGNE ISR ARRCO FCPE IBM PROMEPAR INDOSUEZ COLOMBES S.YTIC G FUND AMUNDI DORVAL AMUNDI AMUNDI AMUNDI AMONDI LBPAM LBPAM LBPAN FGV - LBPAM FCP FCP ECP FCP |
(JANVIER 2022) (MAI 2022) LCL ACTIONS EURO RESTRUCTURAT EURO (CA) 2023) SELECTION ÉURO CLIMAT (JANVIER AMUNDI ACTIONS RESTRUCTURATION ENVIRONNEMENT ENVIRONNEMENT POCHE COR CPR EUROLAND PREMIUM ESG RENDEMENT EQUITIES TITRES CPR EUROPE ESG euro EURO GROUPAMA EURO INDOSUEZ EURO TA-ITA AZIONI РОСНЕ COVEA SOLIS SELECTION SELECTION ୍କୁ FDC |
Azionisti in delega: Teste: 3.393 20 1 |
| Badge D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D |
D D D D D D D D D D D D |
Azionisti in proprio: Azionisti: |
EMARKET
SDIR certified
Jupplica
10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e di azioni proprie, previa revea dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Totale | 122.576 | ర్ ర 582.28 ਦ 1 51. గా T |
13.511 | ਰੇ ਹ 36. |
325.923 | 330.000 ব . |
320-640 | 118-859 | 117.733 | 99.439 ਟ |
403.727 | 5.347 | 40.078 | 18.732 | 132.437 1. |
222.031 | 114.049 | 652.419 | 336.478 | 760.665 | 583.318 | 59.101 | 065-898 | 20.372 | . 112. 643 L |
156.704 | 240.062 | 302 .427. ਟ |
33.042 | 344.732 | B 4 3 150 5. 46. б ਟ |
55.317 ণ |
333 102. |
967 1.791. |
608.656 | 215 5. 9 |
932 436. |
8 ਤੋਂ 2 . 106. S |
283 13. |
ਤੇ ਦੇ ਰੋ 591 34 . ୧୧୦ . |
000 .880 . T |
178.159 | 140.904 | 409 41. |
1.137.849 | હેવારે હતું. તે સાંદર્ભ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવસ દિવ 62.287 377. |
( | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 122.576 Delega |
519 351 |
6 . 20 .582 T |
3.511 ાં |
ਰ ਰੇ T 6. ర |
325.923 | 4.330.000 | 320.640 | 59 118.8 |
117.733 | ਤੇ ਰੋ 299.4 |
403.727 | . 347 S |
. 078 0 b |
8.732 I |
.132.437 T |
.031 222 |
114.049 | 652.419 | 336-478 | 760.665 | 318 83. 5 |
59.101 | 868.570 | 372 0. ਟ |
12.643 ไ T |
156.704 | 862 248. |
302 427. 2 |
33.042 | 344.732 ਟ |
95.843 46.150 |
455.317 | 102.333 | 967 791. |
608.656 | 65.215 | ਰੇ 32 36. b |
S 83 106. S |
283 13. ਤੇ ਕੇ - |
ਦੇ ਹੋ ਹ 60.35 9 |
000.000 I |
б 78.15 L |
ਰੇ 0 ਕ 140. |
41.40 | 137.84 t |
287 377.54 62. |
||
| Proprio 0 |
0 | 0 | 00 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | G | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | C | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | C | 0 | 0 | C | |||
| Pagina 49 | ||||||||||||||||||||||||||||||||||||||||||||||||
| 31 | 3.373 | |||||||||||||||||||||||||||||||||||||||||||||||
| DORVAL CONVICTIONS PEA Ragione Sociale |
ISR SOMMA |
PATRIMOINE PEA AMUNDI |
CASTELNAU | DORVAL GLOBAL CONVICTIONS | EUROPE EQUITIES GROÜPAMA |
MODELS SRI BEST BUSINESS |
AMUNDI PATRIMOINE | MYRIA ACTIONS DURABLES EUROPE | CPR ACTIONS EURO RESTRUCTURATIONS | EUROPE MONDE AMUNDI |
WORLD VISION R FUND ্য |
STRATEGIES ACTIONS EUROPE RISK PARITY AMUNDI |
LCL ACTIONS MONDE HORS EUROPE EURO | BBM V-FLEX | ESR AMUNDI EURO EQUITY |
COVEA FLEXIBLE ISR | ACTIONS DURABLE EURO MEUELIZE |
HIGH DIVIDEND CPR EURO |
SELECTION EURO CLIMAT (SEPTEMBRE 2022) | ASSURDIX | INDOSUEZ ALLOCATION PEA | PREDIQUANT EUROCROISSANCE A2 | EUROPE OPPORTUNITE COVEA ACT |
COVEA ACTIONS RENDEMENT LCL ACTIONS EURO CORE+ |
EUROPEAN MODELS SRI IMPROVING |
EURO ISR STRATEGIE |
РОСНЕ РЕА CPR SILVER AGE |
+ ACTIONS EURO CORE STRATEGIES AMUNDI |
STRATÉGIE EUROACTIONS DIVIDEND | DYNAMIC EURO MULTI-ASSET навс |
SRI BALANCED l FUNDS INVESTMENT RESPONSIBLE навс |
EUROPE EQUITY INCOME навес |
DYNAMIC SRI l FUNDS INVESTMENT RESPONSIBLE HSBC |
EUROLAND EQUITY SRI l FUNDS INVESTMENT RESPONSIBLE HSBC |
ACTIONS EUROPE навс HSBC |
MODERATE SRI l RESPONSIBLE INVESTMENT FUNDS LARGE CAP EURO ACTIONS LBPAM ISR |
128 EURO TOCQUEVILLE VALUE |
MIN VOL EURO LBPAM ISR ACTIONS |
OBLIG 3-5 DIVERSIFIE FOCUS LBPAM |
EUROPE ISR VALUE TOCQUEVILLE |
DIVIDENDE ISR TOCQUEVILLE |
PRO ACTIONS EURO LBPAM ISR |
M RENDEMENT DIVERSIFIE GLOBAL ALLOCATION M |
M ÉURO VALEUR ISR |
EUROPEENNES SEEYOND ACTIONS |
ET MOMENTUM CNP ASSUR VALUE |
Teste: 3.393 |
Azionisti in delega: 20 Carrenta |
| Badge **D |
**D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | Azionisti: | Azionisti in proprio: |

Justicali Nelle
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione conferita dall'Assemble ordinaria del 19 maggio 2022
| Totale | 47.534 | 40.638 | 200 374. |
910.000 | 8 ਰੋ ਦ 8 ਕੇ ਰੋ 11. 21. |
66.055 | 350.400 | 298.830 | .683.690 ನ |
0 ਰੇ ਦ 366. |
14.160 | 391.610 | 322.000 | 553.000 ਸ |
.018.000 T |
50.000 93.000 5 ਨ |
. 200 . 000 గా |
0.403.451 2 |
319-000 | 4.030.000 | 97.000 | 27.892 543.633 |
18 7.218.000 |
6.361 | ਰੇ ୧ 245.2 |
921 32 |
.500.000 C |
148.360 | 874 271 - ਟ |
ਦੇ ਹੋ ਹੋ 189 .129. 27 L |
888 24. |
971 .982. ਟ |
563 64 . |
83.329 | 485.000 161.057 |
28.000 | 500 3 ട |
000 140. |
000 60 - |
5.061.480 78-534 |
248.690 I |
1.194.122 | 450.666 | ||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| D | Delega | 47.534 | 40.638 | 374.200 | 910-000 | 8 ਰੇ ਰੋ 11.895 21. |
055 66.1 |
50.400 E |
830 98. ਟ |
683.690 2. |
366.09 | 14.160 | 391.610 | 322.000 | 553-000 ব . |
1.018.000 0 |
0 00 550.00 93. ટ |
3.200.000 | 20.403.451 | 319.000 | 4.030.000 | 00 97.01 |
892 ਦੇ 3 ਤੋ 543. 27. |
7.218.000 | 18 | 6.361 | 245.296 | 921 32. |
000 .500. ट |
360 140. |
874 271. 2 |
ર વૈ તે 189 27. 129 ﺎ |
888 24. |
971 82. . ਰੇ ਟ |
ਦੇ 63 64 . |
329 61.057 83. T |
0 485-00 |
000 28. |
35.500 | 140.000 | 60.000 | 0 78.534 5.061.48 |
248.690 T |
1.194.122 | 450.666 | ||
| Proprio | 0 | 0 | 0 | 0 | 0 | g | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | G | 0 | 0 | 0 | 0 | 0 | ||||||||||||||||||||||||
| FAVOREVOLI | Sociale | EURO SUSTAINABLE MINVOL LCR ACTIONS EURO ESG |
D REGARD ACTIONS DEVELOPPEMENT |
EUROPA | TARGETNETZERO GLOBAL EX-CH EQUITY l |
DBI EQUITIES RDT - |
2024 INCOME l II |
EURO CORE EQUITY FUND ROTHSCHILD DE |
INCOME EUROPE FUND ROTHSCHILD l |
SUSTAINABLE EQUITY EQUITY EURO । |
ROTHSCHILD ASSET MANAGEMENT (EDRAM) SOLVE EURO |
EUROPÉ ACTIONS EDRAM |
ITALIA FIDEURAM l SGR АМ |
AZIONI ITALIA PIANO l SGR AM |
50 BILANCIATO ITALIA PIANO - SGR માં |
30 BILANCIATO ITALIA PIANO l SGR AM |
S.P.A. MEDIOLANUM VITA |
ITALIA ЕГЕЕЗІВІГЕ ЗЛІГОБЬО । l SGR SGR FONDI FONDI GESTIONE MEDIOLANUM GESTIONE |
FLESSIBILE FUTURO ITALIA INTERFUND SICAV |
ITALIA ALL STARS LL STARS AZIONI |
SPECIAL 50 ITALIA |
DIVERSIFIED EQUITY MASTER PORTFOLIO OF MASTER INV PORTFOLIO | TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV | PLAN INVESTMENT BOARD (CPPIB) CANADA PENSION |
PENSION SCHENE | SCHWEIZ AG FOR ISHARES WORLD EX SMITZERLAND ESG SCREENED EQUITY INDEX SWITZERLAND EQUITY INDEX BLACKROCK ASSET MANAGEMENT EX WORLD |
FUND II (CH) DURABLES VALEURS |
ACTIONS ISR SOLIDAIRE EPARGNE |
FUNDS LIMITED PENSION |
MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND SCOTTISH MIDOMS |
INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND SCOTTISH WIDOWS |
AQR FUNDS AQR EQUITY MARKET NEUTRAL FUND SYSTEM TEACHER RETIREMENT |
SINGAPORE OF TEXAS THE MONETARY AUTHORITY OF |
ASSETALLOCATION FUND LLC PINEBRIDGE GLOBAL DYNAMIC |
THE MONETARY AUTHORITY OF SINGAPORE | SGR MULTIFUND PATRIMONIODINAMICO | MULTI FUND - PATRIMONIO AGGRESSIVO | ACOMEA GLOBALE GLOBALE | FUNDS | SANTANDER EQUALITY ACCIONES FI | SOSTENIBLE 2 FI | FI ING DIRECT FONDO NARANJA EURO STOXX 50, EI SOSTENIBLE ACCIONES |
Pagina 50 31 Teste: ਤੋਂ ਤੇਰੇਤ |
3.373 Azionisti in delega: 20 |
|||
| Ragione SEEYOND Badge *D |
NATIXIS **D |
**D | HELVETIA I **D |
LO IS (CH) **D |
EDR GLOBAL D D |
FUND EDR **D |
EDMOND **D |
EDMOND DE SICAV EDR **D |
SICAV EDR **D |
EDMOND DE **D |
CNP ASSUR **D |
FIDEURAM **D |
FIDEURAM **D |
ri Deuran **D |
FIDEURAM **D |
D D |
MEDIOLANUM **D |
**D | ALLIANZ **D |
ALLIANZ **D |
**D | **D | FONDITALIA **D |
**D | NEW AIRWAYS D D |
I SHARES **D |
ALLIANZ **D |
ALLIANZ **D |
MANAGED **D |
**D | D D |
**D | ナナ | **D | **D | ACOMEA ITALIA **D |
ACOMEA ACOMEA D D |
ACOMEA EUROPA **D |
**D | ABN AMRO **D |
**D | SANTANDER **D |
SANTANDER D D |
Azionisti: | Azionisti in proprio? |

