Declaration of Voting Results & Voting Rights Announcements • May 19, 2022
Declaration of Voting Results & Voting Rights Announcements
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| Dichiarante | Azionista diretto | Quota % su capitale ordinario |
|---|---|---|
| Remo Ruffini | Double R S.r.l. | 19,882% |
| Rivetex S.r.l. | Rivetex S.r.I. | 2,806% |
| Morgan Investment Stanley Management Co. |
Morgan Stanley Investment Management Co. | 11,455% |
| Capital Research and Management Company |
Capital Research and Management Company | 4,977% |
| BlackRock Inc. | BlackRock (Singapore) Limited | 4.197% |
| BlackRock Advisors (UK) Limited | ||
| BlackRock Advisors, LLC | ||
| BlackRock Asset Management Canada Limited | ||
| BlackRock Asset Management Deutschland AG | ||
| BlackRock Asset Management North Asia Limited |
||
| BlackRock Financial Management, Inc. | ||
| BlackRock Fund Advisors | ||
| BlackRock Institutional Trust Company, National Association |
||
| BlackRock International Limited | ||
| BlackRock Investment Management (Australia) l imited |
||
| BlackRock Investment Management (UK) Limited |
||
| BlackRock Investment Management, LLC | ||
| BlackRock Japan Co., Ltd. | ||
| APERIO GROUP LLC |










Bilancio d'Esercizio al 31 dicembre 2021 e proposta di destinazione del risultato di esercizio: Approvazione del Bilancio d'Esercizio al 31 dicembre 2021, corredato della Relazione del Consiglio di Amministrazione sulla gestione, della Relazione del Collegio Sindacale e della Relazione della Società di Revisione. Presentazione del Bilancio Consolidato al 31 dicembre 2021. Presentazione della Dichiarazione Consolidata di carattere non finanziario redatta ai sensi del D. Lgs. n. 254/2016. Deliberazioni inerenti e conseguenti;
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 204.774.220 | 99,51505% | 74,82173% |
| Contrario | 24.267 | 0,01179% | 0,00887% |
| Astenuto | 667.582 | 0,32443% | 0,24393% |
| Non Votante | 306.035 | 0,14873% | 0,11182% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | F | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | F | |
| 1895 FONDS FGR | 16.454 | 0,008% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | F | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | F | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | F | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | 606 | 0,000% | F | |
| LOCATION PORTFOLIO | ||||
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABB PENSION FUND | 500 | 0,000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | 16.513 | 0,008% | F | |
| EQUITY ENHANCED INDEX FUND ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN |
||||
| EQUITY TRACKER FUND | 13.079 | 0,006% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | ||||
| ENHANCED INDEX FUND | 2.032 | 0,001% | F | |
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | F | |
| ABN AMRO FUNDS | 30.141 | 0,015% | F | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | F | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | F | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET | 5.355 | 0,003% | F | |
| ALLOCATION PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | ||||
| PORTFOLIO | 3.330 | 0,002% | F | |
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | F | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | F | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | F | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | F | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
852 | 0,000% | F | |
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | F | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | F | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | F | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | F | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | F | |
| Aktien Europa - UI | 6.384 | 0,003% | F |
Bilancio d'Esercizio al 31 dicembre 2021 e proposta di destinazione del risultato di esercizio: Approvazione del Bilancio d'Esercizio al 31 dicembre 2021, corredato della Relazione del Consiglio di Amministrazione sulla gestione, della Relazione del Collegio Sindacale e della Relazione della Società di Revisione. Presentazione del Bilancio Consolidato al 31 dicembre 2021. Presentazione della Dichiarazione Consolidata di carattere non finanziario redatta ai sensi del D. Lgs. n. 254/2016. Deliberazioni inerenti e conseguenti;

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani


| AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND | 5.248 | 0,003% | F |
|---|---|---|---|
| AMP INTERNATIONAL EQUITY INDEX FUND | 17.825 | 0,009% | F |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | F |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | F |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | F |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | F |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,018% | F |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | F |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | F |

| 71 | |||
|---|---|---|---|
| AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC | 0,000% | F | |
| AQUARIUS INTERNATIONAL FUND | 774 | 0,000% | F |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | F |
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,060% | F |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,010% | F |
| ARGENTA DP | 43.850 | 0,021% | F |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | F |
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ARIZONA STATE RETIREMENT SYSTEM | 55.292 | 0,027% | F | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | F | |
| ARPEGE ACTIONS | 1.500 | 0,001% | F | |
| ARRCO LONG TERME F | 47.791 | 0,023% | F | |
| ARRCO QUANT 1 | 10.271 | 0,005% | F | |
| ARRCO QUANT 2 | 17.676 | 0,009% | F | |
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,025% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,033% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,014% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 59.945 | 0,029% | F | |
| ARROWSTREET US GROUP TRUST | 9.825 | 0,005% | F | |
| ARTEMIS EUROPEAN OPPORTUNITIES FUND | 46.019 | 0,022% | F | |
| ARTISAN INTERNATIONAL SMALL-MID FUND | 436.900 | 0,212% | F | |
| ARTISAN INTERNATIONAL SMALL-MID TRUST | 8.557 | 0,004% | F | |
| ARUSHA BOURKE SEPARATE PROPERTY TRUST UAD 11/16/09 | 97 | 0,000% | F | |
| ARVEST FOUNDATION | 8 | 0,000% | F | |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA | ||||
| PENSIOENSPAARFONDS | 150.000 | 0,073% | F | |
| AS INTL EQUI - AEF II NON FLIP | 11.806 | 0,006% | F | |
| ASCENSION ALPHA FUND LLC | 624 | 0,000% | F | |
| ASR LEVENSVERZEKERING N.V. | 48.293 | 0,023% | F | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,003% | F | |
| ASSOCIATED BRITISH FOODS PENSION SCHEME | 208.770 | 0,101% | F | |
| ASSURDIX | 21.462 | 0,010% | F | |
| AST QMA INTERNATIONAL CORE EQUITY PORTFOLIO | 912 | 0,000% | F | |
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,006% | F | |
| ATCP-UI-FONDS | 1.905 | 0,001% | F | |
| ATOUT EUROLAND CORE + | 11.106 | 0,005% | F | |
| ATRIUM HEALTH FOUNDATION | 485 | 0,000% | F | |
| AUDIENS A3 | 2.250 | 0,001% | F | |
| AURION GLOBAL EQUITY FUND | 645 | 0,000% | F | |
| AUSTRALIA POST SUPERANNUATION SCHEME | 795 | 0,000% | F | |
| AUSTRALIAN CAPITAL TERRITORY | 6.435 | 0,003% | F | |
| Australian Catholic Superannuation and Retirement Fund | 1.933 | 0,001% | F | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,057% | F | |
| AUSTRALIANSUPER | 89.403 | 0,043% | F | |
| Aviva Investors Funds ACS - AI Europe Equity Ex UK Fund | 693.293 | 0,337% | F | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | 3.020 | 0,001% | F | |
| INTERNATIONAL INDEX TRACKING FUND | ||||
| Aviva Investors Passive Funds ACS - AI 30:70 Global Equity (Currency Hedged) Index Fund |
4.609 | 0,002% | F | |
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index | 30.843 | 0,015% | F | |
| Fund Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index |
||||
| Fund | 8.078 | 0,004% | F | |
| Aviva Investors Passive Funds ACS - AI Continental European Equity Index Fund |
44.931 | 0,022% | F | |
| Aviva Investors Passive Funds ACS - AI Developed European ex UK Equity Index Fund |
58.891 | 0,029% | F | |
| Aviva Investors Passive Funds ACS - AI Developed World ex UK | 10.931 | 0,005% | F | |
| Equity Index Fund AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND I | 55 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND II |
323 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND III |
617 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 461 | 0,000% | F | |
| ASSET CORE FUND IV AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
167 | 0,000% | F | |
| ASSET CORE FUND V AVIVA LIFE & PENSIONS IRELAND DAC |
6.814 | 0,003% | F | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | F | |
| AWARE SUPER | 37.693 | 0,018% | F |


| BLACKROCK - IG INTERNATIONALEQUITY POOL | 500 | 0,000% | F |
|---|---|---|---|
| BLACKROCK ADVANTAGE GLOBAL FUN | 282 | 0,000% | F |
| BLACKROCK ADVANTAGE INTERNATIONAL FUND | 6.583 | 0,003% | F |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 229.060 | 0,111% | F |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 4.800 | 0,002% | F |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 93.391 | 0,045% | F |
| BLACKROCK CDN WORLD INDEX FUND | 10.012 | 0,005% | F |
| BLACKROCK EUROFUND | 27.878 | 0,014% | F |
| BLACKROCK FUND MANAGERS LTD | 11.179 | 0,005% | F |


| PORTFOLIO | 982 | 0,000% | F |
|---|---|---|---|
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET PORTFOLIO |
4.233 | 0,002% | F |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | F |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | F |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR FIDELITY FUNDS - ITALY |
231.446 | 0,112% | F |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | F |


| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH | |||
|---|---|---|---|
| VARIABLY HEDG INDEX ETF | 1.075 | 0,001% | F |
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | F |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | F |
| CIBC INTERNATIONAL INDEX FUND | 12.163 | 0,006% | F |
| CIBC POOLED INTERNATIONAL EQUITY INDEX FUND | 330 | 0,000% | F |
| CINDY SPRINGS LLC | 14.524 | 0,007% | F |
| CIPAV DIVERSIFIE - POCHE ACTIO | 21.685 | 0,011% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CIT_WLDEXUS130 - NON FLIP | 5.291 | 0,003% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) EUROP | 201.667 | 0,098% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) INTER | 13.123 | 0,006% | F | |
| CITITRUST LIMITED | 4.805 | 0,002% | F | |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS | 1.702 | 0,001% | F | |
| BLACKROCK WORLD EQUITY INDEX FUND CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN |
16.338 | 0,008% | F | |
| CITY OF MILWAUKEE EMPLOYEES RETIREMENT SYSTEM | 11.678 | 0,006% | F | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 12.387 | 0,006% | F | |
| CITY UNIVERSITY OF NEW YORK | 281 | 0,000% | F | |
| Civil Service Employees Pension Fund | 2.500 | 0,001% | F | |
| CLASS N AHL ALPHA 2.5XL EUR TRADING LIMITED. | 9.323 | 0,005% | F | |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,004% | F | |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,009% | F | |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | F | |
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,175% | F | |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | F | |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,029% | F | |
| CM-CIC SICAV | 318.134 | 0,155% | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 1.023 | 0,000% | F | |
| CNP ASSUR SMID CAP EUROPE | 10.779 | 0,005% | F | |
| COGEFI ELIXIR ISR | 2.330 | 0,001% | F | |
| COLLEGE RETIREMENT EQUITIES FUND | 1.845.499 | 0,897% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,003% | F | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,005% | F | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE | ||||
| OPPORTUNITIES COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER |
378.857 | 0,184% | F | |
| COMPANIES | 652.667 | 0,317% | F | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP | 95.326 | 0,046% | F | |
| MORGAN CHASE BANK, N.A. | ||||
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 3.826 | 0,002% | F | |
| COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC | 12.722 | 0,006% | F | |
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,002% | F | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES |
2.930 | 0,001% | F | |
| RETIR | 22.588 | 0,011% | F | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,001% | F | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA |
41.653 | 0,020% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | F | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,019% | F | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,048% | F | |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 7.304 | 0,004% | F | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | F | |
| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,012% | F | |
| CORNELL UNIVERSITY | 819 | 0,000% | F | |
| CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND | 7.380 | 0,004% | F | |
| CORONATION GLOBAL OPPORTUNITIES FUND | 10.962 | 0,005% | F | |
| COSMIC INVESTMENT FUND | 48.529 | 0,024% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | F | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES | 2.313 | 0,001% | F | |
| CORPORATE SERVICES LTD CPR ACTIONS EURO RESTRUCTURATIONS |
54.824 | 0,027% | F | |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | F | |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | F |



| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
|---|---|---|---|---|
| DPAM B | 241.864 | 0,118% | F | |
| DPAM DBI RDT | 11.907 | 0,006% | F | |
| DPAM L | 4.150 | 0,002% | F | |
| DT EQUITY | 7.407 | 0,004% | F | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | F | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | F | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | F | |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| DUPONT PENSION TRUST | 42.808 | 0,021% | F | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN | ||||
| EQUITY FUND) | 2.079 | 0,001% | F | |
| DWS GLOBAL SMALL CAP FUND | 26.722 | 0,013% | F | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | F | |
| DWS INVEST | 900 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | F | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | F | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | F | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | F | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | F | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,019% | F | |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | F | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | F | |
| DYNASTY INVEST LTD | 361 | 0,000% | F | |
| EAST RIDING PENSION FUND | 117.283 | 0,057% | F | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | F | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | F | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | F | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | F | |
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP | ||||
| COMMON TR | 3.515 | 0,002% | F | |
| EBK-AKTIEN-UNIVERSAL-FONDS | 18.173 | 0,009% | F | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | F | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | F | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | F | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | F | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | F | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,009% | F | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | F | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | F | |
| EMBO-FONDS | 5.813 | 0,003% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | F | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | F | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | F | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | F | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | F | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | F | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | F | |
| EPS | 2.669 | 0,001% | F | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 | 946 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 | 1.236 | 0,001% | F | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
4.988 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH | 1.187 | 0,001% | F | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO |
2.265 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | ||||
| PORTFOLIO | 5.002 | 0,002% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY | 6.291 | 0,003% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED | 9.008 | 0,004% | F | |
| VOLATILITY PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY |
||||
| PORTFOLIO | 24.816 | 0,012% | F | |
| EQUIPSUPER | 16.691 | 0,008% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 1.952 | 0,001% | F | |
| ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER | 544.610 | 0,265% | F | |
| FUND | ||||
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | F | |
| ETOILE CONSOMMATION EUROPE ETOILE ROTATION SECTORIELLE |
38.579 1.232 |
0,019% 0,001% |
F F |
|
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,005% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,084% | F | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,006% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,033% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,040% | F | |
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) |
7.817 10.629 |
0,004% 0,005% |
F F |
|
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | F | |
| EUROPEAN CENTRAL BANK | 22.272 | 0,011% | F | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | ||||
| MASTER TRUST | 45.984 | 0,022% | F | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,068% | F | |
| EXELON FITZPATRICK QUALIFIED FUND | 872 | 0,000% | F | |
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | F | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | F | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL | 154.615 | 0,075% | F | |
| LP FAM SER CH LSTYLE FAM FD |
48.261 | 0,023% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 5.627 | 0,003% | F | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | ||||
| INTERNATIONALFUND | 3.442 | 0,002% | F | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | F | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | F | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | F | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | F | |
| FCP BOURBON 7 | 20.180 | 0,010% | F | |
| FCP CARPIMKO EUROPE | 11.386 | 0,006% | F | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | F | |
| FCP ECHIQUIER LUXURY FCP IRCOM RETRAITE DIVERSIFIE 2 |
15.462 10.098 |
0,008% 0,005% |
F F |
|
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,003% | F | |
| FCP SODIUM I | 17.051 | 0,008% | F | |
| FDC A2 TITRES | 5.962 | 0,003% | F | |
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,002% | F | |
| FDF2 ALL IN ONE | 800 | 0,000% | F | |
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | F | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | F | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | F | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | F | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED POOL |
58.400 | 0,028% | F | |
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 342.300 | 0,166% | F | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX | 495.003 | 0,241% | F | |
| FUND FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL |
||||
| INDEX FUND | 3.716 | 0,002% | F | |
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND | 58.667 | 0,029% | F | |
| FIDELITY FOUNDERS INVESTMENT TRUST | 33.300 | 0,016% | F | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | F | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,033% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,022% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,012% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,040% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,007% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,008% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 0,826% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F | |
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,231% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,006% | F | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 198.038 | 0,096% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,033% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,035% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX | ||||
| FUND | 59.913 | 0,029% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX | 24.219 | 0,012% | F | |
| FUND | ||||
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 419.702 | 0,204% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | F | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | F | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF | 12.966 | 0,006% | F | |
| BALTIMORE | ||||
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | F | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,001% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | F | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | F | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,001% | F | |
| FJARDE AP-FONDEN. FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX |
27.645 | 0,013% | F | |
| FUND | 1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | ||||
| INDEX FUND | 3.696 | 0,002% | F | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 1.300 | 0,001% | F | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | F | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | F | |
| FLOURISH INVESTMENT CORPORATION | 366.913 | 0,178% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,000% | F | |
| FONDITALIA | 201.000 | 0,098% | F | |
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,029% | F | |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,001% | F | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | F | |
| FONSOLBANK FP | 201 | 0,000% | F | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,002% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 503 | 0,000% | F | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | F | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,004% | F | |
| FOREST FOUNDATION | 94 | 0,000% | F | |
| FORSTA AP - FONDEN | 45.427 | 0,022% | F | |
| FOVERUKA PENSION UNIVERSAL | 6.566 | 0,003% | F | |
| FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES | ||||
| FND | 130.000 | 0,063% | F | |
| FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND | 9.341 | 0,005% | F | |
| FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL | 710 | 0,000% | F | |
| FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 2.332 | 0,001% | F | |
| FRANK RUSSELL INVESTMENT CO II PLC | 6.218 | 0,003% | F | |
| FRANKLIN FTSE EUROPE EX U.K. INDEX ETF | 1.771 | 0,001% | F | |
| FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF | 165 | 0,000% | F | |
| FRANKLIN LIBERTYSHARES ICAV | 1.212 | 0,001% | F | |
| FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND | 99.148 | 0,048% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 3.672 | 0,002% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF | 432 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 2.037 | 0,001% | F | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY | 208 | 0,000% | F | |
| ETF FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY |
864 | 0,000% | F | |
| HEDG | ||||
| FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 74 | 0,000% | F | |
| FULCRUM UCITS SICAV | 1.638 | 0,001% | F | |
| FUNDACAO CALOUSTE GULBENKIAN | 1.279 | 0,001% | F | |
| FUNDO DE PENSOES. | 1.850 | 0,001% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR | 24.261 | 0,012% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F. |
48.223 | 0,023% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI |
5.578 | 0,003% | F | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 6.195 | 0,003% | F | |
| G.A.-FUND-B - WORLD EQUITIES | 2.169 | 0,001% | F | |
| GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY | 8.632 | 0,004% | F | |
| GAM MULTISTOCK | 345.315 | 0,168% | F | |
| GAM STAR FUND PLC | 552.141 | 0,268% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 196.190 | 0,095% | F | |
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA | 10.222 | 0,005% | F | |
| GENERALI INVESTMENTS SICAV | 1.830 | 0,001% | F | |
| GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS | 34.000 | 0,017% | F | |
| GENERALI ITALIA SPA | 26.722 | 0,013% | F | |
| GENERALI SMART FUNDS | 15.413 | 0,007% | F | |
| GENERALI VIE | 134.803 | 0,066% | F | |
| GERANA SICAV-SIF, S.A. | 53.252 | 0,026% | F | |
| GIC PRIVATE LIMITED | 18.988 | 0,009% | F | |
| GID-FONDS ALAET | 40.240 | 0,020% | F | |
| GID-FONDS CEAOT | 68.126 | 0,033% | F | |
| GID-FONDS DLAET | 6.220 | 0,003% | F | |
| GIN S.R.L. | 11666950966 | 779.732 | 0,379% | F |
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,003% | F | |
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES | ||||
| LIMIT GLG PARTNERS LP |
5.009 8.509 |
0,002% 0,004% |
F F |
|