) Odk
3
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | ING DIRECT FONDO NARANJA MODERADO, FI | 0 | S 20.04 |
20.045 | |
| D D |
SANTANDER SOSTENIBLE 1 FI | 0 | 1.557.314 | 1.557.314 | |
| **D | FI DINAMICO, FI NARANJA NARANJA FONDO FONDO DIRECT DIRECT ING ING |
0 | 8 28.75 |
8 75 28. |
|
| **D | CONSERVADOR, FI DIVIDENDO EUROPA SANTANDER |
0 | ದ 3.04 |
3.043 | |
| **D | FI RESPONSABILIDAD SOLIDARIO SANTANDER |
0 | 4-738.092 | 4.738.092 | |
| **D | EI CONFIANZA INVERACTIVO |
0 | 5 . 66 3 1 4 |
314.665 | |
| **D | PENSIONES DE FONDO INTEGRAL EUROPOPULAR |
0 0 |
26.704 | 704 26. |
|
| **D | EPSV COLECTIVA PREVISION SANTANDER |
0 | ರ 4.88 T |
14.889 | |
| **D | EP EUROPAPENSIONES RENTA VARIABLE SANTANDÉR |
219 6. |
6.219 | ||
| **D | E B PENSIONES DIVIDENDO SANTANDER |
0 | 240-840 1. |
240.040 t |
|
| **D | EPSV V9512164 ਜ PREVISION SANTANDER |
0 | 1.418.241 | -418.241 T |
|
| **D | ЕБ 2025. SANTANDER PROYECTO MI |
0 | 83 4 13. |
13.834 | |
| **D | ES 2035, SANTANDER PROYECTO ਲ ਹ |
0 | 07.532 | 87.532 | |
| **D | EP 2030, SANTANDER PROYECTO MI |
0 | 535 161. |
161.535 | |
| **D | EB 2040, SANTANDER PROYECTO MI |
0 | 510 178. |
178.510 | |
| **D | EB MUGENAT MUTUA UNIVERSAL |
0 | 115.800 | 115.800 | |
| **D | AHORRO 38 FP SANTANDER |
0 | 24.783 | 24.783 | |
| **D | Eb PENSIONES 2045 SANTANDER PROYECTO MI |
0 | 31.190 | 31.190 | |
| **D | EPSV 1 PREVISION SANTANDER |
0 | 54.090 | 54.090 | |
| **D | ЕБ AHORRO 28 SANTANDER |
0 | વે જેવી સ 75. |
85 75.91 |
|
| **D | FIJA MIXTA 2 FP RENTA COLECTIVO SANTANDER |
0 | 14.000 | 00 14.0 |
|
| **D | EP RENTA VARIABLE GLOBAL PENSIONES SOSTENIBLE SANTANDER |
0 | 180 5. ్ర |
35.180 | |
| **D | AHORRO 15 FONDO DE PENSIONES SANTANDER |
570.088 | 88 570-01 |
||
| **D | SANTANDER | 0 | 817 55. |
55.817 | |
| **D | FP 3 , VARIABLE MIXTA RENTA COLECTIVOS AHORRO 17 SANTANDER |
277 32. |
32.277 | ||
| **D | ЕБ PREVIEUTURO |
0 | 115.326 | 115.326 | |
| **D | E.P. | 0 | 150.404 | 150-404 | |
| **D | COLECTIVOS RENTA VARIABLE MIXTA 1 FP RENTA COLECTIVOS SANTANDER |
0 | 54.026 | 54.026 | |
| **D | VARIABLE MIXTA2,FONDO DE PENSIONES | 0 | 68.609 | 60.609 | |
| **D | BTF SUSTAINABLE ECONOMY AND CLIMATE FUTURE BLACKROCK |
0 | 862 19. |
19.862 | |
| **D | TRANSITION READINESS ETF INDEX US CARBON MSCI WORLD EX AWARE ESG BLACKROCK ISHARES |
0 | 500 475. |
475.500 | |
| **D | ETF FUNDAMENTAL EAFE INTERNATIONAL SHARES I |
0 | ਰੇ 6 ਕ 83. |
83.969 | |
| **D | ETF INDEX GLOBAL MONTHLY ISHARES |
0 | ਣ ਦੇ ਰੋ ai. |
91.269 | |
| **D | ETF (CAD-HEDGED) DIVIDENDINDEX IMI INDEX ETF EAFE MSCI CORE SHARES I |
0 | 535 50. |
50.535 | |
| **D | ETF INDEX IMI EUROPE MSCI I SHARES |
G | 264 .022. N |
2.022.264 | |
| **D | STOCK ETF INTERNATIONAL TOTAL MSCI CORE SHARES I |
0 | 155.903 | 155-903 | |
| **D | ETF INTERNATIONALDEVELOPED MARKETS MSCI CORE ISHARES |
0 | .879.775 ന |
.879-775 0 |
|
| **D | ETF INDEX EAFE LEADERS MSCI ESG ISHARES |
O | .311.439 ব |
. 311 . 439 ਾ |
|
| **D | STE HORLD MSCI ISHARES |
0 | 4.420 | 4.420 | |
| **D | ETF EAFE MSCI CORE ISHARES |
0 | 393.407 | 393.407 | |
| **D | FACTOR ETF VALUE INTL MSCI ISHARES |
0 | 063 .762. ల ঘ |
3.762.063 P |
|
| **D | ETF FACTOR SIZE INTL NSCI I SHARES |
0 | -098.014 ਟ |
.098.014 ਟ |
|
| **D | ETF EAFE MSCI AWARE ESG ISHARES |
0 | .913 ਟ |
913 2 |
|
| **D | MULTI FACTORETE GLOBAL MSCI ISHARES |
0 | 4.649.145 | .649.145 ਾ |
|
| **D | STF TARGET LOW CARBON ACWI MSCI SHARES I |
0 0 |
. 499 21 |
21.499 | |
| **D | ਤ ਸਿੰਭ EUROPE MSCI CORE SHARES |
0 | 23.718 | 23.718 | |
| **D | ETF FACTOR INTERNATIONAL EQUITY ISHARES |
3.077.092 | 3.077.092 | ||
| **D | ETF GLOBAL INFRASTRUCTURE ISHARES |
0 | 420.232 | 420.232 | |
| **D | ETF MSCI ITALY ISHARES |
0 | 12.471.402 5.657.844 |
.471.402 12 |
|
| 5.657-844 | |||||
| Azionisti: | 31 Teste: 3.393 |
Pagina 51 | |||
| 20 | |||||
| Azionisti in proprio? | 3.373 Azionisti in delega: |
EMARKET
SDIR certified
9
11
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
EMARKET
SDIR certified
Juontool
10 maggio 2023 15.37.01
Ogetto: Antorizzazione all'acquisto e di zioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | |||||
|---|---|---|---|---|---|---|
| **D | BMERGENCY SERVICES SUPERANMOATION SCHEME | Proprio | Delega | Totale | ||
| **D | COMMONWEALTH BANK GROUP SUPER | 0 | 26.186 | 26.186 | ||
| **D | REALINDEX GLOBAL SHARE FUND (SCREENED) | 305.912 216-072 |
305.912 216.072 |
|||
| **D | SUSTAINABLEGLOBAL INVESTMENTS RUSSELL |
EX FOSS SHARES |
IL FUEL S FUND LVL 3 | 0 | 13.210 | 13.210 |
| **D | LOW INVESTMENTS RUSSELL |
FUND SHARES CARBON GLOBAL |
0 | 124-032 | 124.032 | |
| **D | SUPER COMMONWEALTH BANK GROUP |
93.779 | 93.779 | |||
| **D | CHINA OF BANK BEOPLE S |
4.302.735 | . 302 . 735 P |
|||
| **D | OF CHINA BANK PEOPLE, S |
208.617 ਟ |
-200.617 ਟ |
|||
| **D | INVESTMENT CORPORATION FLOURISH |
70 86. S |
709 ର . 8 S |
|||
| **D | SKANDINAVISKA ENSKILDA BANKEN AB | BRANCH - LUXEMBOURG (PUBL) |
638.091 1. |
.638.091 L |
||
| **D | MACKENZIE GLOBAL LEADERSHIP IMPACT ETF | 4.176 | 4.176 | |||
| *** | 8. HANKES JAMES |
24.160 | 160 24. |
|||
| **D | LLC OPCO RES |
C | ୧୧୧ | 656 | ||
| **D | AGF GLOBAL SUSTAINABLE BALANCEDCLASS | C | 209.317 | 09.317 S |
||
| D D |
GLOBAL INFRASTRUCTURE AGFIQ ENHANCED |
ETF | 0 | 239.59 | રે તે રે 239. |
|
| GLOBAL ASSET ALLOCATION PRIVATE POOL CI |
0 | 314.033 | 033 314. |
|||
| D D |
WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. RÉNAISSANCE |
0 | 271.432 | 271.432 | ||
| **D | INTERNATIONAL | PRIVATE POOL EQUITY |
0 | 48 - 354 | 48.354 | |
| **D | FUND THE CANADA LIFE ASSURANCE INTERNATIONAL INDEX CIBC |
COMPANY | g | 89.963 E |
ਰ ਦੇ ਤੇ 389" |
|
| ** D | FUND INDEX EUROPEAN CIBC |
0 | ||||
| **D | INTERNATIONAL EQUITY CIBC |
INDEXPOOL | 0 | |||
| **D | EUROPEAN EQUITY FUND AGF |
0 | 10.520 | 520 10. |
||
| **D | FUND ASSETS REAL GLOBAL AGF |
0 0 |
111.416 | 111.416 | ||
| **D | EQUITY FUND GLOBAL HIGHSTREET |
0 | 55.066 | 5.066 ഹ |
||
| **D | INTERNATIONAL EQUITYFUND HIGHSTREET |
A | 0 | 32.772 | 772 32. |
|
| **D | FUND EQUITY INTERNATIONAL |
0 | 17.630 | 17 630 | ||
| **D | POOL EQUITY MACK EAFE |
0 | 789.134 1. |
.789.134 T |
||
| **D | MACKENSIE GLOBAL MOMAN`S LEADERSHIP FUND | 0 | S . ਰੋ ਰੋ 204 |
04.995 ਟ |
||
| **D | MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX TD |
ETF | 0 | ರ 6-38 |
б ਤੇ ਉ 6. |
|
| **D | INTERNATIONAL EQUITY POOL IMPERIAL |
0 | 0 2.19 |
190 2 - |
||
| **D | CIBC PENSION PLAN | 0 | 206.103 | 206-103 | ||
| **D | GLOBAL CANADA LIFE |
INFRASTRUCT EQUITY FUND | 12.046 | 12.046 | ||
| **D | EQUITY INDEXETF CIBC INTERNATIONAL |
0 | 8 б 6.5 I |
8 ਦੇ ਰੋ 16. |
||
| **D | PURPOSÉ INTERNATIONAL DIVIDEND | FUND | 0 | б ਰੇ ਤੋ 9. |
б ਰੇ ਤੇ a - |
|
| **D | INTERNATIONAL EQUITYINDEX EMERALD TD |
FUND | 9 26.94 |
9 26.94 |
||
| * * D | GREENCHIP GLOBAL ENVIRONMENTAL ALL MACKENZIE |
FUND CAP |
0 | 9 б .637.4 |
9 1.637.49 |
|
| **D | GLOBAL LOW VOLATILITYEQUITY FUND MACKENZIE |
743.227 11. |
11.743.227 | |||
| **D | EQUITY INTERNATIONAL MACKENZIE |
ETTE INDEX |
18-381 | L 18.38 |
||
| **D | IG MACKENZIE GLOBAL INFRASTRUCTURE CLASS | б ﺎﺕ 201.8 |
б 201 85 |
|||
| **D | POOL EQUITY OVERSEAS IMPERIAL |
122.638 | 8 122.63 |
|||
| **D | GREENCHIP GLOBAL MAČKENŽIE |
ENVIRONMENTAL EQUITY FUND | б ૪ રે 41 - |
859 41 - |
||
| **D | GLOBAL GREENCHIP MACKENZIE |
EQUITY POOL | 1.195.000 442.631 |
0 442-631 -195.00 T |
||
| **D | GLOBAL GREENCHIP MACKENZIE |
FUND ENVIRONMENTAL |
250 26. |
250 26 - |
||
| **D | THE GLENCORE CANADIAN PENSION | ASSETS FUND FUNDS TRUST-REAL |
S 29.65 |
29.655 | ||
| **D | BLACKROCK STRATEGIC FUNDS | 3 6-186.18 |
.186.183 9 |
|||
| **D | GLOBAL INDEX FUNDS BLACKROCK |
460.117 | 60 - 117 ব |
|||
| ** T | DWS INVEST | 866.923 13. |
866.923 13 |
|||
| D D |
FUND DWS MULTI ASSET PIR |
. 000 ടക്ക |
590.000 | |||
| DAS FIXED MATURITY | 0 | . 673 184 |
184.673 | |||
| Pagina 53 | ||||||
| Azıonıştı: | 3.393 | Teste: | 31 | |||
| Azionisti in proprio: | 20 | Azionisti in delega: | 3.373 |
28E
EMARKET
SDIR
GRTIFFE
ﺍﻟﺮﺍﺑﻂ
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge D D |
Ragione Sociale | |||||
|---|---|---|---|---|---|---|
| SA DWS INVESTMENT |
FOR DWS ESG EUROPEAN EQUITIES | Proprio | Delega | Totale | ||
| SA DWS INVESTMENT |
FOR ARERO DER WELLFONDS | 0 | T B 424.8 |
424.881 | ||
| **D | STATE STREET | GLOBAL ADVISORS LUXEMBOURG SICAV | 0 | ﻟﺴ 200-21 |
208.217 | |
| **D | ALLIANZ EUROPEAN PENSION | INVESTMENTS | 549.346 ਟ |
549.346 ਾ ਦ |
||
| **D | INVESTMENTS S.A. EÜRÇ AZ |
0 | 7.421.687 | .687 .421 |
||
| **D | .305.330 โ |
.305.330 ન |
||||
| XTRACKERS | 24-450.115 | S 24.450.11 |
||||
| **D | STEERS SICAV COHEN AND |
9.707 S |
707 59. |
|||
| **D | SACHS FUNDS GOLDMAN |
6.419.311 | -419.311 9 |
|||
| **D | PINEBRIDGE INVESTMENTS | FCP RAIF | 121.076 | .076 21 L |
||
| **D | AXA WORLD FUNDS | .200.000 b |
200.000 P |
|||
| **D | II DMS INVEST |
0 ടക 0. 21 - ไ |
10.580 ਟ 1. |
|||
| **D | ZURICH | 8.476 ਾ |
8.476 ট |
|||
| **D | DWS INVESTMENT SA FOR DWS MULTIOPPORTUNITIES | 569 - 834 | 569 - 834 | |||
| **D | GLOBAL ADVANTAGE FUNDS | 122 47 . |
47.122 | |||
| **D | DWS CONCEPT | .500.000 12 |
500.000 12. |
|||
| **D | ALPS INTERNATIONAL SECTOR DIVIDEND DOGS ETF | 36 S 702. |
. 536 702 |
|||
| **D | ABERDÉEN GLOBAL | INFRASTRUCTURE FUND | 00 S 203. |
0 કે છ 203. |
||
| **D | UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | MASTER TRU | ୧୮ ದ .079. ਟ |
.079.365 ਟ |
||
| **D | INC BEAR CREEK |
52 0.0 ਬਾ |
ਟ ಗ . O 8 p |
|||
| **D | HIGH BMO EUROPE |
ETF DIVIDEND COVERED CALL |
8 4 4 .794. M |
.794.844 m |
||
| **D | PARTNERS CP INTERNATIONAL |
57 S 4. ਟ |
57 . 5 24 |
|||
| **D | COLLEGE RETIREMENT EQUILIES | EUND | 073 27.610. |
. 073 610 27 |
||
| **D | SOCIAL TIAACREF |
EQUITY FUND CHOICE INTERNATIONAL |
159 ee. . 4 t |
б ריי . 1 9 . 4 6 L |
||
| **D | ESG LEADERS INDEXETF EAFE BMO MSCI |
0 | 170 6. S |
70 . 1 g 1 |
||
| **D | RISK MASTER CAPULA TAIL |
FUND LIMITED | 7.764 | -764 ﻧﺎ |
||
| 0 * * |
GLOBAL SCREENED COMMONFUND |
EQUITY LLC | 00 8 16. |
6.800 L |
||
| **D | (IE) XTRACKERS |
PUBLIC FINITED COMPANY | ਟ 4 9 .911. C |
E | ||
| **D | ABERDEEN | STANDARD GLOBAL INFRASTRUCTURE INCOME FUND | 00 రు 07. |
. ਦੇ 4 9 ਰ 1 1 |
||
| **D | INVESTMENT RUSSELL |
DEVELOPED MARKETS FUND COMPANY INTERNATIONAL |
ਨ 51. . 8 I |
. 900 807 τ L |
||
| **D | FUND PROVIDENT CENTRAL |
BOARD | ਰੇ 1 . 1 |
a J ਟੀ 151 |
||
| **D | NEW YORK OF CITY UNIVERSITY |
લ ર ਟ 6. ਟ |
S 8 ਟ 6. ਟ |
|||
| **D | DES REGIMES FIDUCIE GLOBALE |
DE LA SOCIETE DERETRAITE |
DE TRANSPORT DE MONTREAL | 805 ന്ന |
05 - 8 B |
|
| **D | POOL EQUITY GLOBAL nei |
700 б б |
99.700 | |||
| **D | PUBLIC FUNDS ANIMA |
22 S 18. L |
118.522 | |||
| **D | LIMITED HEALTH MERCY BON SECOURS |
COMPANY | 086 297. € |
3.297.086 | ||
| **D | INVESTMENT PENSION GOVERNMENT |
FUND | 252 . 049 . T |
.049.252 T |
||
| **D | INVESTMENT PENSION GOVERNMENT |
FUND | 12.324.574 | 12.324.574 | ||
| **D | INVESTMENT PENSION GOVERNMENT |
FUND | 623 .013. 27 |
27.013.623 | ||
| **D | UNIVERSITY THE OE THE REGENTS |
OF CALIFORNIA | 175 523 -431. 8. । ਪੈ ﺎ |
14.431.175 | ||
| **D | FUND INC CALVERT IMPACT CALVERT |
GLOBAL ENERGY SOLUTIONS FUND | 083 79. - 16 T |
. 523 83 179.0 7.168 |
||
| **D | INTERNATIONAL EAFE VP CALVERT |
PORTFOLIO INDEX |
୧೭ ా 9 9 |
362 6 - 9 |
||
| **D | EX-U.S. GLOBAL FIDELITY |
TRUST INDEX INSTITUTIONAL EQUITY |
311 1. |
.311 ไ |
||
| **D | UTILITIES VIP GLOBAL GUARDIAN |
FUND | 387.011 | 387.011 | ||
| * * | PORTFOLIO DIVIDEND TANGERINE |
175 8. 8 ﺎ |
180.175 | |||
| **D | BALANCED TANGERINE |
INCOME PORTFOLIO | 16.621 | 16.621 | ||
| **D | THE COLORADO HEALTH | FOUNDATION | 8.029 S |
8.029 5 |
||
| **D | COMPANY INVESTMENT RUSSELL |
MULTIASSET GROWTH STRATEGY | FUND | 611 33. |
33.611 | |
| **D | INVESTMENT RUSSELL |
COMPANY TAXMANAGED REAL ASSETS FUND | 0 4 4 220. |
. 04 4 220 |
||
| **D | AARP BALANCED RETIREMENT HARTFORD |
FUND | 154 3. |
. 154 5 |
||
| **D | FUND ASSET REAL HARTFORD |
82 б 51. |
82 . 9 51 |
|||
| Pagina 54 | ||||||
| Azionisti: | 3.393 | Teste: | 31 | |||
| Aziomsti in proprio: | Azionisti in delega: 20 |
3.373 | e |

Ulto sugli sulle
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dell'Assemblea ordinaria del 19 maggio 2022 FAVOREVOLI
| AMERICAN FUNDS INSURANCE SERIESNEW WORLD FUND | Proprio | Delega 435.216 15.330 |
|
|---|---|---|---|
| 218 90 ୧୦ - |
|||
| PENSION FUND | 124.938 45.137 899.8 |
||
| INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO PORTFOLIO EXUS INDEX |
. 584.048 81 8 . 583 T ไ |
||
| EQUITIES EUROLAND EMPLOYEES RETIREMENT ASSOCIATI DC |
8 ട 31 1.984.8 โ |
||
| ਰੇ ਪੈ S . 8 . 084 - 46 |
|||
| ਦ GMBH FOR CONVEST 21 |
583.742 72.388 |
||
| AND INDUSTRIAL INNOVATION INDEX ETF | 4.698 | ||
| . 936 2.575 |
|||
| CARBON FOCUS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FINREON SGKB |
19.636 290 927. |
||
| BENEFITS PLANS | 158.212 | ||
| DECOMMISSIONING TRUST | .926.723 67.185 |
||
| PORTFOLIO MULTIASSET GLOBAL |
37.808 | ||
| PLAN SAVINGS PLUS 401(K) |
BJ .837.9 ਟ |
||
| INTERNATIONAL EQUITY FUND FUND INFRASTRUCTURE |
.706.641 ไ |
||
| VALUE FUN INTERNATIONAL |
.311 80 6.6 365 . 08 T |
||
| ETF ITALY ELRE |
52 8 0. 8 |
||
| EQUITY HEDG INT . L LIBERTYQ |
52 ರಿ б 37 |
||
| ਰੇ ਦ 58 - 9 |
|||
| ALLOCATION VP | 8 ਰੋ ਰੇ I 0 6.2 32 - 8 |
||
| 86.462 | |||
| 109.448 | |||
| 35.373 ไ |
|||
| BIND GROWTH AND INCOME TRUST |
284 - 058 319.572 |
||
| FUND | 549 5. ರಿ |
||
| FUND EQUITY ROME PRICE INTERNATIONAL |
671-822 | ||
| 95.267 | |||
| 190 17. |
|||
| .767 ୧୫ 407.5 ਟ |
|||
| 9.483 ਟ |
|||
| 159.615 | |||
| 45.263 | |||
| 03 415.8 |
|||
| COMPANY OF AMERICA TRUST |
212.247 279.171 |
||
| 188 - 609 | |||
| FREE ENG STOCK MARKET ETF |
144.666 .742 75 |
||
| Pagina 55 | |||
| 31 | |||
| 3.373 Azionisti in delega: |

( ( ( ( ( ( ( ) ( ( ) ( ( ) ( ( ) ( ( ) ( ( ) ( ( ) ( ( ) ( ( ) ( ( ( ( ( ( ( ( ) ( ( ( ( ( ( ( ( ) ( (
10 maggio 2023 15.37.01
Assemblea Ordinaria del 10 maggio 2023
Oggetto: Autorizzazione all'adisposizione di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| .715.676 S 9.320 67.103 30.000 3.597 105.619 Totale .728.747 597.143 297.743 9 15.000 000888 67.225 16.000 442 464 18.193 26.954 38.258 140.763 P 2.260 8 48-546 87.659 224.632 276.38 23.24 .74 26.12 7 d ﺎ 2 3. ट ਟ ਨ ਟ 7.743 800 23.597.143 267.103 67.225 Delega 193 ਰੇ ਦੇ ਖੋ 258 8 વ 2.260 26.125 9.320 248 .746 15.000 30.000 3.597 16.000 105.619 48.546 87.659 442.464 224.632 5.676 .140-763 2-728-747 ಕ 8. 276. 26. 23. 8. 18 বা ਨ ਰੇ 71 ತ ﻟﺴﺎ ﻞ ਟ ਟ Proprio 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 |
339.303 254.953 34.142 б 338.634 551.744 776.710 S б 588.975 224.463 42.300 29.830 14-846 359.705 328.090 7.710.642 972.519 116.947 533.175 2.617 16-992 8.722 199.964 26.28 10.53 340-09 T E ഗ 339.303 14.846 116.947 S S .617 42.300 328.090 340.099 S 972.519 224.463 34.142 16.992 9.830 8.722 254.953 359.705 551.744 776.710 10.539 338.634 199.964 28 533.17 7.710.64 588-97 26. 2 ਟ 5. రా t 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 |
|---|---|
| EQUITY ETF | Pagina 56 |
| DYNAMIC MULTI-FACTOR INTERNATIONAL | LLC MULTI ASSET COR E PLUS FUND |
| I | LLC INTERNATIONAL EQUIT |
| ALLIANCEBERNSTEIN EUROPEAN OPPORTUNITIES SERIES | LISTED INFRA |
| NORTHROP GRUMMAN CORPORATION VEBA MASTER TRUST | REGION GOVERNMENTEXCHANGE FUND |
| KGPENSIONEN | 31 |
| PAX INTERNATIONAL SUSTAINABLE ECONOMY FUND | FUND |
| RESOLUTION LIFE INSURANCE COMPANY | ETF |
| PMB 1 | ETF TRUST-AVANTIS INTERNATIONAL EQUITY |
| ਟ | ETF TRUST-AVANTIS INTERNATIONAL EQUITY |
| SYSTEM | THROUGH ITS TREASURER |
| 1 | LLC GLOBAL |
| RKBS | EQUITY POOL |
| 2 | COMPANY |
| DEAM FONDS ABFI | ELES ENRODE II BUBLICITIMILED CONSUL |
| DEAM FONDS KDE | INC |
| DEAM FONDS WOP | LOW VOLATILITY EQUITY PORTFOLIO |
| INTERNATIONAL INDEX PORTFOLIO | FUNDS, |
| FUND | FUNDS, |
| BG | FUNDS |
| COMMON CONTRACTUALFUND | EQUITY FUND |
| ALLOCATIONFUND | SVSH |
| DEAM-FONDS | EUROBE I BUBLIC FINITED |
| FONDS | MANAGEMENT |
| DEAM-FONDS | BTE |
| QIF COMMON CONTRACTUAL FUND | FUND |
| SPDR MSCI EAFE STRATEGICFACTORSETF | FOR VOLATILITY EQUITY FUND |
| DEAMFONDS | GLOBAL |
| THRIVENT INTERNATIONAL ALLOCATION | SONDS |
| STATE RETIREMENT PENSION | FORDS |
| ETF | INSTITUTIONAL |
| LTD | INSTITUTIONAL |
| INVESTMENTS LINITED | INSTITUTIONAL |
| ASSETS INCOME | Teste: |
| DEAM | ACTING |
| TACTICAL STRATÉGIES | LONG-TERM CARE |
| CITY OF NEW YORK GROUP TRUST | KONG SPECIAL ADMINISTRATIVE |
| SMART PREMIA FUND | PORTFOLIO |
| FUND | TRUST |
| FOR | INC |
| FOR | FOR DEAM |
| FOR | FOR DEAM |
| FOR | FOCUSED |
| FOR | CORE INTERNATIONAL |
| LTD | INVESTMENT |
| FOR | STOCK FUND |
| FOR | ਤ ਤੇ ਰੇਤ |
| GLOBAL | STATE STREET IRELAND UNIT |
| GMBH | THE STATE OF CONNECTICUT, |
| САВН | AMERICA |
| GMBH | STOCK |
| GMBH | ROSSELL INVESTMENTS |
| смен | GMBH |
| GMBH | INVESTMENTS |
| GMBH | INVESTMENTS |
| ALASKA COMMON TRUST | GMBH |
| FUND | INVESTMENTS |
| GLOBAL REAL | SERVICES GROUP OF |
| Ragione Sociale | PUBLIC ENPLOYEES. |
| RAFI | KOREA |
| INVESTMENT | KOREA |
| INCURATION | CENTURY |
| INVESTMENT | CENTURY |
| INVESTMENT | TJ-QUALIFIED LLC |
| INVESTMENT | CENTURY |
| INVESTMENT | GLOBAL |
| INVESTMENT | GLOBAL |
| INVESTMENT | ETFS |
| PRICE | DWS INVESTMENT |
| MOUNT HATTON | DWS INVESTMENT |
| UCITS | OF |
| PES : PIMCO | BANK OF |
| THRIVENT | SPDR |
| MARIGOLD | SPDR |
| MARYLAND | AMERICAN |
| TALCOTT | THE BANK |
| MÜSASHI | AMERICAN |
| ROWE | THRIVENT |
| MERCER | AMERICAN |
| MERCER | THRIVENT |
| DWS | THRIVENT |
| DWS | THRIVENT |
| THE | THRIVENT |
| DWS | RUSSELL |
| DWS | RUSSELL |
| DWS | RUSSELL |
| DWS | HONG |
| DWS | SSGA |
| NBI | SSGA |
| I. | THE |
| Badge | -Azionisti. |
290

Just 2 age Nulley
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'adisposizione di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND 1 CAESAR DWS-FONDS DWS INVESTMENT GMBH FOR Ragione Sociale |
Proprio 0 0 |
Delega 9 107.000 182.00 |
Totale 07.000 82.806 ﺎ t |
|---|---|---|---|
| TRUST PLAN MASTER TRUST MULTIMANAGER GLOBAL FUNDS UNIT RETIREMENT DISNEY COMPANY THE WALT ARCHITAS |
0 0 |
б 66.040 247.88 |
8 8 9 66.040 47. N |
| FOR DWS CONCEPTKALDEMORGEN MOTHER FUND AS TRUSTEE PORTFOLIO GLOBAL DYNAMIC ALLOCATION BANK OF JAPAN, LTD. TRUST THE MASTER TRUST I AB |
G | 5 275.57 |
275.575 |
| FUND EQUITY INTERNATIONAL BEACON AMERICAN |
C 0 |
361.949 82.000 8 |
ਕੇ ਕੇ ਉ 000 61. 82 - ಕ 8 |
| FD EQUITY INTERNATIONAL ABBETT 1 NOP SECURITIES TRUST-LORD GMBH FOR DEAMFONDS DWS INVESTMENT LORD ABBETT |
0 G |
478.358 132.174 |
478.358 32.174 T |
| NICOLA GLOBAL EQUITY FUND LLC FEG SELECT, |
0 0 |
S 489-000 282.62 T |
282.625 89.000 . 4 T |
| FUND INDEX CALVERT INTERNATIONAL RESPONSIBLE |
0 | 398.687 | 98.687 ದ |
| ASSET STRATEGY FUND PARAMETRIC INTERNATIONAL EQUITYFUND EATON VANCE RICHARD BERNSTEIN ALL |
0 G |
8 180-039 241.98 |
و 8 8 8 0.039 41. 8 2 ไ |
| HEDGED ETF FRANKLIN FTSE EUROPE l TRUST FRANKLIN TEMPLETON ETF INC FOUNDATION PARKER |
C 0 |
73.353 C 10.60 |
73.353 |
| TAXMANAGED INTERNATIONAL EQUITYPORTFOLIO | 0 | 40.123 | 40.123 10.602 |
| AS MASTERCUSTODI AN OF PINEBRIDGE THEMATI ITS CAPACITY ETF TRACKER IN D BANK CO.,LT INDEX INTERNATIONAL EQUITY FUBON COMMERCIAL SCOTIA TAIPEI |
0 | 77.809 | 77.809 |
| vb INDEX INTERNATIONAL EQUITY TRANSAMERICA |
0 0 |
91.174 37.281 |
91.174 37.281 |
| TARGETED RETURNS FUND GLOBAL FUNDS-INVESCO SERTES NOT LT INVESCO |
0 | 1.350 | 1-350 |
| INTERNATIONAL SMALL CAP GROWTH FUND CDC PENSIOENFONDS BLAIR STICHTING ING WILLIAM |
0 0 |
7.784 195.739 |
7.784 95.739 L |
| FUND SUSTAINABILITY FUNDS-ENVIRONMENTAL VANECK |
0 | 7.600 | 600 7. |
| MSCI WORLD INDEX FUND PLC INVESTMENT COMPANY JNL /MELLON RUSSELL |
0 0 |
643.075 52.771 |
643.075 52.771 |
| PORTFOLIO GROWTH EQUITY TANGERINE |
g | 164.402 | 64-402 t |
| INSTITUTIONAL FUNDS PLC SCIENTIST OF CHRIST сноясн RUSSEL FRANK FIRST |
C 0 |
19.830 13.394 |
19.830 13.394 |
| FUND INDEX INTERNATIONAL SSGA LVIP |
0 | 2 170.07 J |
072 70 - ﺎ L |
| INTERNATIONAL CORE EQUITY FUND EU DEVELOBED INTERNATIONAL 150 DIMENSIONAL SSGA TAIF IVIP |
0 0 |
123-033 125.556 |
123.033 25.556 1 |
| COMPANY COLLECTIVE TRUST TRUST PRUDENTIAL |
0 | 138.072 | 072 38. I |
| MULTIASSET FACTOR EXPOSURE FUND RUSSELL INVESTMENTS PLC MGI FUNDS |
0 0 |
556.222 72-787 |
556.222 72.787 |
| FUND D COMMON PENSION JERSEY STATE OF NEW |
0 | 5 842.67 0 |
.842.675 ਧ |
| FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO STICHLING NN CDC BENSICENFORDS BRIGHTHOUSE |
0 0 |
8 34.173 41-84 |
34.173 41.840 |
| FUND DIVIDEND AND INCOME BIMCO SERIES : EQUITY PIMCO |
0 | ದ 66.25 |
6.253 9 |
| RAE INTERNATIONAL FUND DIMCO SERIES : EQUITY PIMCO |
0 | 1.536.391 | 391 536. T |
| FONDS TOCO DEAM LIMITED FOR HONG KONG GMBH INVESTMENT PRUDENTIAL ામ ક |
0 | 3.813.560 | eo 5 . 013. ప్ర |
| 1 DEAMFONDSBCA FOR GMBH INVESTMENT DHS |
0 0 |
40 88. |
0.400 8 |
| INTEGRATIÉ EN (RE) HERK PENSICENFONDS STICHTING |
0 | 511-873 39.454 |
. 454 511.873 б ల |
| DEUK DEAM-FONDS FOR GMBH INVESTMENT ામ ક |
0 | 37.605 | 605 37. |
| CA IV FONDS DEAM FOR GMBH INVESTMENT DWS |
0 | 20.057 | 057 0 - ਟ |
| RHEIN FONDS DEAM DEAM FOR FOR GMBH СМВН INVESTMENT INVESTMENT DMS |
0 | 95.114 | 95.114 |
| SFBWL SIM I BME I FONDS FONDS FONDS DEAN DEAM FOR FOR GMBH СМВН INVESTMENT INVESTMENT DMS DWS DHS |
0 C |
140.000 500.000 170.00 |
140.000 500.000 170.000 |
| Pagina 57 31 Teste: 3.393 |

(Desortie
3.373
Azionisti in delega:
20
Azionisti in proprio:
10 maggio 2023 15.37.01
Assemblea Ordinaria del 10 maggio 2023
Ogetto: Autorizzazione all'acquisto e alla disposizione di evoca dell'autorizzazione conferita dall'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | |||
|---|---|---|---|---|
| **D | દ RTU FONDS DEAM FOR GMBH INVESTMENT DAS |
Proprio | Delega | Totale |
| **D | I PSE FONDS DEAM FOR GMBH INVESTMENT DWS |
0 | 7.042 | 7.042 |
| **D | t ITHG FONDS DEAM FOR СМВН INVESTMENT DWS |
702 11 |
1.702 L |
|
| **D | OKA FONDS DEAM FOR GMBH INVESTMENT ાજક |
07.711 I |
07.711 1 |
|
| **D | NKS FONDS DEAM FOR GMAH INVESTMENT ામટે |
0 0 |
ਰੇ ਕੇ ਟੋ 9. ು ವಿಧ್ವ |
ਰੇ ਹੋ ਤ 9. ਟ |
| **D | POOL GLOBAL INFRASTRUCTURE RUSSELL INVESTMENTS |
000 | 000 0 ﺴﺎ |
|
| **D | POOL OVERSEAS EQUITY RUSSELL |
0 | 58.463 9 t |
.658.463 1 |
| **D | FES DEAMFONDS FOR GMBH INVESTMENT DMS |
0 | 133.612 | .612 33 ા |
| **D | 1 KLP DEAMFONDS FOR GMBH DNS INVESTMENT |
0 | 000 70.1 |
- 000 70 |
| **D | DEAM-FONDS CPT | 0 | 0 10 7 - 8 |
100 87 . |
| **D | G | 0 90.00 |
. 000 0 6 |
|
| **D | FUNDS LLC SUSTAINABLE MULTI ASSET I-ASSET GROWTH FUND RUSSELL INVESTMENTS INSTITUTIONAL |
0 | 9 57 1 বঁ ব |
44.576 1 |
| **D | FOLKSAM OMSESIDIG LIVFORSAKRING | 0 | 943 8 9 . E |
ਰੇ ਹੋ ਤੇ 99. రా |
| FOR DEAM FONDS LW1 GMBH INVESTMENT DWS |
g | 10.507 | 507 0 - T |
|
| **D | BERGBURG 15 DEUTSCHE FOR GMBH INVESTMENT DWS |
0 | 0 50.00 |
000 50 |
| **D | TEACHERS. RETIREMENT SYSTEM CALIFORNIA STATE |
0 | 9 73 126. 0 ਟ |
.126.736 0 N |
| **D | CCF STATE STREET |
0 | .85 ୧୦ |
852 60. |
| **D | INVESTMENT TRUST COLLECTIVE TRUST ATTAINGTON |
0 | 218.363 L |
363 218. L |
| **D | GROWTH PORTFOLIO INTERNATIONAL FARGO HELLS |
0 | 9 9 ાં 66. |
66-166 |
| **D | INTERNATIONAL PORTFOLIO ENHANCED WELLS FARGO FACTOR |
D | 6 92 76. T |
б ਰੇਣ 176. |
| **D | BOARD INVESTMENT STATE WASHINGTON |
0 | L . 98 978 N |
aal 978. N |
| **D | ANNUITY INSURANCE COMPANY EMPONER |
0 | 0 ್ತಿ 303.1 |
|
| **D | FUND CORE WISDOMIREE INTERNATIONAL EFFICIENT |
0 | 168 03. E |
|
| **D | INVESTMENT FDS TR COLLECTIVE ASSOCMULTIPLE CO NATL WELLINGTON TR THE |
0 | . 634 132 |
132.634 |
| **D | FUNDS TRUST ENDURING ASSETS PORTFOLIO WTCN COMMON TRUST |
p .72 340 E |
340.724 E |
|
| **D | EQUITY PORTFOLIO INTERNATIONAL TRUST- THE CAPITAL HC |
0 | ਨ S B 477 T |
852 477. ไ |
| **D | LLC PARTNERS, SYLVAN |
C | S . 93 ﻟﺴﺎ a |
47.935 |
| **D | VANGUARD FTSE DEVELOPED EX MORTH AMERICA HIGH DIVIDEND YIELD IND | 0 | 8 .33 నా ไ |
14.338 |
| **D | ETE ENERGY CARBON LOW VANECK |
0 | б 51 ల్ 9 |
ర 63.51 |
| **D | MEAG | 0 | 78 345.8 ਟ |
8 345.87 N |
| **D | MEAG VISION KAPITALANLAGEGESELLSCHAFT MBH FOR ERGO MUNICH |
0 | 9 . 65 143 |
143.656 |
| **D | SAA FOR PROUIFONDS UNIVERSALINVESTMENTGESELLSCHAFTMBH |
0 | 27 g. 81 |
819-270 |
| INT VALUE FUND SERIES FIDELITY TRUST INV FIDELITY |
0 | 707.650 3. |
.707.650 E |
|
| **D | PLANS RETIREMENT EXEMPT TAX ADV GLOB ssi |
0 | .614 35-848 |
5. E |
| **D | TOTAL RETURN VIS FUND STATE STREET |
ਟ ਪੋ S 32 L |
848.614 | |
| **D | TOTAL RETURN PORTFOLIO MARKET PORTFOLIOS AB ALL THE AB |
.780 31 |
132.554 | |
| **D | INFRASTRUCTURE FUND, INC. STEERS ಳಿ COHEN |
.694.974 T |
31.780 1 |
|
| **D | FUND, INC INCOME ALTERNATIVE STEERS COHEN & |
540 ਹ ਦ |
694-974 | |
| **D | TRUST GROUP PERMANENTE KAISER |
وئي 03 ਟ |
16.540 | |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RMFFONDS | 575 12 |
575 203.961 તન |
|
| **D | ETE LARGE COMPANY INDEX INTERNATIONAL FUNDAMENTAL SCHWAB |
.186 8 ୧ - 0 B |
8.086.186 2. |
|
| **D | OPPORTUNITIES FUND INTERNATIONAL SCHWAB |
ਉ ਹੈ ర్ ਤੇ ਤੋ T |
133.989 | |
| **D | COREEQUITY FUND STRATEGIC GLOBAL CANADA AB |
ਉ ਕੇ ਖੋ ਤੇ ਉ T |
139.894 | |
| **D | CAP-WEIGHTED, UNHEDGED FUND EQUITY VALUE INT CAN AB |
020 ਹੈ ਰੋ L |
109.020 | |
| **D | EUND AB INTERNATIONAL VALUE - TRUST AB |
307.340 | 307.340 | |
| **D | TRUST COLLECTIVE INVESTMENT TRUST COMPANY HANCOCK JOHN |
. 676 б ব |
49.676 | |
| **D | DEVELOPED INTERNATIONAL ETF MULTIFACTOR HANCOCK JOHN |
63-718 L |
163.718 | |
| D D |
INSURANCETRUST STRAT EQ ALLOCATION TRUST VARIABLE HANCOCK JOHN |
86.730 L T |
186.730 T |
|
| **D | FUND INFRASTRUCTURE HANCOCK JOHN |
884 441. ర్ |
84 3.441.8 |
|
| **D | PORTFOLIO STRATÉGIES GAAINCOME RETIREMENT ADVANTAGE PUTNAM |
087 82 |
87 0 ਟ 00 |
|
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN PUTNAM RETIREMENT ADVANTAGE GAREQUITY PORTFOLIO |
382 83 |
8 2 3 ತ B |
|
| 528.000 | 00 0 8. 52 |
|||
| Pagina 58 | ||||
| Azionisti: | 31 Teste: ਤੋਂ ਤੇਰੇੜੇ |