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | F | |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | ||||
| PORTFOLIO | 650 | 0,000% | F | |
| GLOBAL BOND FUND WAYCROSSE INC | 6.277 | 0,003% | F | |
| Global Equities Enhanced Index fund | 10.439 | 0,005% | F | |
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 2,438% | F | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,000% | F | |
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | F | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,069% | F | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | F | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | F | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E |
851 | 0,000% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT |
109.577 | 0,053% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN SACHS AND CO |
5.568 | 0,003% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
4.735 | 0,002% | F | |
| GOLDMAN SACHS FUNDS | 1.024.289 | 0,498% | F | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA | 1.919 | 0,001% | F | |
| FUND GOLDMAN SACHS UK RETIREMENT PLAN |
645 | 0,000% | F | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | F | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | F | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,057% | F | |
| GR-AVENIR | 1.000 | 0,000% | F | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | F | |
| GRD 12 ACTIONS | 35.360 | 0,017% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | F | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | F | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | F | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | F | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | F | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | F | |
| HALEVY A1 | 35.923 | 0,017% | F | |
| HALEVY A2 | 36.004 | 0,017% | F | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | F | |
| HANG SENG INSURANCE COMPANY LIMITED | 1.447 | 0,001% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | F | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | F | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | F | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | F | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
11.101 | 0,005% | F | |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | F | |
| HC RENTE | 1.558 | 0,001% | F | |
| Helium Alpha | 3.829 | 0,002% | F | |
| Henderson Eurotrust plc | 137.894 | 0,067% | F | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | F | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | F | |
| HESTA | 506.496 | 0,246% | F | |
| HI-172915-Fonds | 1.508 | 0,001% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund | 58.991 | 0,029% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE |
200.034 | 0,097% | F |

| HONG KONG SPECIAL ADMINISTRATIVE REGION 4.426 0,002% F GOVERNMENTEXCHANGE FUND HOSTPLUS POOLED SUPERANNUATION TRUST 17.065 0,008% F HRW TESTAMENTARY TRUST NO 2 855 0,000% F HRW TESTAMENTARY TRUST NO 3. 1.326 0,001% F HRW TESTAMENTARY TRUST NO. 11. 995 0,000% F HRW TESTAMENTARY TRUST NO. 12. 1.853 0,001% F HRW TRUST NO 1 UAD 01/17/03. 2.051 0,001% F HRW TRUST NO 2 UAD 01/17/03. 2.184 0,001% F HRW TRUST NO 3 UAD 01/17/03. 652 0,000% F HRW TRUST NO 4 UAD 01/17/03 1.367 0,001% F HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ 130.788 0,064% F FND HSBC ETFS PLC 3.185 0,002% F HSBC ETF'S PLC 348 0,000% F HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS 507 0,000% F ETF HSBC ETFS PUBLIC LIMITED COMPANY 478 0,000% F HSBC EUROPEAN INDEX FUND 100.074 0,049% F HSBC Global Funds ICAV 37.129 0,018% F HSBC INDEX TRACKER INVESTMENT FUNDS ICVC 12.285 0,006% F HSBC INTERNATIONAL EQUITY INDEX FUND 3.479 0,002% F HSBC Life (International) Limited 12.817 0,006% F HSBC Managed Balanced Fund 637 0,000% F HSBC Managed Growth Fund 1.023 0,000% F HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY 3.231 0,002% F INDEX TRACKING FUND HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund 17.572 0,009% F HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY 10.759 0,005% F FUND HUSSMAN STRATEGIC INTERNATIONAL FUND 1.000 0,000% F HYMNOS 13.980 0,007% F IA CLARINGTON GLOBAL VALUE FUND 2.162 0,001% F IBM 401(K) PLUS PLAN TRUST 33.731 0,016% F IBM 401(K) PLUS PLAN TRUST 7.788 0,004% F IBM DIVERSIFIED GLOBAL EQUITY FUND 3.443 0,002% F IBM PERSONAL PENSION PLAN TRUST 11.214 0,005% F IBM RETIREMENT PLAN 854 0,000% F ICARE 3.918 0,002% F ICBCCS GLOBAL SELECTIVE EQUITY FUND 11.445 0,006% F IF IST - GLOBE INDEX 7.442 0,004% F IFM GLOBAL INDEXED EQUITIES FUND 468 0,000% F IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND 225.983 0,110% F II 3.800 0,002% F ILA - RAFIMF 2.531 0,001% F ILA-LA WORLD ESG SCREENED FUND 3.306 0,002% F ILLINOIS MUNICIPAL RETIREMENT FUND 43.301 0,021% F IMCO GLOBAL PUBLIC EQUITY LP 626 0,000% F IMCO GLOBAL PUBLIC EQUITY LP ACCT 17 16.815 0,008% F IMPERIAL INTERNATIONAL EQUITY POOL 7.521 0,004% F IN EQ ACWI EX US AETF NON FLIP 20.864 0,010% F INDEP'AM 139.100 0,068% F INDIANA PUBLIC RETIREMENT SYSTEM 13.804 0,007% F INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES INC 16.583 0,008% F ING DIRECT SICAV 11.919 0,006% F INKA PBEAKK 2.090 0,001% F INSTITUTIONAL RETIREMENT TRUST 9.092 0,004% F INSTITUTIONELLA AKTIEFONDEN VARLDEN 31.285 0,015% F INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND 25.561 0,012% F EQUITIES INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS 403.672 0,196% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | F | |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS | 18.885 | 0,009% | F | |
| FUN INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND |
44.059 | 0,021% | F | |
| INTERFUND SICAV | 15.000 | 0,007% | F | |
| INTERNATIONAL ALPHA TILTS FUND B (INTLTB) | 1.149 | 0,001% | F | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | F | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | F | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | F | |
| INTERNATIONAL EQUITY FUND LLC | 1.343 | 0,001% | F | |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | F | |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | F | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 789 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND | 12.591 | 0,006% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS | ||||
| INVESTMENT ACCOUNT | 214 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 828 | 0,000% | F | |
| INTERNATIONAL OPPORTUNITY FUND I | 66.547 | 0,032% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND | ||||
| (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | 3.936 | 0,002% | F | |
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | F | |
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT | ||||
| PORTFO | 1.363 | 0,001% | F | |
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | F | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | F | |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | F | |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | F | |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | F | |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | F | |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | F | |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | F | |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | F | |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | F | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | F | |
| INVESCO FUNDS | 1.680 | 0,001% | F | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | F | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | F | |
| INVESCO MARKETS III PLC | 41 | 0,000% | F | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | F | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | F | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,002% | F | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER AKK KL |
1.741 | 0,001% | F | |
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE | 1.947 | 0,001% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER - ETISK TILVALG |
3.898 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS | 1.225 | 0,001% | F | |
| KL INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES |
6.696 | 0,003% | F | |
| SUSTAINABILITY WORLD KL INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL |
4.232 | 0,002% | F | |
| INVESTITORI EUROPA | 3.300 | 0,002% | F | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | F | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | F | |
| IP ACTIONS EURO | 3.877 | 0,002% | F | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE | ||||
| STRATEGY NO.1 | 469 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| IPROFILE INTERNATIONAL EQUITY PRIVATE POOL | 6.337 | 0,003% | F | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,002% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 3.453 | 0,002% | F | |
| IQ HEALTHY HEARTS ETF | 559 | 0,000% | F | |
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,009% | F | |
| IRISH LIFE ASSURANCE PLC | 94.732 | 0,046% | F | |
| IRISH LIFE ASSURANCE. | 22.012 | 0,011% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.100.037 | 0,535% | F | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 48.266 | 0,023% | F | |
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,044% | F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,036% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 214.092 | 0,104% | F | |
| ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS ETF | ||||
| DE | 17.245 | 0,008% | F | |
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF | 22.359 | 0,011% | F | |
| ISHARES EDGE MSCI INTL QUALITY FACTOR ETF | 143.992 | 0,070% | F | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,005% | F | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 1.618 | 0,001% | F | |
| ISHARES EURO STOXX UCITS ETF (DE) | 88.412 | 0,043% | F | |
| ISHARES EUROPE ETF | 40.489 | 0,020% | F | |
| ISHARES GLOBAL CONSUMER DISCRETIONARY ETF | 12.789 | 0,006% | F | |
| ISHARES II PUBLIC LIMITED COMPANY | 91.277 | 0,044% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,122% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,153% | F | |
| ISHARES MSCI ACWI ETF | 42.539 | 0,021% | F | |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,018% | F | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,003% | F | |
| ISHARES MSCI EAFE ETF | 676.406 | 0,329% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,124% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,052% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 4.787 | 0,002% | F | |
| ISHARES MSCI EUROZONE ETF | 243.059 | 0,118% | F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 267 | 0,000% | F | |
| ISHARES MSCI ITALY ETF | 219.619 | 0,107% | F | |
| ISHARES MSCI KOKUSAI ETF | 615 | 0,000% | F | |
| ISHARES MSCI WORLD ETF | 7.193 | 0,003% | F | |
| ISHARES PUBLIC LIMITED COMPANY | 182.059 | 0,088% | F | |
| ISHARES STOXX EUROPE 600 PERSONALHOUSEHOLD GOODS UCITS ETF DE |
24.310 | 0,012% | F | |
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 141.793 | 0,069% | F | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 52.632 | 0,026% | F | |
| ISHARES V PUBLIC LIMITED COMPANY | 39.924 | 0,019% | F | |
| ISHARES VI PUBLIC LIMITED COMPANY | 72.641 | 0,035% | F | |
| ISHARES VII PLC | 192.179 | 0,093% | F | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 18.950 | 0,009% | F | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 1.497 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 2.211 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND ESG EQUITY INDEX FUND (CH) | 4.360 | 0,002% | F | |
| Islamic Development Bank | 913 | 0,000% | F | |
| IVY PROSHARES MSCI ACWI INDEX FUND | 166 | 0,000% | F | |
| JAMES B. HAWKES | 997 | 0,000% | F | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | F |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 287 | 0,000% | F |
|---|---|---|---|
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,001% | F |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | F |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND |
1.501 | 0,001% | F |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,012% | F |
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES | 97 | 0,000% | F | |
| LLC | ||||
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 | 0,000% | F | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,014% | F | |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND JNL/DFA INTERNATIONAL CORE EQUITY FUND |
333 1.189 |
0,000% 0,001% |
F F |
|
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 476 | 0,000% | F | |
| JNL/MELLON MSCI WORLD INDEX FUND | 1.306 | 0,001% | F | |
| JNL/TROWE PRICE BALANCED FUND | 8.869 | 0,004% | F | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY | ||||
| ALLOCATION FUND | 12.252 | 0,006% | F | |
| JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND | 36.431 | 0,018% | F | |
| JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. | 2.383.446 | 1,158% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 474 | 0,000% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,005% | F | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,006% | F | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,000% | F | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY | 7.601 | 0,004% | F | |
| INDEX TRUST. JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION |
||||
| TRUST | 33.254 | 0,016% | F | |
| JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN | 57.962 | 0,028% | F | |
| JPMORGAN ACCESS BALANCED FUND | 514 | 0,000% | F | |
| JPMORGAN ACCESS GROWTH FUND | 670 | 0,000% | F | |
| JPMORGAN BETABUILDERS EUROPE ETF | 221.051 | 0,107% | F | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 39.332 | 0,019% | F | |
| JPMORGAN GLOBAL ALLOCATION FUND | 1.489 | 0,001% | F | |
| JTW TRUST NO. 1 UAD 9/19/02. | 696 | 0,000% | F | |
| JTW TRUST NO. 2 UAD 9/19/02. | 1.167 | 0,001% | F | |
| JTW TRUST NO. 3 UAD 9/19/02. | 1.188 | 0,001% | F | |
| JTW TRUST NO. 4 UAD 9/19/02. | 1.385 | 0,001% | F | |
| JTW TRUST NO. 5 UAD 9/19/02. | 732 | 0,000% | F | |
| K INVESTMENTS SH LIMITED. | 19.004 | 0,009% | F | |
| KAIROS INTERNATIONAL SICAV ITALIA | 74.000 | 0,036% | F | |
| KAIROS INTERNATIONAL SICAV ITALIA PIR | 5.000 | 0,002% | F | |
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | F | |
| KAISER FOUNDATION HOSPITALS | 6.067 | 0,003% | F | |
| KAISER PERMANENTE GROUP TRUST | 9.965 | 0,005% | F | |
| KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING | 1.623 | 0,001% | F | |
| DANICA LINK - INDEKS GLOBALE AKTIER | ||||
| KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE |
13.054 | 0,006% | F | |
| INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 7.928 | 0,004% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 2 GLOBALE AKTIER 2 | 29.386 | 0,014% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 11.644 | 0,006% | F | |
| KAPITALFORENINGEN SPARINVEST VERDENS INDEKS ETISK | 2.728 | 0,001% | F | |
| KIEGER UCITS FUND | 14.982 | 0,007% | F | |
| KINSTED GLOBAL EQUITY POOL | 59.251 | 0,029% | F | |
| Kiwi Investment Management Screened Global Equity Index Fund | 517 | 0,000% | F | |
| KNOWLEDGE LEADERS DEVELOPED WO | 13.578 | 0,007% | F | |
| KOKUSAI EQUITY INDEX FUND | 6.832 | 0,003% | F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL | ||||
| EQUITY MASTER INVESTMENT TRUST 3 | 145.559 | 0,071% | F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DM PRIVATE EQUITY MASTER INVESTMENT TRUST |
3.454 | 0,002% | F | |
| KUTXABANK GESTION SGIIC, S.A. | 210.135 | 0,102% | F | |
| LABORFONDS - FONDO PENSIONE COMPLEMENTARE LAVORATORI | 18.222 | 0,009% | F | |
| DIPENDENTIOPERANTI IN TRENT LACM GLOBAL EQUITY FUND LP |
6.195 | 0,003% | F | |
| LACM WORLD EQUITY - DIVIDEND GROWTH CIT | 5 | 0,000% | F | |
| LACM WORLD EQUITY - WEALTH BUILDER CIT | 13 | 0,000% | F | |
| LATVIJAS BANKA | 2.798 | 0,001% | F |

| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,007% | F |
|---|---|---|---|
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | F |
| LO Funds - All Roads | 9.683 | 0,005% | F |
| LO Funds - All Roads Conservative | 655 | 0,000% | F |
| LO Funds - All Roads Growth | 3.757 | 0,002% | F |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,029% | F |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS MASTER TR |
42.392 | 0,021% | F |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.855 | 0,044% | F |


| MAN NUMERIC INTERNATIONAL ALPHA (US) LP | 3.050 | 0,001% | F |
|---|---|---|---|
| MAN NUMERIC LONG TERM ALPHA LP MAPLES CORPORATE SERVICES LIMITED |
2.570 | 0,001% | F |
| MANAGED INVESTMENT FUNDS ICVCINTERNATIONAL EQUITY TRACKER FUND |
738 | 0,000% | F |
| MANAGED PENSION FUNDS LIMITED | 107.922 | 0,052% | F |
| MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 4.415 | 0,002% | F |
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,005% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,093% | F | |
| MANULIFE INVESTMENT MANAGEMENT I PLC | 27.279 | 0,013% | F | |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX | 7.719 | 0,004% | F | |
| POOLED FUND | ||||
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 11.035 | 0,005% | F | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,000% | F | |
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,000% | F | |
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR | 39.739 | 0,019% | F | |
| PARTICIPANT DIRECTED ACCOUNTS | ||||
| MARS S.R.L. MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O |
11666960965 | 779.732 | 0,379% | F |
| MARSHALL WACE IRELAND LTD | 1.802.175 | 0,876% | F | |
| MARTIN CURRIE GLOBAL LONG-TERM UNCONSTRAINED FUND | 8.750 | 0,004% | F | |
| MARTIN CURRIE GLOBAL PORTFOLIO TRUST PLC | 303.129 | 0,147% | F | |
| MARTIN CURRIE INTERNATIONAL UNCONSTRAINED EQUITY FUND | 29.721 | 0,014% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 17.987 | 0,009% | F | |
| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | F | |
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,020% | F | |
| MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN | 12.444 | 0,006% | F | |
| AIRLINES, INC, US AIRW | ||||
| MASTERS I LLC | 879 | 0,000% | F | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | F | |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,001% | F | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | F | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 10.519 | 0,005% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 380.000 | 0,185% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,058% | F | |
| MELCHIOR EURO OPP | 176.178 | 0,086% | F | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | F | |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,002% | F | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | F | |
| MERCER QIF CCF | 57.661 | 0,028% | F | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | F | |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | F | |
| MERCY INVESTMENT SERVICES INC | 951 | 0,000% | F | |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,005% | F | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,013% | F | |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,015% | F | |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | F | |
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,013% | F | |
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | F | |
| MGI FUNDS PLC | 11.427 | 0,006% | F | |
| MI - FONDS K12 | 11.854 | 0,006% | F | |
| MI - FONDS K14 | 36.000 | 0,017% | F | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | ||||
| REEVES TTEE PO BOX | 281 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | F | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | F | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 760 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 50 | 730 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 510 | 0,000% | F | |
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | F | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | F | |
| MLC INVESTMENTS, MLC LIMITED | 18.086 | 0,009% | F | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | F | |
| MML STRATEGIC EMERGING MARKETS FUND | 595 | 0,000% | F | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | F | |
| MONCEAU ACTIONS EEE | 16.990 | 0,008% | F | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,014% | F |


| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
6.350 | 0,003% | F |
|---|---|---|---|
| NAV CANADA PENSION PLAN | 2.980 | 0,001% | F |
| NAVIGERA AKTIE 2 | 273.738 | 0,133% | F |
| NBIMC EAFE EQUITY INDEX FUND. | 5.642 | 0,003% | F |
| NCB CAPITAL COMPANY | 7.104 | 0,003% | F |
| NEF EURO EQUITY | 159.607 | 0,078% | F |
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| NEMOURS FOUNDATION | 184 | 0,000% | F | |
| NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT | ||||
| GENERATION CONNECTED CONSUMER | 2.907 | 0,001% | F | |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F | |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | F | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | F | |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 714 | 0,000% | F | |
| NEW YORK STATE COMMON RETIREMENT FUND | 3.613 | 0,002% | F | |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | F | |
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 10.081 | 0,005% | F | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 103.513 | 0,050% | F | |
| NEW ZEALAND SUPERANNUATION FUND. | 40.791 | 0,020% | F | |
| NEWBURG NOMINEES LIMITED INVESTORSWHOLESALE GLOBAL EQUITY | 15.678 | 0,008% | F | |
| (INDEX) TRUST NEXTERA ENERGY DUANE ARNOLD LLC NON QUALIFIED |
||||
| DECOMMISSIONI | 179 | 0,000% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED | ||||
| DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR | 32 | 0,000% | F | |
| POW | ||||
| NFS LIMITED | 12.960 | 0,006% | F | |
| NGS SUPER | 279.139 | 0,136% | F | |
| NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 1.400 | 0,001% | F | |
| NINETY ONE GLOBAL STRATEGY FUND | 212.168 | 0,103% | F | |
| NINETY ONE PROFESSIONAL INVESTMENT FUNDS PCC LIMITED - | 274.576 | 0,133% | F | |
| GLOBAL BALANCED (SA) FUND NISSAN NORTH AMERICA INC. EMPLOYEE RETIREMENT PLAN MASTER |
||||
| TRUST | 35.126 | 0,017% | F | |
| NN (L) SICAV | 6.599 | 0,003% | F | |
| NORDEA 1 SICAV | 8.120 | 0,004% | F | |
| NORDEA 2 SICAV | 47.185 | 0,023% | F | |
| NORDEA DONATIONSMEDELSFOND | 1.620 | 0,001% | F | |
| NORDEA EUROPEAN PASSIVE FUND | 3.431 | 0,002% | F | |
| NORDEA GENERATIONSFOND 50-TAL | 2.188 | 0,001% | F | |
| NORDEA GENERATIONSFOND 60-TAL | 35.983 | 0,017% | F | |
| NORDEA GENERATIONSFOND 70-TAL | 44.137 | 0,021% | F | |
| NORDEA GENERATIONSFOND 80-TAL | 23.147 | 0,011% | F | |
| NORDEA GENERATIONSFOND 90-TAL | 3.153 | 0,002% | F | |
| NORDEA GLOBAL PASSIVE FUND | 9.663 | 0,005% | F | |
| NORGES BANK | 49.639 | 0,024% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 60.221 | 0,029% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 438.128 | 0,213% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 119.059 | 0,058% | F | |
| NORTHERN TRUST UCITS FGR FUND | 30.088 | 0,015% | F | |
| NOTTINGHAMSHIRE COUNTY COUNCIL PENSION FUND | 61.481 | 0,030% | F | |
| NPF TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL | 189 | 0,000% | F | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 657 | 0,000% | F | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 594 | 0,000% | F | |
| NSP MONTICELLO MINNESOTA RETAIL | 1.267 | 0,001% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND | 168 | 0,000% | F | |
| NTGI - QM COMMON DAILY ALL COUNTRY WORLD EX-US EQUITY | 9.906 | 0,005% | F | |
| INDEX NTGI-QM COMMON DAILY ALL COUNTRY WORLD EX-US INVESTABLE |
||||
| MARKET INDEX FUND - NON LENDING | 7.437 | 0,004% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - LENDING | 10.139 | 0,005% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - NON LENDING | 30.497 | 0,015% | F | |
| NUVEEN MULTI-ASSET INCOME FUND | 22.808 | 0,011% | F | |
| NVIT INTERNATIONAL INDEX FUND | 23.688 | 0,012% | F | |
| ODDO APOLLINE DIVERSIFIE POCHE EQU EUR | 22.441 | 0,011% | F | |
| ODDO BHF ALGO TREND EUROZONE | 1.312 | 0,001% | F | |
| ODDO BHF GENERATION | 119.271 | 0,058% | F | |
| OFFSHORE INTERNATIONAL EQUITY FUND | 55.477 | 0,027% | F | |
| OFI RS ALPHA SECTOR | 601 | 0,000% | F | |
| OFP DUPONT EUROPEAN PENSION FUND | 13.027 | 0,006% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED RETURNS | ||||
| FUND | 101 | 0,000% | F | |
| ONCOR RETIREMENT PLAN TRUST | 5.254 | 0,003% | F | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 19.601 | 0,010% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | F | |
| ORANO DIVERSIFIE EQUILIBRE | 4.412 | 0,002% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 22.106 | 0,011% | F | |
| OSMOSIS UCITS CCF | 3.495 | 0,002% | F | |
| OVERSEAS GROWTH INVESTMENT FUNDS ICVC EUROPEAN GROWTH FUND |
11.312 | 0,005% | F | |
| PACE INTERNATIONAL EQUITY INVESTMENTS | 25.460 | 0,012% | F | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | F | |
| PACIFIC SELECT FUND EMERGING MARKETS PORTFOLIO | 8.791 | 0,004% | F | |
| PALATINE ENTREPRISES FAMILIALES ISR | 27.100 | 0,013% | F | |
| PALATINE FRANCE MIDCAP FCP | 19.000 | 0,009% | F | |
| PANAGORA ASSET MANAGEMENT INC. - DYNAMIC INTERNATIONAL | ||||
| EQUI | 64 | 0,000% | F | |
| PANAGORA GROUP TRUST | 1.758 | 0,001% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | F | |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F | |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER FUND |
428 | 0,000% | F | |
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | F | |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,065% | F | |
| PEOPLE'S BANK OF CHINA | 190.071 | 0,092% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PERVALOR - ACTIONS | 1.150 | 0,001% | F | |
| PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 787 | 0,000% | F | |
| PF EMERGING MARKETS FUND | 962 | 0,000% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F | |
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,004% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,000% | F | |
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | F | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 370 | 0,000% | F | |
| PICTON MAHONEY LONG SHORT EQUITY FUND C/O PICTON | ||||
| MAHONEY ASSET MANAGEMENT ACTING AS MANAGER | 2.500 | 0,001% | F | |
| PICTON MAHONEY MARKET NEUTRAL EQUITY FUND C/O PICTON MAHONEY ASSET MANAGEMENT ACTING AS FUND MANAGER |
3.000 | 0,001% | F | |
| PINEBRIDGE FUND SERIES - PINEBRIDGEEUROPE EQUITY FUND | 15.958 | 0,008% | F | |
| PINEBRIDGE GLOBAL FUNDS | 7.685 | 0,004% | F | |
| PIONEER FLEXIBLE OPPORTUNITIES FUND | 22.516 | 0,011% | F | |
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| PMPT INKA FONDS | 11.831 | 0,006% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | F | |
| POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT L.P. | 39.650 | 0,019% | F | |
| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | F | |
| POOL REINSURANCE CO LTD | 544 | 0,000% | F | |
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,004% | F | |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,003% | F | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,004% | F | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | F | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | F | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | F | |
| PRESCIENT ICAV. | 11.412 | 0,006% | F | |
| PRIME SUPER | 3.439 | 0,002% | F | |
| PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL ADAPTIVE MULTI-FACTOR ET |
395 | 0,000% | F | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | F | |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | F | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | F |

| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | F |
|---|---|---|---|
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | F |
| RDM LIQUID LLC | 9.080 | 0,004% | F |
| ReAssure Limited | 9.407 | 0,005% | F |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | F |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | F |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | F | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | F | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | F | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | F | |
| ROPS EURO P | 18.805 | 0,009% | F | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,015% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | F | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B (REMGEOB) |
2.713 | 0,001% | F | |
| RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND |
48.011 | 0,023% | F | |
| RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY | 20.563 | 0,010% | F | |
| FUND RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL |
||||
| EQUITY FUND | 7.848 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL | 69.531 | 0,034% | F | |
| EQUITY FUND RUSSELL INVESTMENT COMPANY V PLC |
32.028 | 0,016% | F | |
| RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED MARKETS | 9.504 | 0,005% | F | |
| FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E |
175.855 | 0,085% | F | |
| PLUS FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI |
||||
| ASSET I-ASSET GROW | 16.431 | 0,008% | F | |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT |
8.270 | 0,004% | F | |
| RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND | 25.601 | 0,012% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 3.137 | 0,002% | F | |
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.661 | 0,003% | F | |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 1.906 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 843 | 0,000% | F | |
| RUSSELL INVESTMENTS SUSTAINABLEGLOBAL SHARES EX FOSSIL FUEL S | 294 | 0,000% | F | |
| FUND LVL 3 | ||||
| RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES FUND | 65.147 | 0,032% | F | |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 4.602 | 0,002% | F | |
| RUSSELL OVERSEAS EQUITY POOL . | 5.355 | 0,003% | F | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | F | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,000% | F | |
| S. ROBSON WALTON 2010 TRUST | 1.076 | 0,001% | F | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 1.885 | 0,001% | F | |
| SAKKARAH 7 FCP | 31.165 | 0,015% | F | |
| SAKKARAH C | 15.143 | 0,007% | F | |
| SALIX LLC | 10.816 | 0,005% | F | |
| SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 5.399 | 0,003% | F | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 393 | 0,000% | F | |
| SAN JOSE FEDERATED CITY EMPLOYEES RETIREMENT SYST | 27.282 | 0,013% | F | |
| SANLAM UNIVERSAL FUNDS PLC | 4.492 | 0,002% | F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 10.974 | 0,005% | F | |
| SBC MASTER PENSION TRUST | 7.654 | 0,004% | F | |
| SCHRODER CAPITAL MANAGEMENT COLLECTIVE TRUST | 28.651 | 0,014% | F | |
| SCHRODER EUROPEAN SMALLER COMPANIES FUND | 9.331 | 0,005% | F | |
| SCHRODER EUROPEAN SUSTAINABLE EQUITY FUND | 26.691 | 0,013% | F | |
| SCHRODER GAIA | 16.562 | 0,008% | F | |
| SCHRODER GLOBAL QUALITY FUND (CANADA) | 1.655 | 0,001% | F | |
| SCHRODER INSTITUTIONAL POOLED FUNDS | 56.917 | 0,028% | F | |
| SCHRODER INTERNATIONAL SELECTION FUND | 757.714 | 0,368% | F |

| SCHRODER QEP GLOBAL CORE FUND 18.580 0,009% F SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF 49.395 0,024% F SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX 11.923 0,006% F FUND SCHWAB INTERNATIONAL EQUITY ETF 307.652 0,150% F SCHWAB INTERNATIONAL INDEX FUND 110.081 0,053% F SCORE SEMKO PPK 500 0,000% F SCOTIA INTERNATIONAL EQUITY INDEX FUND 366 0,000% F SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF 2.269 0,001% F SCOTIA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF 147 0,000% F SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- DEVELOPED 34.170 0,017% F EUROPE (EX UK) EQUIT SDA INTL EQUITY INDEX FD-WORLD 6.231 0,003% F SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY 11.983 0,006% F PORTF SEASONS SERIES TRUST SA PUTNAM ASSET ALLOCATION DIVERSIFIED 1.902 0,001% F GROW SEB ACTIVE 55 653 0,000% F SEB ACTIVE 80 446 0,000% F SEI GLOBAL MASTER FUND PLC 2.321 0,001% F SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION 1.664 0,001% F FUND SELFFINANCING POSTSECONDARY EDUCATION FUND 127 0,000% F SEMPRA ENERGY PENSION MASTER TRUST 3.701 0,002% F SENTINEL INTERNATIONAL TRUST 1.212 0,001% F SG ACTIONS EURO 6.991 0,003% F SG ACTIONS FRANCE LARGECAP 1.345 0,001% F SG ACTIONS LUXE 135.089 0,066% F SG BLACKROCK ACTIONS EURO I 12.641 0,006% F SG DIVERSIFIE FRANCE 2.204 0,001% F SG ECHIQUIER ACTIONS EUROPE 12.436 0,006% F SHELL CANADA 2007 PENSION PLAN 1.818 0,001% F SHELL NEDERLAND PENSIOENFONDS STICHTING 538 0,000% F SHELL PENSION TRUST 4.014 0,002% F SHELL PENSIONS TRUST LIMITED AS TRUSTEE OF SHELL CONTRIBUTORY 16.585 0,008% F PENSION FUND SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL 5.913 0,003% F INTERNATIONAL PENSION FUND SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS 25.959 0,013% F CONTRIBUTORY PENSION FUND SHINKO GLOBAL EQUITY INDEX MOTHER FUND 60 0,000% F SIEMENS ABSOLUTE RETURN 1.739 0,001% F SIEMENS BALANCED 3.629 0,002% F SIEMENS DC BALANCED 445 0,000% F SIEMENS DIVERSIFIED GROWTH 3.244 0,002% F SIEMENS EMU EQUITIES 13.972 0,007% F SIEMENS EUROINVEST AKTIEN 2.871 0,001% F SIEMENS-FONDS SIEMENS-RENTE 31.916 0,016% F Sijoitusrahasto Aktia Europa 45.000 0,022% F SINGLE SELECT PLATFORM 27.441 0,013% F SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND 255.356 0,124% F SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL 179.400 0,087% F UNCONSTRAINED FUND SKL INVESTMENT GROUP LLC 121 SOUTH 2.793 0,001% F SLW PORTFOLIO LLC 1.441 0,001% F SMALLCAP WORLD FUND INC 2.015.000 0,979% F SMITHSON INVESTMENT TRUST PLC 2.037.545 0,990% F SMITHSON LP 92.000 0,045% F SMTB GLOBAL OPPORTUNITY MOTHER FUND 68.281 0,033% F SOGECAP ACTIONS 110.578 0,054% F SOGECAP AP CLIMAT PAB 12.239 0,006% F SOLIDARITES 1.917 0,001% F SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. 130.312 0,063% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | F | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | F | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | F | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | F | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | F | |
| SPP EUROPA PLUS | 463 | 0,000% | F | |
| SPP GENERATION 50-TAL | 142 | 0,000% | F | |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | F | |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | F | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | F | |
| SPRING 625 | 2.946 | 0,001% | F | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST | 5.388 | 0,003% | F | |
| FUND SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST |
||||
| FUND | 7.976 | 0,004% | F | |
| SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 170.925 | 0,083% | F | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,016% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,389% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,014% | F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 28.109 | 0,014% | F | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | F | |
| STAR PASTEUR | 7.107 | 0,003% | F | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,030% | F | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,014% | F | |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | F | |
| STATE OF MINNESOTA | 78.948 | 0,038% | F | |
| STATE OF MINNESOTA | 241.152 | 0,117% | F | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 116.563 | 0,057% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 93.124 | 0,045% | F | |
| STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST | ||||
| FUNDS | 1.563 | 0,001% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 16.802 | 0,008% | F | |
| STATE OF WYOMING | 9.297 | 0,005% | F | |
| STATE STREET CCF | 990 | 0,000% | F | |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.302 | 0,002% | F | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 57.073 | 0,028% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 32.334 | 0,016% | F | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 54.037 | 0,026% | F | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 4.522 | 0,002% | F | |
| STATE STREET IRELAND UNIT TRUST | 15.688 | 0,008% | F | |
| STATE STREET TOTAL RETURN VIS FUND | 3.190 | 0,002% | F | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 28.058 | 0,014% | F | |
| STELLAR INSURANCE, LTD. | 1.391 | 0,001% | F | |
| STEUART L. WALTON FAMILY TRUST UAD 3/19/13 | 2.739 | 0,001% | F | |
| STEWARDSHIP PARA GLB | 158 | 0,000% | F | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 14.061 | 0,007% | F | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 47.701 | 0,023% | F | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 1.412 | 0,001% | F | |
| BEROEPSVERVOER OVER DE WEG STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET |
10.570 | 0,005% | F | |
| LEVENSMIDDELENBEDRIJF STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK |
5.817 | 0,003% | F | |
| EN GL. STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS |
10.919 | 0,005% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,111% | F | |
| STICHTING HEINEKEN PENSIOENFONDS | 8.660 | 0,004% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD | ||||
| AANDELEN FONDS | 26.243 | 0,013% | F | |
| STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE | 359 | 0,000% | F | |
| KANK | ||||
| STICHTING PENSIOENFONDS APF. | 24.213 | 0,012% | F | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 15.746 | 0,008% | F | |
| STICHTING PENSIOENFONDS ING | 10.633 | 0,005% | F | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 88.980 | 0,043% | F | |
| STICHTING PENSIOENFONDS NOTARIAAT | 915 | 0,000% | F | |
| STICHTING PENSIOENFONDS PGB | 124.625 | 0,061% | F | |
| STICHTING PENSIOENFONDS PROVISUM | 1.850 | 0,001% | F | |
| STICHTING PENSIOENFONDS SAGITTARIUS STICHTING PGGM DEPOSITARY |
5.640 123.225 |
0,003% 0,060% |
F F |
|
| STICHTING PHILIPS PENSIOENFONDS | 3.901 | 0,002% | F | |
| STICHTING RABOBANK PENSIOENFONDS | 31.214 | 0,015% | F | |
| STICHTING SHELL PENSIOENFONDS | 45.698 | 0,022% | F | |
| STICHTING SPOORWEGPENSIOENFONDS | 9.340 | 0,005% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 2.596 | 0,001% | F | |
| STRATEGIE CONSOMMA LUXE ET LOW COST | 8.699 | 0,004% | F | |
| STRATEGY SICAV | 1.750 | 0,001% | F | |
| STYRAX EQUITIES LTD. | 150.000 | 0,073% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.810 | 0,001% | F | |
| SUE ANN ARNALL | 3.312 | 0,002% | F | |
| SUEBIA-FONDS | 16.399 | 0,008% | F | |
| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | F | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,004% | F | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET | ||||
| PORT | 229 | 0,000% | F | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED | 489 | 0,000% | F | |
| PORTFOLIO | ||||
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL EQUITIES |
140.429 | 0,068% | F | |
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | ||||
| ALLOCATION PORT | 1.613 | 0,001% | F | |
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED | 25.178 | 0,012% | F | |
| PORTFOLIO SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION |
||||
| GROWTHPORTF | 9.070 | 0,004% | F | |
| SUNSUPER SUPERANNUATION FUND | 31.443 | 0,015% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | 1.135 | 0,001% | F | |
| AUSTRAL Swiss National Bank |
747.726 | 0,363% | F | |
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,009% | F | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,003% | F | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,042% | F | |
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | F | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,002% | F | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,474% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,004% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,003% | F | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | F | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 0,925% | F | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,039% | F | |
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,009% | F | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,015% | F | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,028% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 0,996% | F |
| TANGERINE BALANCED GROWTH PORTFOLIO | 3.712 | 0,002% | F | |
| TANGERINE BALANCED INCOME PORTFOLIO | 509 | 0,000% | F | |
| TANGERINE BALANCED PORTFOLIO | 3.238 | 0,002% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 4.363 | 0,002% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 4.853 | 0,002% | F |

| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - 18.297 0,009% F HEDGED) FUND TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF 45.923 0,022% F TD BALANCED GROWTH FUND . 60.160 0,029% F TD DIVERSIFIED MONTHLY INCOME FUND 29.442 0,014% F TD EMERALD INTERNATIONAL EQUITYINDEX FUND 46.245 0,022% F TD EUROPEAN INDEX FUND . 1.280 0,001% F TD GLOBAL EQUITY FOCUSED FUND 200.000 0,097% F TD GLOBAL TACTICAL MONTHLY INCOME FUND 86.432 0,042% F TD INTERNATIONAL EQUITY INDEX ETF 9.710 0,005% F TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF 254 0,000% F TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND 4.155 0,002% F TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND 30.841 0,015% F TEACHER RETIREMENT SYSTEM OF TEXAS 203.814 0,099% F TEACHER RETIREMENT SYSTEM OF TEXAS 31.304 0,015% F TEACHER RETIREMENT SYSTEM OF TEXAS 105.926 0,051% F TEACHERS RETIREMENT SYSTEM OF LOUISIANA 2.050 0,001% F TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA 144.020 0,070% F TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS 19.162 0,009% F TELSTRA SUPERANNUATION SCHEME 5.558 0,003% F TENNESSEE CONSOLIDATED RETIREMENT SYSTEM 527.412 0,256% F TEXAS EDUCATION AGCY 57.379 0,028% F TEXAS EDUCATION AGENCY 8.056 0,004% F TEXAS UTILITIES QUAL NDT PARTNERSHIP 512 0,000% F THE ALGER FUNDS - ALGER MID CAP GROWTH FUND 43.253 0,021% F THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND 94.386 0,046% F THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH 14.745 0,007% F INSTITUTIONAL FUND THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO 27.679 0,013% F THE AMERICAN UNIVERSITY IN CAIRO 813 0,000% F THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST 145 0,000% F THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES 18.802 0,009% F THE BANK OF KOREA 35.154 0,017% F THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE 32.799 0,016% F INV THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE 135.195 0,066% F INVESTMENT FUND PLAN THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE 771 0,000% F THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITED 201.414 0,098% F THE BANKERS INVESTMENT TRUST PLC 161.788 0,079% F THE BARCLAYS BANK UK RETIREMENT FUND 1.080 0,001% F THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE 5.456 0,003% F THE CHARLOTTE-MECKLENBURG HOSPITAL AUTHORITY 10.928 0,005% F THE CIVIL SERVICE SUPERANNUATION FUND 47.703 0,023% F THE COMMONWEALTH FUND 94 0,000% F THE DAVID A DUFFIELD TRUST UAD 07/14/88 1.258 0,001% F THE DIRECTORS OF THE CHINESE YOUNG MEN'S CHRISTIAN ASSOCIATI 513 0,000% F THE ENDEAVOUR II FUND. 528 0,000% F THE GLENCORE CANADIAN PENSION FUNDS TRUST-FOREIGN EQUITY 52.245 0,025% F FUND THE GROWTH FUND OF AMERICA 5.358.544 2,604% F THE HARTFORD INTERNATIONAL GROWTH FUND 171.859 0,084% F THE HKSAR GOVERNMENT SCHOLARSHIP FUND 109 0,000% F THE INCUBATION FUND LTD 254 0,000% F THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED MONTHLY 2.039 0,001% F RATED EMPLOYEES PROVIDENT FUND SCHEME THE LABOUR UNION CO-OPERATIVE RETIREMENT FUND 794 0,000% F THE LILLY RETIREMENT PLAN MASTER TRUST ELI LILLY AND COMPANY 83.062 0,040% F The Magna Foundation 1.787 0,001% F The Marks And Spencer Worldwide Managed Fund 9.864 0,005% F THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY 5.621 0,003% F INDEX MOTHER FUND |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL | 466 | 0,000% | F | |
| EQUITY INDEX MOTHER FUND | ||||
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND |
16.410 | 0,008% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL EQUITY | ||||
| ACTIVE FUND FOR QUALIFIED INSTITUTION | 10.232 | 0,005% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION | 10.408 | 0,005% | F | |
| OF NATIONAL PUBLIC SERVICE PERSONNEL | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR GOVERNMENT PENSION INVESTMENT FUND 400045887 |
15.443 | 0,008% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MTBJ400045828 | 113.633 | 0,055% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 219.258 | 0,107% | F | |
| MTBJ400045829 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MTBJ400045832 | 34.619 | 0,017% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MUTB400045792 | 233.264 | 0,113% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 273.582 | 0,133% | F | |
| MUTB400045794 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MUTB400045795 | 193.020 | 0,094% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL | 4.530 | 0,002% | F | |
| PENSION FUND ASSOCIATION 400037061 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 1.672 | 0,001% | F | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 8.182 | 0,004% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | 4.025 | 0,002% | F | |
| PASSIVE MOTHER FUND (ONLY FOR PENSION THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY |
||||
| HEDGED) (PRIVATELY PLACED INVESTMENT T | 23.472 | 0,011% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | ||||
| (JPY HEDGED) (PRIVATELY PLACED INVEST | 3.034 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK | 5.242 | 0,003% | F | |
| ESG INSIGHTS EUROPE THE NATURE CONSERVANCY |
1 | 0,000% | F | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | F | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 61.856 | 0,030% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL |
119.604 | 0,058% | F | |
| UNIVERSITY | 5.369 | 0,003% | F | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | F | |
| THE STATE OF NEVADA | 1.656 | 0,001% | F | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | 453 | 0,000% | F | |
| (BERMUDA) LIMITED THE TRUSTEES OF THE HENRY SMITH CHARITY |
5.401 | 0,003% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,002% | F | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION | ||||
| MULTIPLE COLLECTIVE INVESTMENT | 308.939 | 0,150% | F | |
| THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & | 199 | 0,000% | F | |
| RICHARD WONG TTEES 535 | ||||
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 |
68.017 1.891 |
0,033% 0,001% |
F F |
|
| THREADNEEDLE (LUX | 21.528 | 0,010% | F | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. | 124.892 | 0,061% | F | |
| THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA | ||||
| THREADNEEDLE INVESTMENTS | 14.497 | 0,007% | F | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | F | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | F |