Theory
3.373
20 Azionisti in delega:
Azionisti in proprio:
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | |||
|---|---|---|---|---|
| **D | VPV ALLGEMEINE VERSICHERUNGSAG | Proprio 0 |
Delega 000 કર . |
Totale 55.000 |
| **D | SACHS MULTIMANAGER REALASSETS STRATEGY FND GOLDMAN |
0 | 94.429 | 94 - 429 |
| **D | FUND MANAGED BETA GLOBAL GOLDMAN SACHS TRUST SACHS GOLDMAN |
0 | તે રેણ્સ 5. |
- 906 S |
| **D | BENEFIT FUNDS TRUST TRUST COMPANY COMMINGLED EMPLOYEE INVESTMENTS RUSSELL |
0 | 082 68 a " |
689.082 |
| D D |
FUNDS TRUST BENEFIT ENDLOYEE COMINGLED RSS INV |
0 | 574.113 | 574.113 |
| **D | IREL INVS RUSSELL SERVICES IREL ANGLO CELTIC FUND CUSTODIAL MEAG ssB |
0 | 235 234 . |
234.235 |
| **D | INVEST PENSION MEAG |
0 | 1.421.220 | 1.421.220 |
| **D | ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 MUNICH MEAG |
110.653 | 110.653 | |
| **D | PLAN RETIREMENT I BN |
4.321.644 31.410 |
4.321.644 | |
| * * D | TRUST INCOME BUILDER OPPORTUNITIES THORNBURG |
049 . 598 - ਟ |
ర్ 31.410 598.04 ਨ |
|
| **D | BBS GMBH FOR DEAM FONDS DNS INVESTMENT |
270 31. |
31.270 | |
| **D | UIFONDS AKTIEN WORLD ESG FOR UNIVERSALINVESTMENTGESELLSCHAFTMBH |
60.040 | -040 ରେ |
|
| **D | FUND BUILDER INCOME INVESTMENT THORNBURG |
671 59.905. |
905.671 ર તે - |
|
| **D | FUND THORNBURG BETTER WORLD INTERNATIONAL |
329 1.129. |
1.129.329 | |
| D D |
ui 1 FOR CTWI UNIVERSALINVESTNENTGESELTSCHALTMBH |
0 | 632 23. |
23.632 |
| **D | HL RESERVEUIFONDS FOR UNIVERSALINVESTMENTGESELLSCHAFTMBH |
0 | 000 26. |
0 26.80 |
| **D | MOTHER FUND INCOME FUND KOKUSAI REAVES UTILITY MATB MSCI |
0 | 257 6.465. |
6.465.257 |
| **D | INTERNATIONAL EQUITY ETF CENTURY ETF TRUST-AVANTIS RESPONSIBLE INDEX AMERICAN |
0 | 760 128. |
128.760 |
| **D | STRATEGICFACTORS ETF HORLD SPDR MSCI |
0 0 |
3.073 | 3.073 |
| **D | INSIGNTS SERIES RÉSÉARCH GLOBAL AB |
0 | ਕੇ 2 2 .937.316 5. |
5.952 |
| **D | TRUST - AB INTERNATIONAL STRATEGIC EQUITIES SERIES BUSINESS DELAWARE ALLIANCEBERNSTEIN |
0 | 90 S |
937.316 5. |
| **D | RESEARCH INSIGHTS SERIES II BUSINESS TRUST-AB GLOBAL DELAWARE ALLIANÇEBERNSTEIN |
0 | 521 ব .210. . 692 . T ໄ |
.210.490 T ﺎ |
| **D | 35G UNIVERSAL-INVESTMENT-GESELLSCHAFT MOH FOR FINREON SGKB TAIL RISK CONTROL (WORLD) |
0 | 60.000 | 692.521 |
| **D | IN FUND IP | 0 | 3.355 | 3.355 60.000 |
| **D | LP VNL |
0 | 1.030 | 1.030 |
| **D | GIOBAL EQUITY INCOME FUND NOVEEN |
0 | 303.775 | 303.775 |
| **D | ASSET INCOME FUND REAL NUVEEN |
0 | .763.120 T |
1.763.128 |
| **D | FOND INCOME MULTI-ASSET NUMBEN |
0 | 91.744 ਟ |
291.744 |
| **D | & GROWTH FUND INCOME ASSET REAL NUVEEN |
0 | 036 0. 8 ﻟﺴ |
780.036 |
| **D | ETF HIGH DIVIDEND INTL FIDELITY TRUST : COVINGTON FIDELITY |
85.412 0 |
485.412 | |
| **D | ETF INTERNATIONAL HIGH DIVIDEND INDEX FIDELITY |
234 220 - |
220.234 | |
| **D | BIC SERIES INVESTORS GLOBAL FUNDS Operia |
558 ılır. |
118.558 | |
| **D | IIC FUND INTERNATIONAL RAE DIMCO |
980.627 | 980.627 | |
| **D | DWS-FONDS PAJ 1 FOR GMBH I NVESTIMENT DAS |
000 27 - |
27.300 | |
| **D | DVERG DEAM-FONDS FOR GMBH INVESTMENT DMS |
0 | 331 32 - |
331 32. |
| **D | EXEMPLOM DEAMFONDS FOR CMBH INVESTMENT DWS |
025 9 . |
9.025 | |
| **D | 1 GDP FONDS DEAM FOR GMBH INVESTMENT DNE |
0 | 000 90. |
90.000 |
| C 来源 |
SCSM FONDS DEAM FOR GMBH INVESTMENT DWS |
066 3. |
3.066 | |
| D D |
UVG STK FONDS DEAM DEAM FOR FOR GMBH GMBH INVESTMENT DHS DWS |
042 18. |
.042 19 |
|
| **D | ਰ DWS NOTAERZTE FONDS FOR GMBH INVESTMENT INVESTMENT DWS |
300 12. |
12.300 | |
| **D | THRIVENT INTERNATIONAL ALLOCATION PORTFOLIO | 61.000 | 61.000 | |
| **D | POOL EQUITY MULTIFACTORINTERNATIONAL INVESTMENTS RUSS BOLL |
50.766 | 750.766 | |
| **D | OPPORTUNITIES POOL YIELD INVESTMENTS RUSSELL |
9.551 | 51 S б |
|
| **D | INVESTMENT MANAGEMENT CORPORATION ALBERTA |
4.239 | 4.239 | |
| **D | FUND INDEX EQUITY INTERNATIONAL SCOTTA |
500 924. |
924.500 | |
| **D | NON-LENDING DAILY TRUST SSGA MSCI ACWI EX-USA INDEX |
695 597 13 - റ്റ € |
તે રે 13.6. 38 |
|
| **D | FUND EDUCATION SELFFINANCING POSTSECONDARY |
4.711 | 97 4.711 . ട |
|
| Pagina 59 | ||||
| Azionisti: | 31 Teste: ਤੋਂ ਤੇ ਰੇਤੇ |

less noon
3.373
20 Azionisti in delega:
Azionisti in proprio:
10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita del 19 maggio 2022 FAVOREVOLI
| 370 23.600 10-639 S 132.036 9 ર ૯ વ 209.333 Totale 218.433 165.954 37.931 016.133 59.616 ర E 151.630 .311 17.472 63.757 41.314 22.374 б 62 08" 18 19.726 90.572 3.135 16.757 56.000 72.698 67.778 221.562 19.818 6-250 92.300 6.846.131 537-332 177.421 1.701 5.201 0 42.90 473.07 223.02 018.97 64.04 . 9 8 51. 520. ട് . ਰੇ ਦ 0 0 ਨ T 0 E t గా б ਰ ਨ L C ਟ T ﺎ ไ -370 .875 . 616 .043 151.630 .300 - 836 -472 -757 . 314 ರ - 954 .726 . 135 . 025 79 .778 50 .311 0 209.333 374 18 . 900 .664 Delega .131 0 ਰ 332 . 433 80 72 . 937 57 00 L .016-133 8 . 562 .421 .701 62 0 б . 60 . 63 - ୧ S 0 б . 7 . O ਟ - 6 ర్ . θ . 2 37 23 e 3 e ഹ 10 ம б 90 337 ర g 223 9 ਟ б 8 364 67 21 177 ਹੈ ਕੇ L 9 4 92 ਕੇ ਨ 295 132 17 0 473 ર 20 ਟ .218 T S 51 ਕੇ ਹ 09 T ਟ - 8 ব ਟ g 31 ਰੇ 1 S 8 ﺎﺕ 5 01 E S T t ਟ € 9 N t ไ t |
39.969 100 94.886 .456 B 200 570.214 171.111 302.472 . 73 21. ਕ ਤੇ 0 512 L .111 -214 9 0 0 б 0 02-472 20 39.96 10 88 વૈદસ .73 4 3 . 21 70 ਰੇ ਪੈ 10 512 171 S 17 L |
|---|---|
| O 0 0 0 0 0 0 0 0 0 0 0 0 0 0 D 0 C 0 0 0 0 0 0 0 0 0 0 0 0 0 Propri |
0 G 0 0 0 0 0 0 |
| SUSTAINABLE REDUCED CARBON OPPORTUNITIES ZIF GREEN l ZURICH INVESTINSTITUTIONAL FUNDS DYNAMIC ASSET AL LOCATION PORTFOLIO INDEX POOLED FUND 0 CAP PORTFOLI ETF |
Pagina 60 3.373 31 |
| THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR AQUILLAIUNIVERSALFONDS INDEX NONLENDING COMMON TRUST FUND STRATEGIC ADV FIDELITY INT FND TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION FUND TFB IN ITS CAP AS MASTER CUSTODIAN OF FIDELITY (TAIWAN) FACTORBASED NONLENDING COMMON TRUST FUND HARTFORD SCHRODERS INTERNATIONAL MULTI-CAP VALUE FUND ALL CAPEX NORTH AMERICA INDEX RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO FOND: STOCK SELECTOR ALL MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INC AB ALL MARKETREAL RETURN PORTFOLIO FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ETF GAABALANCE PORTFOLIO GAAGROWTH PORTFOLIO EMPLOYEES RETIREMENT ASSOCIATION HEATTH INSURANCE COMPANY EUROPE ALL CAP INDEX TRUST - THE ESG GROWIN PORTFOLIO INVESCO INCOME ADVANTAGE INTERNATIONAL FUND SAARAERZTE AB PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND WELLINGTON MANAGEMENT FUNDS (IRELAND) PLC SYSTEM SYSTEM SYSTEM l COLLECTIVE INVESTMENT TRUST SERIES SERIES FUND INC. SIR DAVID TRENCH FUND FOR RECREATION RISK ALLOCATION FUND INC RETIREMENT RETIREMENT RETIREMENT DRSFONDS II MULTI-ASSST INCOME FUND SQUARE TRUST 1000 INSURANCE PRODUCTS ADVANTAGE FOUNDATION HOSPITALS RETIREMENT ADVANTAGE FOLKSAM TJANSTEPENSION AB DEVELOPED DEVELOPED FOR DEVELOPED TEACHERS STATE TEACHERS TEACHERS BANK HOSPITAL LIFE AND PRODUCTS GMBH OF NEVADA TJ-NONQUALIFIED LLC THRIFT SAVINGS PLAN ZURICH INVEST ICAV TRUST- ASIAN DEVELOPMENT RETIREMENT ROTLAND VARIABLE FMR CAPITAL INC. Ragione Sociale STATE STATE DWS INVESTMENT VANGUARD FTSE RAFI THE METHODIST FTSE COUNTY STATE STREET BOND FUND JOHN HANCOCK VARIABLE CAPITAL CAPITAL THE STATE GLOBAL VARIABLE FUDERITY VANGUARD FTSE YORK YORK YORK PUTNAM PUTNAM SONOMA KAISER PUTNAM PUTNAM PUTNAM UBS 235 NEW NEW NEW HC AB AB AB HC AB |
FOR MEAG EUROSTAR ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS INDU Azionisti in delega: ELLEVATE GLOBAL MOMEN`S LEADERSHIP FUND RZV GLOBAL SUSTAINABLE INFRASTRUCTURE FUND KONSUMENTKOOPERATIONENS PENSIONSSTIFTELSE UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR MEAG MUNICH ERGO KAPITALANLAGEGES MBH lieste: PLUS PLAN TRUST ਤੋਂ ਤੇ ਰੇਤੇ 20 Earlie SPDR MSCI ACWI EXUS THE BANK OF KOREA 401 (K) 18时 PAX PAX |
| Badge D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D * D D D D D D D * D D D **D |
Azionisti in proprio: AZIONISTI: D D D D D + D D D D 1 |

10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione di azionizzazione conferta dall'Assemble ordinaria del 19 maggio 2022
| FAVOREVOLI | |
|---|---|
| Totale Delega |
.628.861 1 1-628.861 |
204.371 204.371 |
06.049 ப் 9 6 806.04 o |
700 б 9.700 |
. 649 41 41.649 |
130.968 130.968 |
749-400 749-400 238 320 - |
20.538 E |
416.445 T .416.445 L |
184.445 L 1.184.445 |
35.201 ਟ 235.201 |
188.807 ਟ 188.807 ਟ 2 |
875.177 ਨ .875-177 |
104.422 .422 173-232 104 |
173.232 | 8.096 ਰੇ ਦ 9.412 . O B ਟ |
29.412 30.751 |
30.751 184.671 N 2.184-671 |
207.100 207.100 |
168.00 168.000 |
53-100 ਟ 253.100 |
26.978 978 26. |
5.732 11 |
115.732 93.691 |
93.691 126.393 126.393 |
240.867 867 8 - ਨ ਪ |
247.043 247.043 |
425 - 904 0 4 б 425. |
357.199 357.199 |
833.666 2. .833.666 ਟ |
115.606 1. ୫ ୧ 9 .115. ไ |
15.297.169 169 15.297. |
5 36.28 85 ਟ 36. |
828.596 4 . ਰੇ ਦ S . 828 - P |
12.854.304 04 క్ 54 - . θ ਟ T |
4.101.835 60.473.029 ਤੇ ਦ 60-473-029 0 . 101. ব |
.087 8 48 087 8. 8 4 |
.907 ਾ 907 4. |
52.927 927 2. S |
96.700 6.700 ర |
20.300 300 0. ਟ |
208-747 208.747 |
57.474 7.474 5 |
378.913 378,913 |
140.094 094 140. |
720.740 1.832 32 720.740 8 1. |
84.717 84-717 |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||||||||||||||
| SPDR S&P INTERNATIONAL DIVIDENDETT Ragione Sociale |
COMMON TRUST FUNDS TRUSTINT RESEARCH EQUITY PORTFO ATCN |
FUND COMMON TRUST ITALY INDEX SECURITIESLENDING SSB MSCI |
TRUST FUND LENDING COMMON SECURITIES ENHANCED WORLD STREET STATE |
- ALLIANZ THEMATICA FUND ALLIANZ INTERNATIONAL INVESTMENT FUNDS |
CURACAO PENSIOENFONDS VAN ALGEMEEN |
ALLIANCE BERNSTEIN UK EQUITYFUND ES |
ALL CAP INDEX FUND VANGUARD FTSE GLOBAL VIF ICVC |
INDEX GLOBAL EQUITY FUND FUNDS ICVC-FUNDAMENTAL WIDOWS INV.SOLUTIONS SCOTTISH |
EX UK EQUITY FUND SPW MULTI-MANAGER ICVC - SPW MULTI-MANAGER EUROPEAN |
GROWTH UNIT TRUST MANAGED PLACE JAMES S ટ પે NATWEST |
LIMITED FUNDS PENSION MANAGED |
PENSIOENFONDS PHILIPS STICHTING |
LIMITED AS TRUSTEE OF ST JAMES'S PLACE GLOBAL ABSOLUTE SERVICES AND DEPOSITARY TRUSTEE NATWEST |
FUND CHILD TRUST FAMILY INVESTMENTS |
RETURNS FUND PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED omis |
AFRICA) LTD (SOUTH ASSURANCE COMPANY LIFE MUTUAL OLD |
TJANSTEPENSION AB (PUBL) KPA |
(PUBL) Ав TJANSTEPENSIONSFORSAKRING KPA |
EQ PG FOR DEAMFONDS CABH INVESTMENT DWS |
GMBH FOR DEAM-FONDS MASP DWS INVESTMENT |
415 MIFONDS FOR GMBH MANAGEMENT ASSET Monzinek |
HET FOR ALLIANZGIFONDS GMBH GLOBAL INVESTORS ALLIANZ |
P. COMPOUND GROWTH, L. MELLINGTON |
1 GSK FOR DEAMFONDS GMBH INVESTMENT DWS |
MERCY HEALTH RETIREMENT TRUST | NONLENDING COMMON TRUST FUND INDEX SCREENED EUROPE MSCI ss B |
SCREENED MONLENDING COMMON TRUST FUND EX USA IMI ACHI NSCI SSB |
PORTFOLIO ENDURING ASSETS ATCN DAILY |
II ASSOCHULTIPLE COLLECTIVE INVEST FDSTR CO NATL TR THE WELLINGTON |
TRUST FUND SSB SF GLOBAL INFRASTRUCTURE INDEX NONLENDING COMMON |
COMPANY DEVELOPED MARKETS INDEX TRUST TRUST FIDUCIARY VANGUARD |
FOND ENERGY VANGUARD |
DIVIDEND EQUIT Y ETF INTERNATIONAL ITC ARKWRIGHT, SCHWAB |
ETF EQUITY INTERNATIONAL SCHWAB |
ECND STOCK INDEX TOTAL WORLD VANGUARD |
INDEX FUND MARKETS DEVELOPED VANGUARD |
THE STATE OF ILLINOIS RETIREMENT SYSTEM OF TEACHERS * |
GROWTH PORTFOLIO SRI THE CATHOLIC TRUST- CAPITAL HC |
ARLINGTON TRUST OF INVESTMENT CATHOLIC |
IV UTILITIES PORTFOLIO FUND PRODUCTS INSURANCE VARIABLE |
FUND EQUITY INT TOTAL FIDELITY TRUST INV FIDELITY |
ALLOCATIONCONSERVATIVE FUND ALLOCATIONBALANCED FUND ASSET ASSET DYNAMIC DYNAMIC PUTNAM BUTNAM |
FOR KFPT UNIVERSAL FONDS мвн GESELLSCHAFT INVESTMENT UNIVERSAL |
REAL ASSETS FUND, INC COHEN & STEERS |
ALLOCATIONEQUITY FUND ASSET DYNAMIC PUTNAM |
ALLIANCEBERNSTEIN VARIABLE PRODUCTS SERIES, INC. INTERNATIONAL VALUE PORTFOLIO | VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO AB |
Pagina 61 | દ Teste: 3.393 |
| Badge **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | * * D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | Azionisti: |
295

lion co
Azionisti in delega: 20
Azionisti in proprio:
3.373
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revia dell'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Badge | ||||
|---|---|---|---|---|
| **D | MEAG ATLAS MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR Ragione Sociale |
Proprio | Delega | Totale |
| **D | MEAG MULTI LIFE | 0 | 661.131 1. |
661.131 I |
| **D | FT MASTER ರಿ INVESTORS GMBH FOR ALLIANSGI-FONDS ALLIANZ GLOBAL |
0 | 141 33 - б |
933.141 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 0 | 0 ರಿಗಿ 109. |
900 09. L |
| **D | MIX FUND SPDR MSCI WORLD QUALITY |
G | 204.016 | 04.016 N |
| **D | EQUITY, LLC AL SOLUTIONS GLOB STRATEGIC COMMONEUND |
0 | ਨ 2.74 |
2.742 |
| **D | INC. COHEN & STEERS, |
0 | un 63.14 1 |
163.145 |
| **D | RETIREMENT INTERNATIONALEQUITY PORTFOLIO LAZARD |
0 | 5.040 | 040 5. |
| **D | INCOME FUND SACHS CLEAN ENERGY SACHS TRUST GOLDMAN GOLDMAN |
0 | 72.384 て |
272.384 |
| **D | PCC THORNBURG GLOBAL INVESTMENT |
0 | 63.75 9 |
663.755 |
| **D | FUND INTERNATIONAL EQUITY THORNBURG |
0 | 245.566 | ର ୧୧୧ 245. |
| **D | ONE ETF INFRASTRUCTURE GLOBAL S+P SPDR |
0 | 556.297 8 H |
297 556.: 8 |
| **D | EXUS ETF DEVELOBED MORID SPDR PORTFOLIO |
0 | .383.062 897.691 ഗ |
. 897 . 691 I |
| **D | STRATEGIST PORTFOLIO GLOBAL l INSTITUTIONAL FUND TRUST STANLEY MORGAN |
0 | 383-062 14 |
|
| **D | INC. GLOBAL STRATEGI ST PORTFOLIO INSURANCE F UND, VARIABLE STANLEY MORGAN |
0 | 39.704 0 6. |
39.704 |
| **D | INVESTMENT FUND EUROPE |
0 | 350-627 ਟ ਰੇ |
590 ୧ - |
| **D | EQUITY FUND TIAACREF INTERNATIONAL |
0 | . 850-180 7 |
50.627 E |
| **D | PENSION FUND MASSACHUSETTS LABORERS |
0 | 136-412 | 7-850.180 |
| **D | PORTFOLIO INDEX FUNDS TRUST II METLIFE MSCI EAFE BRIGHTHOUSE |
0 | 500.431 | 136.412 508.431 |
| **D | BLC co ii FRANK RUSSELL INVESTMENT |
0 | 466-078 | 466-078 |
| **D | CTT ASSET REAL DIVERSIFIED PRINCIPAL |
0 | 87 8 818. |
818-887 |
| **D | FUND INFLATIONHEDGES WELLINGTON DIVERSIFED |
74.487 | 74.487 | |
| **D | FOND INTERNATIONAL EQUITY ਨ |
0 | 43.401 | |
| **D | GROUP TRUST COMMINGLED INVESTMENT COMPANY PAPER INTERNATIONAL |
0 | 759 9. 9 |
43.401 |
| **D | PORTFOLIO EQUITY INTERNATIONAL LAZARD |
0 | 910 .716. ਟ |
69.759 |
| **D | INSURANCE SOCIAL FOR AUTHORITY POBLIC |
0 | 402 71 |
2.716.910 |
| **D | LTD ASSURANCE ZURICH |
0 | 1 | 71.402 |
| **D | FUND ES ALLIANCEBERNSTEIN UK ION VOLATILITY GLOBAL EQUITY |
0 | 056 రు 8 . ਰੇ |
7.989.058 |
| **D | FUNDS GLOBAL PINEBRIDGE |
0 | રેટ 8 ﻟﺴ |
7.852 |
| **D | INTERNATIONAL EQUITY INDEX FUND TIAACREF |
933 75. I |
175.933 | |
| **D | EUND LIFE FUNDS INTERNATIONAL EQUITY TIAACREF |
0 | 522 .627. 0 L |
10.627.522 |
| **D | MINNESOTA OF STATE |
0 0 |
ਰੇ ਦ பர ﺎ பர L |
ર વે 5 151. |
| **D | RETIREMENT ASSOCIATION EMPLOYEES . COUNTY ALAMEDA |
532 ਤੇ ਰੇ . વૈ 3 |
-439.532 E |
|
| **D | TRUST FIXED BENEFIT PENSION AMERICAN AIRLINES INC MASTER |
0 | 692 09. 0 E |
.009.692 € |
| **D | (RESTRICTED) LTD SANDOOQ AL WATAN INVESTMENTS |
0 | 4 4 0 919. |
. 440 ਰੇ ਹੋ ਕੇ |
| **D | SÚSTAINABLE FUND BALANCED GLOBAL l FUNDS (UK) STANLEY MORGAN |
0 0 |
162 1. |
162 T |
| **D | FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND | 0 | રુજરી રહ્યું સ્ટેન્ડર્ન સ્વિન્દ | ર્દ વે ર |
| **D | FUND EQUITY LEADERS EUROPEAN OMIS l PORTFOLIO INVESTMENTS ICVC omni 2 |
0 | പ് 95.423 82 111 . 4 L |
825 11. t |
| **D | OF SINGAPORE MAS MONETARY AUTHORITY THE |
0 | 37.000 | .495.423 T |
| **D | CONTROVERSIES CN INDEX EO FND HSBC BANK S\$B AUT EU SCREEN EX |
C | 315-622 S |
37.000 315.622 5 |
| **D | PLACE STRATEGIC MANAGE ST. JAMES`S TRUSTEE OF ਕਟ TIMILED SERVICES DEPOSITARY NATWEST TRUSTEE AND |
0 | 572 00. ਟ |
|
| **D | MACAU ESPECIAL DE NISTRATIVA REGIAO ADMI Do Governo Da SEGURANCA SOCIAL DE FUNDO |
0 | 303 239. |
239.303 200.571 |
| **D | FUND MONETARY INTERNATIONAL |
0 | 267.354 | 67-354 ਟ |
| **D | FUND MONETARY INTERNATIONAL |
0 | B 261.75 |
|
| **D | INSTITUTIONAL GLOBAL TRUSTS MANAGEMENT ASSET nomura THE |
0 | 146.414 | 8 146.414 261.75 |
| **D | PORTFOLIO EUROPE ETF SPDR |
0 | 287.143 | 287.143 |
| **D | STOXX 50 ETF EURO SPDR |
0 | 0 6.186.99 |
6.186.990 |
| **D | I DEAM FONDS DK5 INVESTMENT GMBH FOR ਸੰਤ |
0 | 0 O 0 68 - |
68.000 |
| D D |
FOR DEUTSCHE INITA DWS INVESTMENT GMBH |
0 60-00 |
60.000 | |
| PARIBARA FUND LTD | 0 | б 62 |
ਦੂੜ ਭ | |
| Pagina 62 | ||||
| Azionisti: | ੜੇ I Teste: 3.393 |
|||
| Azionisti in proprio: | 3.373 Azionisti in delega: 20 |
286

3
100
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alla disposizione in evec dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022
| FAVOREVOLI |
|---|
| U.K. EQUITY INDEX FUND Pagina 63 PRINCIPAL EXCHANGE=TRADED FUNDS=PRINCIPAL INTERNATIONAL ADAPTIVE MULTI=FACTOR ETF EX SWITZERLAND) 1 RENDEMENT ABSOLU l FTSE DEVELOPED WOR LD EX EQUITY FUND RP - FONDS INSTITUTIONNEL - ACTIONS MARCHES DEVELOPPES LARGE CAP LARGE-CAP INDEX PORTFOLIO 31 INDEX FUND DE PREVOYANCE PROFESSIONNELLE TECHNOLOGY INFRASTRUCTURE MOTHER FND 15 ETF (UK) - GLOBAL BALANCED INCOME FUND ) STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL DIVIDEND EQUITY MOTHER FUND COMPANY MULTISTRATEGY INCOME FUND COMPANY MULTIFACTOR INTERNATIONAL STRATEGIC INCOME UNIT TRUST ACTIONS ETRANGERES - ACTIONS ETRANGERES EUROPE FRANKLIN TEMPLETON ETE TRUST - FRANKLIN ETSE EUROPE VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY BERNSTEIN EQUITY STRATEGY FUND PLACE GLOBALEQUITY UNIT TRUST PUB EQUITIES DE PLACEMENT UNIGE - ACTIONS ETRANGERES INTERNATIONAL VANTAGE FUND - MANDAT FUNDS ICVC-VANGUARD MANAGEMENT FUNDS PLC DWS ESC MULTI ASSET INCOME KONTROLLIERT AKTIEN GLOBAL -PD INTERNATIONAL RETIREMENT SYSTEM OF GEORGIA EQUITIES l Teste: INTER-ENTREPRISES EUROPE (EX-CH) B-UBS INSTITUTIONNEL INSTITUTIONNEL STRATEGY FUND FINANZIARIA GOLD - FINGOLD SPA CHASE RETIREMENT PLAN FOND VISCONTI DI MODRONE RAIMONDO SHIPPING SEGUROS SA ZERO GLOBAL GLOBAL HIGH 3.393 AEIS INSTITUTIONAL FUND - PLACE INVESTORS GLOBAL ILARDO RÓŠANNA MORGAN STANLEY FUNDS INVESTMENTS RICHARD FUND OF INVESTMENT INVESTMENT JAMES 5<br>JAMESSD`AGNILLO GIULIANA GIANCARLO l FONDS FORDS EMANUEL NET HE EATON VANCE |
Totale Delega Proprio |
ਤੇ ਕ 62.381 0.220-5 T 381 5 ਤੇ ਕੋ 62. 220. - 10 o o |
ਤੋਂ ਤੋਂ ਦੇ 9 प 46.335 0 |
54.747 54.747 75.351 0 0 |
324 75.351 ਤੇ ਹੋ 30.324 0 |
. 608 62 62.608 0 |
670.242 670-242 0 |
511 ਣ ਉ ਕੇ 589.511 0 |
83-622 83.622 0 |
4.086 4.086 0 0 |
92.300 2 292.300 |
317-930 317.930 0 |
27.605 27 605 0 0 |
9.149 9.149 0 |
220.000 22.808 220.000 22-808 0 |
565.657 565.657 G |
143.540 143.540 0 |
272 272 0 |
-233.412 ਟ 2.233.412 |
4 - 119 . 225 4.119.225 -077 క 35 0 |
. 258 353.077 6-254 6.254.258 |
1.000 0 0 00 1. |
300 0 0 30 |
.010 S T 15.000 0 L |
1.000 0 0 .000 S ર ર I |
555 25 0 S ದ |
146.500 0 146.500 |
300.000 300.000 0 |
0 169.436 0 - 436 169 0 0 |
500 ਟ 500 ਟੀ 0 |
700 700 0 |
55.746 ਟ 55.746 ਟ 0 |
63 - 671 63.671 0 0 |
979 ਰੇਤੋ ਹੈ ਗਿ 572. б б S 99.979 572.930 S 0 |
81.227 ﺎ 181.227 C |
76.000 76.000 G |
30.766 30.766 0 |
72.698 8 72.69 0 0 |
754-103 754.103 20.597 0 |
20.597 203.675 5 203.67 0 |
.031.778 ਜ .031.778 T 0 |
14.151.004 2.500 14-151.004 2.500 |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 3.373 | ||||||||||||||||||||||||||||||||||||||||||||
| AMERICAN | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) Ragione Sociale |
GLOBAL INVESTORS FUND | ROYAL LONDON ASSET | DEUTSC | DWS GARANT | SELECT | AMERICAN FUNDS | ALLIAN2 STIFTUNGSFONDS NACHHALTIGKEIT | BUREAU | MTBJ PINEBRIDGE | SUISSE | GLOBAL | ST | કવા | COSIMO | STEFANO | ALESSIO | MASSIMO | ZURICH COMPANHIA | NILSSON URBAN | SYN ACTIONS | SYN ACT EUROPE EX-CH-A-AMUNDI | l | l SYN TARGET |
CAISSE | KAPITALFORENINGEN LD, SMART BETA | PUB INSTITUTIONAL FUND UMBRELLA- | FREDERIC | Azionisti in delega: 20 |
287

Just Juglics
10 maggio 2023 15.37.01
Ogetto: Autorizzazione all'acquisto e alla disposizione di azioni proprio, previa revea dell'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| PENSIONSKASSE DES BUNDES PUBLICA Ragione Sociale |
Proprio | Delega | Totale |
|---|---|---|---|
| EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 228,502 | 228.502 | |
| MASTER RETIREMENT TRUST SYSTEM COMPANY THE SOUTHERN |
2.765.477 | 765.477 2. |
|
| QUANT - MANDAT GLOBAL KAPITALFORENINGEN LD, |
251.746 L |
1.251.746 | |
| AXA AVENIR INFRASTRUCTURE | 260.275 | 260.275 | |
| 01 CARBON OFFSET EUROBLOC EQUITY ACT |
422.409 | 422.409 | |
| INDICE EURO | 8 ਤੋ S 625. |
625.583 | |
| ਜ AA DIVERSIFIE INDICIEL |
502.289 423.167 |
423.167 | |
| FUND LONG-SHORT GREENWICH IVY |
502.289 | ||
| COMPANY LTD - BRANCH ITALIANA INSURANCE |
21.406 69.325 |
21.406 | |
| BTC INSURANCE |
0 | 143.682 | 69.325 |
| VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 0 | 9.274 ਟ |
143.682 |
| BANCO SABADELL | 0 | 168.273 | 29.274 |
| AXA ASSICURAZIONI PIR EQUITY |
0 | 557.000 | 168-273 |
| FUND GLOBAL EQUITY VALUE MONDRIAN |
0 | 690.237 | 557.000 |
| EQUITY FUND VALUE INTERNATIONAL MONDRIAN |
0 | 990-745 € |
690.237 |
| EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST WORLD ALL COUNTRIES MONDRIAN |
0 | .991.923 L |
990.745 .991.923 E L |
| AXA ROSENBERG EUROPEAN EQUITY MOTHER FUND RE: BANK OF JAPAN LTD. MASTER TRUST |
0 | 27.109 | 27.109 |
| TRUST EQUITY COLLECTIVE INVESTMENT INTERNATIONAL MONDRIAN |
0 | 723-020 | 3.020 2 1 |
| FUND INFRASTRUCTURE GLOBAL LISTED MONDRIAN |
0 | 13-620 | 13.620 |
| EUROPA PENSIONSKASSE BPK RUBR E5 AKTIEN BERNISCHE |
0 | 000.000 T |
000 -000. T |
| BERNISCHE LEHRERVERSICHERUNGSKASSE | G | 575 232. |
575 232 |
| FUND SUPERANNOATION GOVERNMENT |
0 | 399.237 | 9.237 ਤੇ ਰੋ |
| SAVINGS PLAN JPMORGAN CHASE 401 (K) |
g | 032.244 2 |
|
| PZENA INTERNATIONAL VALUE FUND | 0 | 159.051 | .032.244 T ਟ |
| EQUITY FUND INC. - WILSHIRE INTERNATIONAL FUNDS, MÜTÜAL WILSHIRE |
0 | 147.172 | 051 147.172 - ு S |
| TRUST INVESTMENT HEALTH COVENANT |
0 | 200.323 | 323 208. |
| SATELITE II EQUITY GLOBAL l ROMA FONDAZIONE |
0 | 272.559 | ਣ ਦੇ ਰੋ 272. |
| LOUIS ST. OF CITY THE OF SYSTEM RETIREMENT SCHOOL |
0 | 279.097 | 279.097 |
| TRUST US RETIREMENT INCOME PLAN ARAMCO MASTER |
0 | 129.178 | 129.178 |
| . , US AIRWAYS, INC. AND AFF AIRLINES, INC TR FOR DEFINED CONTRIBUTN PLNS OF |
0 | 1.379.967 | 67 379.9 t |
| MES TIMITED | 0 | 490.50 T |
રુવ ર .490. L |
| PRUDENTIAL PENSIONS LINITED | 0 | 100.00 | ﺎ |
| GLOBAL X MANAGEMENT (AUS) LIMITED | 0 | 127 - 442 | 005 00. |
| (CPCL) PENSIONS DU PERSONNEL COMMUNAL DE LAUSANNE DE |
G | 127.442 | |
| FUND MFS UTILITIES |
G | 71.804 | 71.804 |
| EQ ADVISORS TRUST - EQ/MFS UTILITIES SERIES PORTFOLIO | 0 | ১ 037.954 041.56 11 |
. 837 . 954 L T |
| FAM FUND INFRASTRUCTURE LISTED SERIES UCITS ICAV - GLOBAL |
0 | 220.532 ತ |
562 220.532 - 4 1 8 |
| - INTERNATIO STRATEGIES IPAC SPECIALIST INVESTMENT |
0 | 299.084 | 99.084 ਟ € |
| MJP INTERNATIONAL FUND LLC | 0 | ర్ . 37 L |
.379 T |
| R-CO WM RDT-DBI | 0 | 23.334 | 23.334 |
| UBS ASSET MANAGEMENT LIFE LTD | 0 | 564.327 ਟ |
.564.327 ਟ |
| INTERNATIONAL EQUITY INDEX FUND HEDGED | 0 | 53.974 | 974 53. |
| FUND INDEX EQUITY AMP INTERNATIONAL |
0 | 781.338 | 81.338 7 |
| MACQUARIE WHOLESALE FUNDS | 0 | 30.134 | 30.134 |
| RAFI DEVELOPED 1000 INDEX FUND UBS FTSE |
0 | 348-182 | 348.182 |
| EQUITY CLIMATE TRANSITION FUND UBS GLOBAL |
0 | 6 97.19 |
97.199 |
| SHIPEF - IN LINITED | 195-000 | 195.000 | |
| LEGACY IN LP | 195.000 | 95.000 t |
|
| NXG GLOBAL CLEAN EQUITY FUND | 6 37.80 |
б 37.80 |
|
| Pagina 64 | |||
| 31 Teste: 3.393 |
|||
| 3.373 Azionisti in delega: 20 |
( ﺎ |
288

relate
istical
10 maggio 2023 15.37.01
Assemblea Ordinaria del 10 maggio 2023
Ogetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione conferita dall'Assemble ordinaria del 19 maggio 2022 FAVOREVOLI
| Delega | Totale 975 29. 0 |
29-975 | 38.477 . 477 38 0 |
7 ਰੇ ర్ ﺪﺍ |
657.333 .333 ર્દિડ |
161.132 161.132 G |
013 5. 0 N 205.013 C |
09.860 1 8 ୧୦ 709 . 0 |
26.967 S ਰ 67 ટેટ ર g |
000 54. 54.800 0 |
445.668 0 |
45 - 668 0 128.556 0 |
રક દ 28 - ਼ 0 |
335.619 335.619 0 |
498 - 717 498.717 0 |
553 929. 929-553 0 |
.620.000 ਟ 620.00 2. |
271.168 8. 271.16 0 |
. 891.680 S 098.1680 S 0 |
-366.629 T б 366-62 L 0 0 |
9.236 B 5 9 389.23 0 |
900 6. 8 P ১ 486.900 32 0 |
53.000 ਟ 0 0 253.0 |
04.466 L S 9 9 104.4 S G |
00.000 ব ਟ 2.400.000 0 |
919.584 28 d 919. g |
26.688 S SAB 6. ટેટ 0 |
902.655 902.655 0 |
б 366.19 366-199 0 |
904.940 9 - . 904 . 940 б 0 |
0 065.63 2. 638 .065. ਟ 0 |
5 951.75 951.755 0 |
183.698 ਰੇ ਉ 9 183. 0 |
11.697.014 014 .697. L l 0 |
3.070.330 3.070.338 0 0 |
99.328 328 99 - 0 |
.783.411 L 515 .783.411 810. T I 0 |
810.515 L 0 01 ୧32 3 C 0 |
33.632.010 148.153 148.153 0 |
60.354 60.354 0 |
150.194 p ਹੈ ਹੋ 58 - L 0 |
.418.892 E ਟ .418.89 ಗ 0 |
.071.495 T 5 . 49 .071 L 0 |
43.726 9 .72 4 ਤੋ 0 |
569.624 I 569.624 1. 0 0 |
21-450 0 - 872 . 45 25 21 0 |
25.872 13-438 13.438 0 |
14.220 .220 ਹੈ ਕੇ 0 |
58.458 8 . 45 58 0 0 |
44.221 .221 ਹੈ ਹੋ |
ﯽ | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio | Pagina 65 31 |
|||||||||||||||||||||||||||||||||||||||||||||||||||
| Ragione Sociale | WILSHIRE SOLUTIONSFORDS TRUST | CONCENTRATED EQUITY FUND CAUSEWAY |
FBO CUST 320043 svcs CLEARING WEA WE |
UNISYS MASTER TRUST | UCITS FUND GLOBAL VALUE CAUSEWAY |
MASTER TRUST AUTOMATION ROCKWELL |
OIL INVESTMENT CORP | LTD DIVERSIFIED |
TRUST FUND TRUST COMPANY INTERNATIONAL EQUITY COMMON |
NATIONAL BANK FINANCIAL INC | FDN KING MELLON RICHARD |
FOUNDATION MELLON KING RICHARD |
INTERNATIONAL FUND R K MELLON |
PLAN WELLS FARGO AND COMPANY CASH BALANCE |
CAUSEWAY INTERNATIONAL OPPORTUNITIES FUND | PENSIONSFORSIKRINGSAKTIESELSKAB PENSIONDANMARK |
ERISA PORTFOLIO 1 NON US EQUITY MANAGERS |
FUND GLOBAL EQUITY VANGUARD |
PUBLIC EMPLOYEES PENSION PLAN | EMPLOYEES PENSION FLAN MUNICIPAL |
INTERNATIONAL VALUE FUND CAUSEWAY |
GLOBAL VALUE FUND CAUSEWAY |
FOND OVERSEAS |
FINANCIAL DESIGNATED ACTIVITY CO AXA MPS |
SYSTEM OSF HEALTHCARE |
OF THE THIRD ORDER ST FRANCIS EMPLOYEE PENSION PLAN SISTERS |
EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE POLICE FIRE AND |
SYSTEM SUPPLEMENTAL RETIREMENT TÜÇSON |
INTERNATIONAL VALUE EQUITY CIT CAUSEWAY |
COMPANIES LEGACY PLAN FOR PENSION OF AMERICA THE BANK |
INC 401 K SAVINGS PLAN GROUP FARMERS |
STOCK FUND WHEATON |
THE STATE OF NORTH CAROLINA EQUITY INVESTMENT OF TREASURER |
I DARO RETIREMENT SYSTEM OF BUBLIC EMBLOYEE |
IN AMERICA CHURCH LUTHERAN EVANGELICAL BOARD OF PENSIONS OF THE |
TRUS SERIES CHERRY TREE FUND A |
FOND INTERNATIONAL EQUITY |
EOND EQUITY BRIDGE BUILDER INT |
ETF INSPIRE INTERNATIONAL |
PLAT ICAV-GR INV EQ IV TRUST FUND LIGHTS OLAIF NORTHERN DMS |
CH (EX EUROPE EQUILIES l INSTITUTIONAL FUND (LUX) വുട |
PASSIVE II PASSIVE CH) (EX EUROPE EQUITIES l FUND INSTITUTIONAL (LUX) 085 |
EQUITY (USD) PTF SYSTEMATIC ALLOCAT l KEY SELECTION SICAV (LUX) san |
ਟੈਸ਼ FUND MANAGEMENT (LUXEMBOURC) abs |
FONDS 40 (EUR) BANK (LUX) MIGROS |
SAP DYNAMIC (USD) STRATEGY SICAV OBS (LOX) |
30 FONDS BANK (LUX) MIGROS |
DEFENSIVE (USD) 6 E ALLOCATION l SICAV-SYSTEMATIC STRATÉGY (LUX) uas |
MEDIUM (USD) PF SICAV-SYSTEMATIC - ALLOCATION EQUITY SICAV GLOBAL DEFENSIVE (USD) STRATEGY (LUX) (LUX) UBS ubs |
Teste: 3.393 |
3.373 Azionisti in delega: 20 Azionisti in proprio: |
|
| Badge | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | D D |
**D | Azionisti: |
299

P
Just
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alla disposizione dell'autorizazione eonferita dall'Assemblea ordinaria del 19 maggio 2022
FAVOREVOLI
| Totale 23.009 8 45 080 486.213 453.613 -088 289.090 ਰੇ 28 58.981 824.514 3.268.372 85 738.171 306.780 ટ વૈ B ਟ 21. 20. 867. 607. ર્ણ વ ਹੈ ਕੇ ਕ 2. 5. ತ 18 1 L S .486.213 Delega 0 0 453.613 L ਰੇ ਪ 88 024.514 3.738.171 .306.780 928 67.885 3.268.372 607.254 8 0 8 21.84 58.9 23.0 2.289.0 20.0 0 64 . . 144 8 t S B ﺎ |
632 572 ਰੇ ਤੋ 967 05.939 69.180 100 85.313 334.128 31-154 48.343 38.432 229.544 ,620 277.730 497.417 4.242.831 1.453.062 ਰੇ ਰੋ ਕੇ 26.592 16.602.922 141-458 513.413 947.196 98.182 005 283.680 579.305 339-498 15.710 870.272 541.372 923.280 383.572 217-334 T 109. 63. 676. 35. 43. 105. 508 L ไ 5 V 3 б P - € て ਟ വ T N 193 2 676.967 135.632 б 163.108 485.313 48 - 343 338.432 508 - 620 081"696 ਦੇ ਪੈ ਪੈ 334.128 730 497-417 26.592 154 831 9 S S .602.922 141.458 ୧2 8 6 0 0 870.272 -372 .200 572 . 334 505.93 109.57 39.49 .513.41 ਹ ਕੇ 30 18 43.99 105.00 283.68 15.71 453.0 277. 242. 31. 47. ਰੇ 8 - 3-229. 579. 383. . 923 541 217 б ਕਾ E 9 ರ್ ਟ ਟ H t ਟ ਟ L |
|
|---|---|---|
| Proprio 0 0 0 0 0 0 0 0 0 |
0 0 0 0 0 g 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 |
|
| FAZY GLOBAL ASSET ALLOCATION - DEVELOPED MARKETS EQUITIES FOND GAVIA FUND-AKTIEN WELT PRO MONDRIAN FUNDS PUBLIC LIMITED COMPANY MONDRIAN FUNDS OF OF BEHALF BEHALF ON AG ON AG. AG FONDS INTERSTOCK (SWITZERLAND) (SWITZERLAND) (SWITZERLAND) VALUE FUNDS PLC C/O SANNE MLC LIMITED 50 FONDS |
PUBLIC LIMITED COMPANY GANNETT RETIREMENT PLAN MASTER TRUST TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL ONAL SE COLLECTIVE FORDS TRUS 0 PZENA INTERNATIONAL EX-US FOCUSED VALUE FUND DST A SERIES FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS MULTI-FUND LLC-INTERNATIONAL VALUE INSTITUTI THE PENSION PROTECTION FUND RENAISSANCE GLOBAL ALL COUNTRIES WORLD EQUITY FUND IP. ASSOCIATION PLANS MASTER TRUST LP TRUST FOCUSED FUND L.P. FUND INVESTMENT TRUST COMPANY EMPLOYEE BENEFIT MASTER SYSTEM RETIREMENT MASTER TRUST EQUITY ESG FUND L. P WORLD EX-US EQUITY SUPERANNUATION BOARD. OF WESTERN AUSTRALIA MASTER RETIREMENT TRUST L.P. SUB-ADVISED EMPLOYEES. RELIREMENT TRUST ENFLOYEES RELIBEMENT ESG FUND LE EQUITY FUND FUND GLOBAL EQUITY FUND L.P FOCUSED VALUE FUND CORPORATION RETIREMENT RETIREMENT PLAN MASTER EQUITY RETI REMENT INVESTMENT TRUST. PENSION SCHEME. OF TEXAS. COMPANY PLC TRUST BENSION FUND INTERNATIONAL INTERNATIONAL EQUITY COUNTRIES CO |
Pagina 66 3,373 31 Azionisti in delega: Teste: 20 3.393 |
| CPPIB GLOBAL OPPORTUNITIES LP PENSIONSKASSE BASEL-STADT SUPERANNUATION FUND COMPASS OFFSHORE HTV PCC FUND MANAGEMENT UBS FUND MANAGEMENT FUND MANAGEMENT PENSIONSKASSE POST MIGROS BANK (LUX) (TUX) MLC INVESTMENTS, COMPASS HTV LLC. Ragione Sociale SICAV STRATEGY SICAV BANK UBS (LUX) MIGROS PŽENA MITAA nes UBS |
PZENA GLOBAL VALUE FUND 2 DST NATIONAL RAILROAD RETIREMENT INTERNATIONAL TRIUM UCITS PLATFORM COMMISSION EMPLOYEES MASTER NORTHERN TRUST İLLINOIS MÜNICIPAL BAPTIST FOUNDATION PZENA VALUE TRUST EMERSON ELECTRIC INC. MATEO COUNTY GLOBAL PUBLIC PZENA GLOBAL THE MOTOROLA ALL OF INC. EAST SUSSEX CATERPILLAR HALLI BURTON CATERPILLAR LP GOVERNMENT INSURANCE BOARD CAUSEWAY MONDRIAN MONDRIAN ОКАНОМА MONDRIAN MONDRIAN MONDRIAN MONDRIAN MONDRIAN DANAHER GANNETT FUND MASTER PETZER THE SAN THE માટે |
|
| Badge D D D D D D D D D D D D D D D D |
D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D * * D D **D |
Azionisti in proprior Azionisti; |

(છ)
Jerone
from the mail of the mail of the first of the first of the first the first the first the first the first the first the first the first the first the first the first the first
ప్రైవ
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione eonferita dall'Assemblea ordinaria del 19 maggio 2022
FAVOREVOLI
| Totale | 527.628 026 9 8 ਟ |
3.160 प |
893 ഗ |
510 3 E |
6.353 | 97.851 | 500 | 186.139 ഗ |
9 ਰੇ 7 341 |
52.811 E |
1.514 | 9.284 ರ್ |
174.417 | 38-750 | 21-154 | 34.300 | 18.000 | 498.476 | 967 7. |
985 .422.717 .119. ਟ T |
6.909.048 | 680 .921. 20 |
621 36. ಒ |
525 383. |
067 5. |
828 50. |
366.601 | .295.711 T |
ਣ ਰੋ ਦ 57. |
-255.611 ব |
98.432 ਹ 75 ಲ್ಲ 8 ਹਾ 8 |
.160.318 ਨ |
.778.012 L |
.515 6 |
45.639 | 17.160 | 0.380.873 52.070 |
106.776 | .921 ণ |
.636.040 S |
. 962 ਕ ਤੋ |
0 ਰੋ E 361 |
829 57 ਟ 126. 5.631. |
6 | |||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 27.628 S ਟ |
86.026 | 0 1 ୧ ਹੈ ਤੇ |
ప్ర ਉ ਕੇ ഗ |
36.510 | 6 - 3 2 3 | ไ 97.85 |
500 | б 66.13 ไ 5. |
9 - 97 341 |
T .81. 352 |
ો | ાં | ਦੀ ਕ T |
284 б b |
174.417 | 8.750 E |
21.154 | 34,300 000 |
98.476 18. P |
7-967 | 422.717 ਟ |
9 ರಿಕಿ 119. T |
0 09.04 б 9 |
0 21.68 б 0 ਟ |
236-621 | ಗಾ 383.52 |
5.067 | 8 50.82 |
366.601 | 295.711 1. |
5 4.255.611 57.59 |
. 432 898 |
S 8.461.75 |
318 . 160 ਟ |
12 D 1-778 |
. 515 б |
5.639 ਬਾ |
160 17. 8 |
873 070 2. .300. S |
106.776 | 921 4 . |
0 4 0 636. S |
ട് 2 б 4 3 . |
309 361. |
829 5.631.257 26. 1 |
|||
| Proprio | 0 | 0 | 0 | G | 0 | O | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | G | 9 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | |||||||||||||||||||||
| Pagina 67 | |||||||||||||||||||||||||||||||||||||||||||||||||
| L'UNIVE MAISON OMER-GINGRAS | PORTFOLIO | INT FUND | 3.373 31 |
||||||||||||||||||||||||||||||||||||||||||||||
| MANAGEMENT LLC EUROPE EX-UK FOCUSED VALUE UNIVERSITY INC |
ETF | VIE | SA INTERNATIONAL INDEX PORTFOLIO | TEMPLETON FOREIGN VALUE PORTFOLIO | TRUST GROUP |
SYSTEM | (ENGLISH) | FUND | PUTNAM ASSET ALLOCATION DIVERSIFIED GROW | DIVERSIFIED BALANCED | FUND | INTERNATIONAL EQUITY PORTE | GLOBAL MULTI ASSET PORT | GLOBAL ALLOCATION PORT | ESTABL INVEST FUNDS EMPLOYEE BEN TR | ||||||||||||||||||||||||||||||||||
| TEACHERS` RETIREMENT SYSTEM OF OKLAHOMA | VALUE QUEST PARTNERS LLC - EUROPEAN FOCUSED VALUE | MANAGEMENT LLC OF |
HEBREW THE |
INC. | EUROPAC FUND HEXAVEST INC | DESJARDINS GLOBAL ASSET MANAGEMENT INC. | DE PLACEMENT DES REGIMES DE RETRAITE DE | PENSION PLAN CIVIC ENFIOLEES. |
EQUITY FUND INFRASTRUCTURE |
FUND. | Fi | GLOBAL ALL COUNTRIES WORLD EQUITY FUND | SECURITE FINANCIERE COMPAGNIE D'ASSURANCE | TRUST - | SA TRUST |
FUND LP | COMMON CONTRACTUAL FUND | INTERNATIONAL OPPORTUNITIES | CONSOLIDATED RETIREMENT | ESG UCITS ETF 500 - S&P |
DESJARDINS EQUITY BEACON INTERNATIONAL |
SA | ਹ PM SA |
SELECT VALUE |
MULTI-MANAGED SA |
BLACKROCK VCP SA TRUST |
SCHRODERS VCP SA TRUST- |
Azionisti in delega: Teste: 20 3 ਤੋਂ ਤੇ ਰੋਤੇ |
|||||||||||||||||||||
| Ragione Sociale | UBS COMMON CONTRACTUAL FUND. | PZENA INVESTMENT | FRIENDS AMERICAN |
PZENA INVESTMENT | VALUEQUEST PARTNERS LLC -GLOBAL | TD AMERITRADE CLEARING | ZURICH LIFE ASSURANCE PLC | LATVIJAS BANKA | CORPORATIONS LIMITED UNITED |
HEXAVEST | FUND HEXAVEST ACWI |
FONDS COMMUN | THE WINNIPEG | LETKO BROSSEAU | ENDEAVOUR II THE |
UBS (LUX) INSTITUTIONAL SICAV | UNIVÉRSAL EUROAGENTES |
STD QE/IT MKT AIF |
UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL | PEOPLE`S BANK OF CHINA | CANADA PENSION PLAN вмо |
LUX FUND SOLUTIONS બ્રદર્ભ 0135 |
(LUX) INVESTMENT FUNDS 1 MONDRIAN |
FONDS AXA WORLD |
FUNDS INVESTMENT MFS |
DESJARDINS | SERIES SUNAMERICA |
SERIES SUNAMERICA |
EQUITY CIS GLOBAL |
MERCER QIF | CAUSEWAY | TENNESSEE | ETF PLC UBS (IRL) AMERICAN |
REGINE DE RENTES DU MOUVEMENT | SERIES TRUST SEASONS |
SUNAMERICA SERIES TRUST | JNL/CAUSEWAY INTERNATIONAL | SEASONS SERIES TRUST | SERIES SUNAMERICA |
LVIP MONDRIAN INTERNATIONAL VALUE FUND SERIES SUNAMERICA |
SANJAY GHEMAWAT LIVING TRUST | WELLS FARGO BK DECL OF TRUST | EMPOWER ANNUITY INSURANCE COMPANY | FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS | |||||
| Badge **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | * D | **D | Azionisti in proprio: Azionisti: |


10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revea dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022
| FAVOREVOLI |
|---|
| (CH) STRATEGY FUND - GLOBAL EQUITY CHF Pagina 68 ALTERNATIVE ਤੇ I INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST SACHS TRUST II MULTIMANAGER INTERNATIONAL EQUITY FUND INFRASTRUCTURE FUND SEVENTH DAY ADVENTISTS TRUST FUND II - GOLDMAN SACHS MULTI-MANAGER FOR DEFINED BENEFIT PLANS THE STATE OF ILLINOIS FIXED BENEFIL PENSION BEHALF OF AXA F EUROPEAN INDEX TRACKER MES VARIABLE INSURANCE TRUST MFS UTILITIES SERIES REASEG PENSION THEMES FUND SASKATCHEWAN MEALTHCARE EMPLOYEES. PENSION PLAN TRUST PASTORAL INVESTMENT TRUST REASEGUROS UNIT GLOBAL LISTED A DELLE FINANZE IRIS CERAMICA GROUP SOCIETA` PER AZIONI SPA EQUITY INVESTMENTS D GLOBALVALUE SCHWEIZAG ON S.P.A. GLOBAL LIMITED PENSION SCHEME FINANZIARIA CERAMICA CASTELLARANO S SOCIETA CATTOLICA DI ASSICURAZIONE GRANITIFIANDRE SOCIETA. PER AZIONI OF > TRUST TRUST Teste: SEGUROS Y GLOBAL DIVIDEND FUND DE SEGUROS OF CORPORATION ASSICURATRICE LINEAR L ÉQUITE ASSURANCES ET DE REA. S.P.A. (1) = M+G MASTER SAVINGS SYSTEM EMPLOYMENT SAVINGS MG S.R.L TRUST ભદિ ASSICURAZIONI SPA 3 ਤੋਰੇਤ MINISTERO DELL'ECONOMIA E S.P.A. PLACE FUND (10) AXA INVESTMENT MANAGERS (1) ASSICURAZIONI S.P.A INC DE ESSECIEFFE INVESTMENT DELLA VEDOVA GABRIELE RETIREMENT INTERNATIONAL GROUP FUNDS S.A. FUNDS GRUPPO S.P.A. SACHS TRUST EMPLOYMENT REAL ASSET FUNDS SPA JAMES . S INTERNATIONAL SA ARCA ASSICURAZIONI CONFERENCE DI STEFANO STEFANO AIRLINES INVESTMENT GENERTELLIFE SPA GENOVESE STEFANO RODINO DEMETRIO S.P.A. S.P.A. ES PANA ITALIA Ragione Sociale ESPANA ETF ICAV FRANCESCO CLAUDIO MAURO INVESTMENT CAPITAL MG INVESTMENT MG INVESTMENT LSAM SF 3 PLC GF A CARAIBES CHEMICAL DESJARDINS ടന TEACHERS . VITA COMPAGNIA UNIPOLSAI UNISALUTE NATIONAL TABELLINI HARTFORD NATIONAL AMERICAN ALLEANZA GENERALI GENERALI GENERALI NATWEST GENERAL GOLDMAN GOLDMAN VIGNOLI OBLATE UNIPOL IN HARBOR UNI POL DRIGO PACE ARCA AXA M+G SON |
Totale Delega Proprio |
.117.520 L 117.520 - T 0 |
681 78 B ਜ S 878.681 737.38 ไ 0 0 |
201.791 .737.38 281.791 0 |
183.563 ব 63 u 183 - 0 0 |
50.862 62 50.8 0 |
961.567 7. I 17.961-567 0 |
761 24 761 24. 0 |
.707.356 ಷ 707-356 E 0 |
633.240 ਰ - .633-240 D 0 |
820.66 1. 660 . 820. t 0 |
217.831 217.031 0 |
594.137 1. 594.137 T |
984.834 8 ਤੇ ਕ 4 . .775. ਕੇ ਉ 0 0 |
775.205 1. . 640 205 ഗാ . 29 T T 0 |
1.295.640 53.05 ਦੇ 8 D 3. S 0 |
506.665 P . 506-665 ਬ 0 |
4.531.636 636 .531. b 0 |
. 838 112 838 112. 0 |
23.508 508 23. 0 0 |
726-752 726.752 0 |
12.974 12.974 0 |
5-227.000 000 .227. ഹ 0 |
196.151 151 ਰ ਦ - ไ 0 |
933 933 G |
275 83 ਦ T 275 o E . B I 0 |
.252.265 T 52.26 ਟ ਟ ﺎ 0 0 |
752 858 23. 57. 57 752 3.858 0 |
014.000 0 14.00 B 0 |
000 00. 3 0 00.00 5 |
2.700 0 0 2.70 |
000 260 - 260.000 0 |
53.000 53.000 0 |
281.000 281.000 0 |
00.000 9 00.000 5 0 |
390-000 ﺎ 1.390.000 0 |
4.760.380 275.000 0 0 0 760.38 . O 275 4 - 0 0 |
2.237.161 0 |
237.161 1.125.711 N 1.125.711 0 |
167.161 3. .161 163 3. 0 |
6.523.920 0 6.523-92 0 |
97.856. . 3 ਘ 0 |
.397-856.331 ਟ 0 331 |
|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|

RONE
10 maggio 2023 15.37.01
LISTA ESITO DELLE VOTAZIONE
Ogetto: Autorizzazione all'acquisto e alla disposizione in evica dell'autorizzazione enferita dall'Assemblea arcinaria del 19 maggio 2022 FAVOREVOLI
| Badge | Ragione Sociale | |||
|---|---|---|---|---|
| 7437 | LO GIUDICE ENRICO | Proprio | Delega | Totale |
| DE* | COVALIS CAPITAL ENHANCED MASTER FUND LTD | |||
| DE* | COVALIS CAPITAL MASTER FUND LTD | 21.290.623 | 21.290.623 | |
| DE* | COVALIS CAPITAL STRATEGIC OPPORTUNITIES MASTER FUND | 29.206.109 | 29.206.109 | |
| DE* | COVALIS CAPITAL TACTICAL OPPORTUNITIES MASTER FUND L | 6.094.950 | 6.094.950 | |
| 7613 | AROSSA FABRIZIO | 20-324 314 | 20.324.314 | |
| DE* | COVALIS CAPITIAL TACTICAL OPPORTUNITIES MASTER FUND Y | |||
| 7683 | TIBERTI SERGIO | 654.362 | .362 ਦੇ ਦੇ ਪੈ |
|
| RL* | 1 S.M.A. SERVIZI MEDICI AZIENDALISISTEMI SANITARI S.R. |
|||
| C | 1.260 | |||
| Totale voti | 6.480.857.220 | |||
| Percentuale votanti % | 98.498192 | |||
| Percentuale Capitale % | 63.746053 |

Pagina 69
్రంప

g
| Oggetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 CONTRARI |
||||
|---|---|---|---|---|
| Badge 6127 |
Ragione Sociale BUDA RENATO |
Proprio | Delega | Totale |
| RA | 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART |
3.000 | 0 0 |
3.000 |
| 6282 D** |
PELLEGRINO GIACOMO | 0 | 4 ਤੋ 1.7 |
3 .74 ો |
| 6421 | TREVISAN DARIO MAURO STEFANO |
200 | 0 | 200 |
| * * D | GLOBALE AKTILEN INVESTMENT GMBH DEKA |
0 | ||
| **D | 그 HELABA INV KAPITALANI GES MBH HI KAPPA |
324.047 205.600 |
324.047 | |
| D D |
SE DEKA VALUE EXTRA GMBH GMBH INVESTMENT INVESTMENT DEKA DEKA |
255.072 | 205.600 255.072 |
|
| **D | A FU 1 FONDS AKTIEN RE NECKAR-FUNDMASTE GMBH INVESTMENT DEKA |
80.000 | 80.000 | |
| **D | 2 KVR FONDS AKTIEN GMBH INVESTMENT DEKA |
712.059 | 712.059 | |
| **D | 23 GES MBH HI SZVA HELABA INV KAPITALANL |
815 113.202 223 - |
223.815 113.202 |
|
| D D |
FONDS A SFUE AKT FU 2 A GMBH GMBH INVESTMENT INVESTMENT DEKA DEKA |
ਦੇ ਖੇ ਕੇ 131. |
131.549 | |
| **D | DIVIDEND EX EMER AKTIEN KHN GMBH INVESTMENT DEKA |
800 103. |
103.800 | |
| **D | BVP FONDS ਵਿੱਚ ਸ INVESTMENT DEKA |
0 | 170 40. |
40.170 |
| D D |
HELABA INV KAPITALANL GES MBH HI KAP | 0 | 387 23.000 12. |
23.000 12.387 |
| **D | RE KSKBB-FUNDMASTER SHC AKTIEN GMBH GMBH INVESTMENT INVÉSTMENT DEKA DEKA |
0 | 70-000 | 70.000 |
| **D | RE A-SM2-FONDS GMBH INVESTMENT DEKA |
0 | 16.000 | 16.000 |
| **D | BV PAR FONDS смен INVESTMENT DEKA |
0 0 |
54.200 | 54.200 |
| **D | 17 GĒS MBH HI SZVA HELABA INV KAPITALANL |
38.870 152.800 |
870 38 - |
|
| **D | 2 GES MBH HI KAPPA HELABA INV KAPITALANL |
0 | 116.500 | 0 116-500 80 152. |
| D D |
1 003 KSKBB FM INVESTMENT GMBH DEKA DEKA |
0 | 167.00 | 167.000 |
| **D | CE (A) INTERNATIONAL S.A. W/DEKA-NACHHALTIGKEIT AKTIEN I M/A-HECKER-FONDS GMBH INVESTMENT DEKA |
0 | 000-009 | 600 - 000 |
| **D | U01 AKTIEN W/DONAU-MULTI-ASSET-FUNDMASTER GMBH INVESTMENT DEKA |
0 | 215-000 | 215.000 |
| **D | W/DEKA-PRIVATVORSORGE AS GMBH INVESTMENT DEKA |
319.344 236.000 |
319.344 | |
| **D | W/CUYO COBA GMBH INVESTMENT DEKA |
14.218 | 0 14.218 236.00 |
|
| D D |
W/NEO-FONDS AKTIEN GMBH INVESTMENT DEKA DEKA |
207.622 | 207.622 | |
| **D | GMBH W/DEKA-SO1-FONDS W/SO1-BANTLEON-LCR W/A-ALPSPITZ 2-FONDS GMBH INVESTMENT INVESTMENT DEKA |
200 90. |
90.500 | |
| **D | VERMOEGENSMANAGEMENT GMBH W/KEPPLER-GLOBAL VALUE-INVEST DEKA |
11.740 | 11.740 | |
| **D | W/A-FELD-AKTIEN-FONDS GMBH INVESTMENT DEKA |
50.350 | 50.350 | |
| **D | W/DEKA-EUROPA AKTIEN STRATEGIE GMBH INVESTMENT DEKA |
68.050 | 68.050 | |
| **D | INTERNATIONAL S.A. W/DEKA-NACHHALTIGKEIT AKTIEN EUROPA DEKA |
130.000 2.256.400 |
130.000 2.256.400 |
|
| D D |
NIEDERLASSUNG LUXEMBURG W/IFM-INVEST AKTIEN EUROPA GMBH, VERNOEGENSMANAGEMENT VERMOEGENSMANAGEMENT DEKA DEKA |
310.000 | 310.000 | |
| **D | IVV CHANCE H/KSK NIEDERLASSUNG LUXEMBURG NIEDERLASSUNG LUXEMBURG GMBH, GMBH, VERMOEGENSMANAGEMENT DEKA |
53.600 ਟ |
253.600 | |
| **D | W/SPK MUENSTERLAND OST AKTIEN PLUS GMBH M/ES-DIVIDENDENSTRATEGIE VERMOEGENSMANAGEMENT DEKA |
500 7 94 |
794.500 | |
| **D | GMBH, NIEDERLASSUNG LUXEMBURG M/INVEST EVOLUTION VERMOEGENSMANAGEMENT DEKA |
eaa 375. |
375.689 | |
| **D | INVESIMENT GMBH M/SVN II-FONDS DEKA |
48.000 874 10. |
48.000 0-874 L |
|
| D D |
INTERNATIONAL S.A. W/DEKA-EUROPAVALUE DEKA |
20.000 | 000 8. ਟ |
|
| **D | ETF FIN DI.+UC KOMMUNAL W/DEKA-NACHHALTIGKEIT W/DEKA-EURO-IST. EX GMBH GMBH INVESTMENT INVESTMENT DEKA DEKA |
0 | 168.714 | 168-714 |
| **D | W/DEKA-NACHHALTIGKEIT DIVIDENDENSTRATEGIE GMBH INVESTMENT DEKA |
0 | 745 417. |
.417.745 |
| **D | W/FULDA-FONDS GMBH INVESTMENT DEKA |
0 | .500.000 ರಿ ೧ ୧. T |
900 .500.000 T |
| **D | INVESTMENT GMBH W/DEKA STOXX EUROPE 50 UCITS ETF DEKA |
86.370 | 370 6. 6 - 8 |
|
| D D |
VERMOEGENSMANAGEMENT GMBH, NIEDERLASSUNG LUXEMBURG W/IFM-INVEST VERMOEGENSMANAG.AKTIEN INVESTMENT GMBH W/BEROLINA RENT DEKA W/U2 DEKA DEKA |
1.000.00 | .000.000 L |
|
| Pagina 70 | 4.12 | 4.120 | ||
| Azıonıstı: | ﺴﺎ Teste: 134 |
|||
| Azionisti in proprio: | 131 Azionisti in delega: చి |
ತಿರು
EMARKET
SDIR certified
g
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e alle disposizione di azioni proprie, previa revoca dell'astorizzazione eonferita del 19 maggio 2022
| CONTRARI |
|---|
| Totale | 125.537 | 171.932 920.000 |
110.000 | 157.300 | E 18.000 9.45 |
00 76.01 |
6.348 ਟ |
0.500 3 |
500.000 ব |
257.408 | 640.000 | 000 ର ଚିହି 31. 263 ﺎ |
500 9 - b |
. 000 10 |
8.032 ਪੈ |
850 170. |
000 000 270. 0 S |
141.218 | 4.000 | 6.000 | 46.000 | 20.000 | 13.370 92.000 |
867 42 . |
51.171 | 25.200 | 8 12.69 |
256-848 43.673 |
24.050 | 1.725 | 00 89.01 |
978 265. .500. 8 T |
00 000 S 0 - .041 T |
ਹ ਦਰ 0 ਟ |
ਦ ਤੇ ਰ . 054 . ਟ |
9.050 E |
650 000 44 . 1. క |
582 84 . |
000 .000. б |
6-096 ਟ |
б 0 69.40 16.85 |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 125.537 932 171. |
920.000 | 0.000 L T |
00 E 1 S T |
53 00 . 4 0 б 8 L |
6.000 1 |
348 6. ਟ |
00 10 o. క |
000 0 - 0 S ব |
7.408 40.000 5 ਟ 9 |
0 00 63. ਟ |
556 31. T |
0 50 49 - |
10.000 | 48.032 | 0 0 70.85 50.00 I |
270.000 | 141.218 | 4 - 000 | 0 6.00 |
0 20.000 0 6.0 b |
13.370 | -000 ঠ ర |
2.867 D |
1.171 S |
200 ട - N |
56.848 12-698 ट |
43.673 | 24.050 | 1.725 | 9-000 0 |
ਰੇ 7 8 500.000 265. 8 l |
500 040. t |
. 169 20. |
б ਦੇ ਤੋ 54 . 0 N |
39.05 | 44 - 650 31.000 |
582 84 . |
000.000 ਰੇ |
26.096 | C 69.40 5 16.8 |
|||
| Proprio | 0 0 |
0 | 0 | 0 0 |
0 | 0 | 0 | 0 | D | 0 0 |
G | 0 | 0 | 0 | 0 0 |
G | 0 | 0 | 0 | 0 | 0 0 |
G | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | ||||||||||||
| Pagina 71 | ||||||||||||||||||||||||||||||||||||||||||||
| ﺎ | 131 | |||||||||||||||||||||||||||||||||||||||||||
| NACHHALTIGKEIT GLOBALE AKTIEN OFFENSIV | W/CAMPUS | ട് | FLEXIBEL | DYNAMISCH | 2 W/SEGMENT |
2-FONDS W/U05 | ETF | BLE | ||||||||||||||||||||||||||||||||||||
| W/DEKA-BR 35 | W/DEKA-BAV-FONDS | W/BF MASTERFONDS 03 W/DEKA-MEGATRENDS |
W/PALATIA FONDS W/U3 DEKA AKTIEN | U2 W/ARGO NAVIS |
M/HEIDELBERG | W/A-AMISIA-FONDS BREMEN l H/DEKA |
। W/MAGUST-FONDS |
W/ARIDEKA | MSCI WORLD UCITS ETF W/DEKA |
W/DEKA-DIVIDENDENSTRATEGIE-EUROPA | W/AKTIEN W/MASTER 172 |
W/BIA-STRATEGIEFONDS NR. | W/NUILL-FONDS W/U01 AKTIEN FONDS W/S BROKER 1 |
M / HD-PHITOSOBHENMEG | W/A-DOR-FONDS W/U23 | W/DEKA-BASISSTRATEGIE | W/DEKA-NACHHALTIGKEIT | W/DEKA STARKENBURG U04 AKTIEN BANTLEON W/KAL-FONDS |
W/A-WOLFACH-FONDS | W/A-KSK FULDA-FONDS | N / EKO-FONDS | W/MULDENTAL-FONDS | W/OBERES-SCHLOSS-U2 | M/INTER-ESSEN-FONDS 75 W/DEKA-BR |
W/A-DIM-WETZLAR-BALANCED-FONDS | W/A-NORDHAUSEN | EUROPE UCITS MSCI W/DEKA |
W/DFM ALPHA W/U02 BANTLEON | W/KOMMUNAL-TUT-BALANCED-FONDS 20 W/DEKA-BR |
W/MV-FONDS | 85 W/DEKA-BR |
W/DEKA-DIVIDENDENSTRATEGIE | 100 W/DEKA-BR |
W/DEKA EURO STOXX 50 UCITS ETF 55 W/DEKA-BR |
W/A-BAD HERSFELD-FONDS W/U01 | W/MAULBRONN-STROMBERG-FONDS | W/A-ASD-FONDS | W/DEKAFONDS-RA-HH W/DWS AKTIEN | W/A-DIM-WETZLAR-FONDS W/DEKA-UMWELTINVEST |
W/A-VSA-FONDS W/BALANCE | M/DEKA MSCI EUROPE IC UCITS | Teste: । ਤੇਖੋ ಕ |
Azionisti in delega: | |
| GMBH Ragione Sociale INVESTMENT |
GMBH INVESTMENT |
લખતે તેમ CABH INVESTMENT INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH CMBH INVESTMENT INVESTHENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
લ્હાદમ INVESTMENT |
CABH INVESTMENT |
GMBH GMBH INVESTMENT INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT INVESTMENT |
GMBH GMBH INVESTMENT |
GNBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH GMBH INVESTMENT INVESTMENT |
CABH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH GMBH INVESTMENT INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
CMBH GMBH INVESTMENT INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
GMAH CABH INVESTMENT INVESTMENT |
CMBH INVESTMENT |
GMBH INVESTMENT |
GMBH INVESTMENT |
|||
| DEKA Badge **D |
DE KA D D |
DEKA DEKA **D |
DEKA **D |
DEKA **D |
DEKA DEKA D D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA DEKA D D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA DEKA D D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA D D |
DEKA DEKA **D |
DEKA **D |
DE KA **D |
DEKA **D |
DEKA D D |
DEKA DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA DEKA D D |
DEKA **D |
DEKA **D |
DEKA **D |
DEKA D D |
DEKA DEKA **D |
DEKA **D |
DEKA **D |
DEKA **D |
Azionisti in proprio: Azionisti: |
||
EMARKET
SDIR certified
તેમ
)
3
10 maggio 2023 15.37.0]
Totale 18.000 50.000 103.273 70.365 612.041
Delega 18.000 2.157.824 70.365
50.000 103.273 2.157.824
1.040.823
70.942 9.467 10.874 99-574 2.779.934 371.871
9-467
10.874
371.871
612-041 70-942 1.040.823 99.574 2.779.934 202-217 1.750.000 230.126 43.776 10.750.000
202.217 1-750.000 230.126 43.776 10.750.000 45.870 243.452 198.000 75.000
131.121
45.870 243.452 131.121 198.000 75.000 64.332 13.317 2.034.743 0 958.409 47 - 226 139.188
2.834.743 0 958.409 47.226 139.188 586.913
64.332 13.317 250
0 250 0
4.645
4.645
137.619 196.574
76.151 120.498
586.913 120.498 137.619 196.574
0
SIEMENS DIVERSIFIED GROWTH
HC RENTE
**D **D **D **D **D
**D
SIEMENS EUROINVEST AKTIEN CAMBRIA GLOBAL VALUE ETF FONDAZIONE FINANZA ETICA
SIEMENS BALANCED MEGGIOLARO MAURO 79.391.224 I ,206614 0-780896
Percentuale Capitale % Percentuale votanti %
Totale voti 7660 7248 **D
PINTORE SEBASTIANO
DE*
SIEMENS ABSOLUTE RETURN
SIEMENS EMU EQUITIES
76.151
00000
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 2022 CONTRARI
| CULTIAN | ||
|---|---|---|
| Badge | Ragione Sociale | |
| **D | DEKA VERMOEGENSMANAGEMENT GMBH W/PRIVATE BANKING STRUKTUR | Proprio |
| **D | WERTPAPIERE W/U01 FONDS GMBH W/A-LANDGRAF PHILIPP DEKA INVESTMENT |
0 |
| **D | INVESTMENT COMMISSION VERMONT PENSION |
|
| **D | DĖKA VALUE PLUS | |
| **D | RAGS-FUNDMASTER | |
| **D | HI BAMI DIVIDENDE FLUS FORDS | |
| **D | MASTERFONDS BANTHUS | |
| *** | VENTURINI FRANCESCO | |
| **D | SYSTEM BOBTIC ENDLOXEES RELIKEMENT CITY OF PHILADELPHIA |
|
| **D | EMPLOYERS TRI-STA PARTICIPATING FOOD INDUSTRY UNION AND UFCW |
|
| **D | PENSION FUND ENDLOYEES 1199 HOME CARE |
|
| **D | FUND PENSION EMPLOYEES 1199SEIU HEALTH CARE |
|
| **D | YORK PENSION FUND 1199 SEIU GREATER NEW |
|
| **D | EUND LONGVIEW INTERNATIONAL VALUE EQUITY COLLECTIVE FUND COLLECTIVE LONGVIEW INTERNATIONAL VALUE EQUITY |
|
| **D | FÜND PENSION MEST YORKSHIRE |
|
| **D | FUND MERSEYSIDE PENSION |
|
| **D | CNP RETRAITE | |
| **D | 270. POSTE AVENIR | |
| **D | EURO APICIL ACTIONS |
|
| **D | API RETRAITE DIVERSIFIE | |
| **D | FRUCTI CHOIX SOLIDAIRE | |
| **D | AMPLEGEST LONG/SHORT | |
| **D | ADARA | |
| **D | ECOFI OPTIM VARIANCE | |
| **D | FLEXIBLE EPARGNE ETHIQUE |
|
| **D | COUNTY OF LOS ANGELES DEFERRED COMPENSATION AND THRIFT PLAN | |
| 6853 | ROSICA MASSIMO | |
| **D | SIENENS-FONDS SIENENS-REALE | |
| ルキカ |

EMARKET
SDIR certified
ನಿ
1 1
g
12

:
చైంద్
10 maggio 2023 15.37.01
Ragione Sociale
Badge
Oggetto: Autorizzazione all'acquisto e alla disposizione dell'autorizzazione conferita dall'Assemble ordinaria del 19 maggio 2022
ASTENUTI
| 6101 | FEDERICO FABIO | Proprío | Delega | Totale | |
|---|---|---|---|---|---|
| el 2. | MONTI PASQUALE | 290 | 290 | ||
| RA | 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART |
. 000 ഗ |
000 5 |
||
| D** | LEMMI GUALTIERO | ||||
| 6210 | CATONI GIANCARLO | 5 | 500 | ||
| e 42 | TREVISAN DARIO | 400 | |||
| **D | STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | ||||
| * * D | POOL STICHTING DEPOSITIARY ANG DEVELOPED EQUITIES SI INDEX |
1.307.908 | 1.307.908 | ||
| **D | STICHTING PENSIOENFONDS ABP | 691 4 3 4 |
.691 ਕ ਤੇ ਪੋ |
||
| **D | CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 15.663.985 | 15-663.985 | ||
| 6853 | ROSICA MASSIMO | 2.000.000 | 2.000.000 | ||
| **D | HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | ||||
| 6933 | MAZZOTTI BARBARA MARIA ANITA | 0 વે છ 2 |
56 ব 2 |
||
| 6 8 S |
ਰ ਰੇ 5 |
||||
| Totale voti | 19 422 819 | ||||
| Percentuale votanti % | 0-295194 | ||||
| Percentuale Capitale % | 0,191044 |



1- 10
Pagina 73
30F
10 maggio 2023 15.37.01
Oggetto: Autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione enditrito del 19 maggio 2022
| 111 | TITE, FERTANTO ESCEUSI DAL QUORUM DELIBERATIVO | ||||
|---|---|---|---|---|---|
| Badge | Ragione Sociale | ||||
| 6421 | TREVISAN DARIO | Proprio 0 |
Delega | Totale | |
| D D |
SICAV MEDIOBANCA |
0 | 334.000 | 334.000 | |
| **D | FONDO PENSIONE NALIONALE PER IL PERSONALE DELLE BANCHE DI CREDITO COOPERATIVO CASE RURALI ED ARTIGIANE EUROPEAN EQUITY - MEDIOBANCA ESG કુલર MEDIOBANČA |
0 | ដា 8.33 |
335 8 |
|
| **D | CAP EQUITY LARGE EUROPEAN EPSILON l ડલા EPSILON |
0 | 50.300 বা |
0.300 S ਬ |
|
| **D | INDEX QVALUE EPSILON l SGR EPSILON |
0 | 27.145 | 27.145 | |
| **D | QRETURN EPSILON - SGR EPSILON |
0 | 11.421 | .421 11 |
|
| **D | DLONGRUN EPSILON l SGR EPSILON |
0 | 69.838 | 69-838 | |
| **D | QEQUITY EPSILON l ទទ័ព ESSILON |
0 | 1.999 | б ਰੇ ਰੋ L |
|
| **D | EURISONCAPITALSER-EURISONGLOBALDIVIDENDESCEOTUCTIOS 02 | 9 | 10.058 | 10.058 | |
| **D | EURIZON STEP 70 PIR ITALIA GIUGNO 2027 EURIZONCAPITALSGR- |
0 | 809 576. |
576.809 | |
| **D | EURIZONCAPITALSGR-EURIZONGLOBALDIVIDENDESG50-OTTOBRE2025 | 0 | 70.000 | 0 70.00 |
|
| **D | FLEXIBLE TRILOGY દ્રાને EURIZON l ର୍ତ୍ତନ CAPITAL EURIZON |
0 | 607.311 | 607.311 | |
| **D | 0 MULTIASSET GLOBAL પ્રતિ EURIZON l SGR CAPITAL EÜRİ ZON |
0 | 30.719 | 30.719 | |
| **D | I m H MULTIASSET GLOBAL જ્ઞાન EURI ZON l SGR CAPITAL EURIZON |
0 | 13.722 | 13.722 | |
| **D | OBIETTIVO CONTROLLO ਸ਼ਮ EURIZON કલમ CAPITAL EURIZON |
0 | 7-941 | .941 L |
|
| **D | STABILITA OBIETTIVO ક્ષેત્ર EURIZON l SGR CAPITAL EURIZON |
0 | 12.001 | -001 12 |
|
| **D | EURICONCAPITALSGR-EURIZONTHEMATICOPPORTUNITIESESG5007/2026 | 0 | 3.803 | -803 ಕ |
|
| **D | 27 EURIZONCAPITALSGR-EURIZONSTEP500BIETTIVONÉTZER012/20 |
0 0 |
222 ব - ഹ |
54.222 | |
| **D | MEGATREND EURIZON AM TR l ട്ടിട EURIZON CAPITAL |
0 | 13.934 | . 934 13 |
|
| **D | II MEGATREND AM TR EURIZON l SGR CAPITAL EURIZON |
0 | 957 202. |
202.957 | |
| **D | EURIZONCAPITALSGR-EURIZONTOPSELECTIONEQUILIBRIOMAGGIO2025 | 0 | 33.043 | 33-043 | |
| **D | DIVIDEND EURIZON GLOBAL l ട്ടട EURIZON CAPITAL |
0 | 298 | 298 | |
| **D | 025 EURIZONCAPITALSGR-EURIZONGLOBALDIVIDENDESG50-MAGGIO2 |
0 | 63.651 | 63.651 | |
| **D | ITALIA AZIONI PIR EURIZON l ട്ടേറ്റ CAPITAL EURI ZON |
95.604 | . 604 વેટ |
||
| **D | EUROPA AZIONI EURIZON l SGR CAPITAL EURIZON |
0 0 |
446-690 | 446.690 | |
| **D | ITALIA AZIONI EURIZON ട്ടടു CAPITAL EURIZON |
0 | 798.216 | 798-216 | |
| **D | INTERNAZIONALI AZIONI EURIZON ട്ടേജ CAPITAL EURIZON |
0 | 571-433 8 |
571-433 B |
|
| **D | RENDITA EURI ZON l SGR CAPITAL EÜRIZON |
0 | 617.103 | 617.103 | |
| **D | INTERNAZIONALE ETICO -EURIZON AZIONARIO SGR CAPITAL EURIZON |
0 | 25.924 | 25.924 | |
| **D | EURO AREA AZIONI EURI ZON l ട്ടിപ്പ CAPITAL EURIZON |
0 | 425.000 | 425.000 | |
| **D | PMI ITALIA AZIONI EURIZON - SGR CAPITAL EURIZON |
0 | 778.640 | 778.640 | |
| **D | EURIZONCAPITALSGR-EURIZONTOPSELECTIONCRESCITADICEMBRE2023 | 0 | 260.000 | 260.000 | |
| **D | -EURICONTOPSELECTIONEQUILIBRIOMAR202024 EURIZONCAPITALSGR |
400 | 408 | ||
| **D | EURIZONCAPITALSGR-EURIZONTOPSELECTIONCRESCITAMARZO2024 | و 11 | 911 | ||
| **D | -EURISONMULTIASSET TRENDDICEMBRE2022 EURIZONCAPITAL SGR |
931 | 831 | ||
| D D |
-EURIZONTOPSELECTIONEQUILIBRIOWAGGIO2024 EURIZONCAPITALSGR |
782 1.261 |
1.261 | ||
| **D | -EURILONTOPSELECTIONEQUILIBRIOGIUGNO2024 EURIZONCAPITALSGR |
.289 L |
782 | ||
| **D | EURIZONCAPITALSGR-EURIZONTOPSELECTIONEQUILIBRI009/2024 | 1.543 | - 289 543 T T |
||
| **D | 024 -EURIZONIOPSELECTIONEQUILIBRIO12/2 EURI ZONCAPITALSGR EURIZONCAPITALSGR |
1.133 | 1.133 | ||
| **D | S EURIZONTOPSELECTIONEQUILIBRIOMAR20202 70 ITALIA EURIZON PROGETTO । ട്ടട CAPITAL EURIZON |
. 540 1 |
1.540 | ||
| **D | ਹੈ ਹੈ ITALIA PROGETTO EURIZON l કલર CAPITAL EÜRIZON |
.498-949 ਟ |
.498.949 ਟ |
||
| **D | 2028 -EURIZONSTEPSODBIETTIVONETZERO03/ EURIZONCAPITALSGR |
144.685 ਟ |
.144.685 ਟ |
||
| **D | TOP EUROPEAN RESEARCH - FUND EURIZON |
24.426 | 24 426 | ||
| **D | CONTRIE RISK ENHANCED CONSTANT - FUND EPSILON |
.222.022 S |
.222.022 S |
||
| **D | ITALIAN EQUITY OPPORTUNITIES l FUND EURIZON |
32.631 | 32.631 | ||
| **D | EUROPEAN Q-EQUITY l FUND EPSILON |
350.00 വ |
000 350. ਟ |
||
| **D | Q-FLEXIBLE - FUND EPSILON |
416.733 | 416-733 | ||
| **D | EQUITY EUROPE LTE l FUND EURIZON |
110.205 630.254 1. |
205 .110. । |
||
| Pagina 74 | 254 630 - |
||||
| Azionisti: | Teste: 77 |
t | |||
| Azionisti in proprio: | Azionisti in delega: ਟ |
75 |

g
10 maggio 2023 15.37.01
Oggetto: Antorizzazione all'acquisto e alla disposizone onerira revoca dell'autorizzazione one in dell'assenzione e properta dell'Assemble a promo NON VOTANTI E, PERTANTO ESCLUSI DAL QUORUM DELIBERASTIVO.
| ) ARAL A J. Y |
||||
|---|---|---|---|---|
| Badge | Sociale Ragione |
|||
| **D | EURO LTE EQUITY l FUND EURIZON |
Proprio | Delega | Total |
| **D | ITALY SMART VOLATILITY EQUITY - FUND EURIZON |
341.155 | 341.15 | |
| **D | ALLOCATION ACTIVE l FUND EURIZON |
80 17 729 - |
0 729.5 |
|
| **D | STRATEGIA MEGATREND - NEXT EURIZON |
1.800.000 | .00 воо 1. |
|
| **D | ESG LTE EUROPE EQUITY I FUND EURIZON |
3 б S 967 . |
967.59 | |
| **D | LTE ESG LEADERS WORLD EX-EUROPE EQUITY t FUND EURIZON |
8 ਾ 9 417. |
417.64 | |
| **D | PEOPLE EQUITY l EUF |
94.160 | 94.16 | |
| **D | AZIONARIA DINAMICA STRATEGIA l ENEXT |
2.047.227 | 2-047.22 | |
| **D | =MONTECUCC.DIVERSIFIEDMULTI=ASSETFUND=SLEEVEIMAMUNDI ISESIF |
43.793 | 43.79 | |
| **D | DIVIDEND EQUITY HIGH l EUF |
31.730 | 31.73 | |
| **D | ITALIAN EQUITY l SICAV АМ EURIZON |
C | ਧੇ 438.62 |
438.62 |
| **D | BURO LOW CARBON l SICAV AM EURIZON |
0 00.00 1.4 |
1.400-00 | |
| **D | CONTROLLO OBIETTIVO 1 SICAV AM EURIZON |
6 ਣ ਰੋ 85 . 2 |
ਦੇ ਕੇ 285. |
|
| **D | EQUILIBRIO OBIETTIVO l SICA AM EURIZON |
S ਕੇ ਰੋ 55. |
ర్ б 55. |
|
| **D | STABILITA OBIETTIVO t SICAV AM EURIZON |
0 | p .15 111 |
111.15 |
| **D | SVILUPPO OBIETTIVO l SICAV ਸ਼ਮ EURIZON |
0 | ਟ 6.65 |
6.652 |
| **D | EQUITY EUROPEAN l SICAV AM EURIZON |
0 | B 57 8 |
8-576 |
| **D | ALLOCATION DYNAMIC GLOBAL l SICAV AM EURIZON |
0 | പ . 42 24 |
24-42 |
| **D | EQUITY GLOBAL l SICAV AM EURIZON |
0 | L 201.50 |
201.501 |
| **D | । ਦ MULTIASSET GLOBAL l SICAV AM EURIZON |
0 | L 40.80 |
40.001 |
| **D | 30 MULTIASSET GLOBAL - SICAV કોને EURIZON |
S 43.28 |
43.28 | |
| **D | CAV-EUROPEEQUITY NSURANCECAPITALLIGHT EURIZONINVESTMENTSI |
48.562 | 48.562 | |
| **D | RISK OVERLAY MULTIASSET l SICAV INVESTMENT EURIZON |
73.172 | 73.172 | |
| **D | OVERLAY MODERATO RISK MULTIASS l SICAV INVESTMENT EURIZON |
67.997 | 67.89 | |
| **D | 2 DONATELLO EIS - |
7.174 | 7.174 | |
| **D | AZIMUT IM SLEEVE l ম DIVERSIFIED ALLOCATION FUND l ISFSIF |
0 0 35.0 |
35.000 ﻟ |
|
| 6457 | GABRIELI ALESSIO | 17.165 | C 9 17.1 |
|
| 6334 | FORLANI MATTEO | 0 ਪ |
0 | p ਧ |
| 1.992 | 0 | ਰੇ 2 б T |
||
| Totale voti | 38.402.326 | |||
| Percentuale votanti % | 0,583651 | |||
| Percentuale Canitale % | 3 3777777 |
Sof

Pagina 75
ಳ ಸ
1000000
EMARKET
SDIR certified
| Assemblea Ordinaria del 10 maggio 2023 | 10 maggio 2023 15.37.01 | |||
|---|---|---|---|---|
| LISTA ESITO DELLE VOTAZIONE | Ogetto: Autorizzazione all'acquisto e alla disposiz, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 19 maggio 202 VOTI NON COMPUTATI (Non Votati) |
|||
| COLACCHIA ELISABETTA Ragione Sociale Badge RA D** |
COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO | Proprio Droprio D | Delega 0 |
Totale 0 |
| 0,000163 0,000105 10.700 Percentuale Capitale % Percentuale votanti % Totale voti |
10.700 | 10.700 | ||
| I B K 1 Azionisti in proprio: Azionisti: |
Pagina 76 Azionisti in delega: Teste: |
EMARKET
SDIR
CRIFFE
)(છ)
g
Azionisti in delega:
-
| EMARKET SDIR |
|
|---|---|
| CERTIFIED | |
| ATLANTE - CERASI | |
| AUTENTICA NOTARILE DI DICHIARAZIONE RESA AI SENSI DELL'ART. | STUDIO NOTARILE ASSOCIATO |
| 46 DEL D.P.R. 445 DEL 28 DICEMBRE 2000 - ESENTE DA BOLLO AI | |
| SENSI DELL'ART. 14 DELLA TABELLA ALLEGATA AL D.P.R. 642 DEL | |
| 26 OTTOBRE 1972 | |
| Roma, dieci maggio duemilaventitre · | |
| (10/5/2023) | |
| Certifico io Dr. Nicola ATLANTE, Notaio in Roma iscritto al | |
| Collegio Notarile di Roma che, dichiaratosi consapevole delle | |
| sanzioni penali conseguenti a dichiarazioni mendaci, il | |
| firmatario infraindicato - della cui identità personale io | |
| Notaio sono certo - ha sottoscritto in mia presenza la | |
| documentazione che precede: | |
| - Veronica Ciciriello nata a Roma il 26 giugno 1970, | |
| domiciliata per la carica in Milano, Via Lorenzo Mascheroni | |
| n. 19, presso Computershare S.p.A., nell'interesse di detta | |
| persona giuridica. | |
| DI GIVE | |
| ਂ | |
| ANOB | |
| 221 | P.le di Porta Pia, 121 00198 Roma |
Building tools?
Free accounts include 100 API calls/year for testing.
Have a question? We'll get back to you promptly.