| THRIVENT INTERNATIONAL INDEX PORTFOLIO 2.018 0,001% F THYSSEN GLOBAL INVESTMENTS CORP 157 0,000% F TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND 445.951 0,217% F TIAACREF INTERNATIONAL EQUITY FUND 1.307.128 0,635% F TIAACREF INTERNATIONAL EQUITY INDEX FUND 232.530 0,113% F TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND 28.282 0,014% F TIMOTHY PLAN INTERNATIONAL ETF. 3.056 0,001% F TJ-NONQUALIFIED LLC 15.758 0,008% F TJ-QUALIFIED LLC 11.225 0,005% F TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND 461 0,000% F TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST 1.503 0,001% F TOCQUEVILLE CROISSANCE EURO IS 270.661 0,132% F TONI ACTIONS ISR 100 10.297 0,005% F TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER 11.041 0,005% F INV TRANSAMERICA INTERNATIONAL EQUITY INDEX VP 925 0,000% F TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP 2.638 0,001% F TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT 45.023 0,022% F TRINITY COLLEGE CAMBRIDGE 3.467 0,002% F True Potential Investments LLP 321.471 0,156% F TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 6.735 0,003% F INVESTMENT FUND TRUST NUMBER 10 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 1.646 0,001% F INVESTMENT FUND TRUST NUMBER 21 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 11.160 0,005% F INVESTMENT FUND TRUST NUMBER 3 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 693 0,000% F INVESTMENT FUND TRUST NUMBER 8 TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION 36.008 0,017% F TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO 11.446 0,006% F TRUTH INITIATIVE FOUNDATION 1.163 0,001% F TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA 377.000 0,183% F ADVISERS LP ACTING AS INVESTMENT ADVISER TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. 405 0,000% F TWU Superannuation Fund 1.687 0,001% F U.S. GLOBAL INVESTORS FUNDS 9.000 0,004% F UBAM 31.734 0,015% F UBAM - EUROPE SMALL CAP EQUITY 13.499 0,007% F UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY 32.954 0,016% F UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) 13.513 0,007% F UBS (IRL) INVESTOR SELECTION PLC 10.309 0,005% F UBS (LUX) EQUITY SICAV 103.750 0,050% F UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE 47.129 0,023% F UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II 87.226 0,042% F UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE 1.901 0,001% F UBS (LUX) KEY SELECTION SICAV 5.631 0,003% F UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY 1.641 0,001% F (USD) UBS (LUX) SICAV 1 133 0,000% F UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) 824 0,000% F UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE 540 0,000% F (USD) UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM 2.156 0,001% F (USD) UBS (US) GROUP TRUST 13.145 0,006% F UBS AM (D) GMBH / UBS412 13.300 0,006% F UBS ASSET MANAGEMENT LIFE LTD 39.500 0,019% F UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH 9.869 0,005% F INVESTINSTITUTIONAL FUN UBS FUND MANAGEMENT (SWITZERLAND) AG. 24.069 0,012% F UBS FUND MANAGEMENT(LUXEMBOURG) SA 182.621 0,089% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 281 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UBS LUX FUND SOLUTIONS | 175.192 | 0,085% | F | |
| UF 6 | 4.278 | 0,002% | F | |
| UFF VALEUR PME | 206.481 | 0,100% | F | |
| UI-E | 5.465 | 0,003% | F | |
| UI-FONDS BAV RBI AKTIEN | 17.551 | 0,009% | F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 5.970 | 0,003% | F | |
| UNI-GLOBAL SICAV | 2.886 | 0,001% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 9.708 | 0,005% | F | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE |
1.095 | 0,001% | F | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN MASTER TRU |
50.244 | 0,024% | F | |
| UNITY FUND | 20.474 | 0,010% | F | |
| UNIVERSAL INVEST SICAV | 223.368 | 0,109% | F | |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS |
9.009 | 0,004% | F | |
| Universal Investment GmbH | 94.420 | 0,046% | F | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG AKTIEN | 67.000 | 0,033% | F | |
| GLOBAL PLUS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG MULTI |
10.000 | 0,005% | F | |
| ASSETDEFENSIVE UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
||||
| A1-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
224.924 | 0,109% | F | |
| A4-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF |
19.415 | 0,009% | F | |
| BROCKEN-UI-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF |
2.945 | 0,001% | F | |
| COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE | 1.100 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO UNIVERSAL-FONDS |
13.441 | 0,007% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY |
5.980 | 0,003% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN VOLCONTROL |
6.000 | 0,003% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US UNIVERSAL-FONDS |
77.354 | 0,038% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL-CA V |
2.004 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB | 375 | 0,000% | F | |
| UNIVERSAL-FONDS UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA |
17.328 | 0,008% | F | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL | 17.216 | 0,008% | F | |
| EURO UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN |
228 | 0,000% | F | |
| ENHANCE UNIVERSITIES SUPERANNUATION SCHEME |
78.692 | 0,038% | F | |
| UPS GROUP TRUST | 58.308 | 0,028% | F | |
| UTAH RETIREMENT SYSTEMS VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK |
26.937 8.838 |
0,013% 0,004% |
F F |
|
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | F | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | F | |
| VALORACTIONS | 2.500 | 0,001% | F | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK |
1.551.670 2.626 |
0,754% 0,001% |
F F |
|
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
10.454 | 0,005% | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 467.062 | 0,227% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
6.838 | 0,003% | F |

| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | 252 | 0,000% | F |
|---|---|---|---|
| C/O VONTOBEL FONDS SERVICES AG | |||
| VONTOBEL NON US EQUITY OFFSHORE MASTER LP | 143.508 | 0,070% | F |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | F |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND | 7.884 | 0,004% | F |
| VWINKA SONDERVERMGEN | 8.000 | 0,004% | F |
| WASHINGTON STATE INVESTMENT BOARD | 145.588 | 0,071% | F |
| WCM FOCUSED INTERNATIONAL OPPO | 8.390 | 0,004% | F |
| WCM INTERNATIONAL LONG-TERM | 755 | 0,000% | F |


| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A |
|---|---|---|---|
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | A |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A |
| REGARD ACT CROISSAN | 5.000 | 0,002% | A |
| WEST YORKSHIRE PENSION FUND | 50.000 | 0,024% | A |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
Totale votanti 205.772.104 100%
NE - Non espresso
F - Favorevole
C - Contrario
A - Astenuto Lx - Lista x
NV - Non votante
Legenda

Bilancio d'Esercizio al 31 dicembre 2021 e proposta di destinazione del risultato di esercizio: Destinazione del risultato di esercizio. Deliberazioni inerenti e conseguenti.
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 204.741.970 | 99,49938% | 74,80995% |
| Contrario | 517.360 | 0,25142% | 0,18904% |
| Astenuto | 206.739 | 0,10047% | 0,07554% |
| Non Votante | 306.035 | 0,14873% | 0,11182% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | F | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | F | |
| 1895 FONDS FGR | 16.454 | 0,008% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | F | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | F | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | F | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABB PENSION FUND | 500 | 0,000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | ||||
| EQUITY ENHANCED INDEX FUND | 16.513 | 0,008% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN | 13.079 | 0,006% | F | |
| EQUITY TRACKER FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | 2.032 | 0,001% | F | |
| ENHANCED INDEX FUND | ||||
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | F | |
| ABN AMRO FUNDS | 30.141 | 0,015% | F | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | F | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | F | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET | 5.355 | 0,003% | F | |
| ALLOCATION PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | 3.330 | 0,002% | F | |
| PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | F | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | F | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | F | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | F | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE | 852 | 0,000% | F | |
| SERVICES LIMITED | ||||
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | F | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | F | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | F | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | F | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | F | |
| Aktien Europa - UI | 6.384 | 0,003% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | F | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,004% | F |
Bilancio d'Esercizio al 31 dicembre 2021 e proposta di destinazione del risultato di esercizio: Destinazione del risultato di esercizio. Deliberazioni inerenti e conseguenti.

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani

| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | F |
|---|---|---|---|
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | F |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | F |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | F |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,018% | F |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | F |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | F |
| AMUNDI ACTIONS PME | 205.868 | 0,100% | F |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,025% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,056% | F | |
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,005% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,001% | F | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,011% | F | |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 6.076 | 0,003% | F | |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION | ||||
| SCIENTIFIC BETA | 687 | 0,000% | F | |
| AMUNDI INDEX MSCI EUROPE | 74.087 | 0,036% | F | |
| AMUNDI INDEX MSCI WORLD | 12.983 | 0,006% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 489 | 0,000% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 1.881 | 0,001% | F | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 883 | 0,000% | F | |
| AMUNDI MSCI EUROPE | 13.460 | 0,007% | F | |
| AMUNDI MSCI EUROPE CLIMATE PARIS ALIGNED PAB | 196 | 0,000% | F | |
| AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB | 1.318 | 0,001% | F | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 74 | 0,000% | F | |
| AMUNDI MSCI EUROPE EX UK | 139 | 0,000% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS AL.P.UM | 893 | 0,000% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS ALIG PAB | 1.869 | 0,001% | F | |
| AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 11.067 | 0,005% | F | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 16 | 0,000% | F | |
| AMUNDI PRIME EUROZONE | 5.068 | 0,002% | F | |
| AMUNDI RESA ACTIONS FRANCE | 88.100 | 0,043% | F | |
| AMUNDI REVENUS - ACTIONS HIGH DIV | 735 | 0,000% | F | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 76.186 | 0,037% | F | |
| AMUNDI SGR SPA / AMUNDI SVILUP PO ITALIA | 337.000 | 0,164% | F | |
| AMUNDI SIF Global Ethical Equities | 231 | 0,000% | F | |
| AMUNDI STOXX EUROPE 600 | 4.477 | 0,002% | F | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 13.141 | 0,006% | F | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 264 | 0,000% | F | |
| AMUNDI TRANSMISSION PATRIMOINE | 2.384 | 0,001% | F | |
| AMUNDI VALORE ITALIA PIR | 48.700 | 0,024% | F | |
| ANDRA AP-FONDEN | 36.924 | 0,018% | F | |
| ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST | 1.420 | 0,001% | F | |
| AON HEWITT COLLECTIVE INVESTMENT TRUST | 6.380 | 0,003% | F | |
| AON SAVINGS PLAN TRUST | 5.802 | 0,003% | F | |
| AP ACTIONS 1 EURO AP ACTIONS 3 MIN VOL |
8.665 2.565 |
0,004% 0,001% |
F F |
|
| APERTURE INTERNATIONAL EQUITY FUND | 26.452 | 0,013% | F | |
| API RETRAITE DIVERSIFIE | 36.271 | 0,018% | F | |
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | F | |
| AQR INNOVATION FUND, L.P. | 184 | 0,000% | F | |
| AQR STOCK SELECTION II MASTER ACCOUNT L.P. C/O AQR | ||||
| MANAGEMENT LLC | 264 | 0,000% | F | |
| AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC | 71 | 0,000% | F | |
| AQUARIUS INTERNATIONAL FUND | 774 | 0,000% | F | |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | F | |
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,060% | F | |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,010% | F | |
| ARGENTA DP | 43.850 | 0,021% | F | |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | F | |
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 55.292 | 0,027% | F | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | F | |
| ARPEGE ACTIONS | 1.500 | 0,001% | F | |
| ARRCO LONG TERME F | 47.791 | 0,023% | F | |
| ARRCO QUANT 1 | 10.271 | 0,005% | F | |
| ARRCO QUANT 2 | 17.676 | 0,009% | F | |
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,025% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,033% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,014% | F |


| AZ FUND 1 AZ ALLOCATION EUROPEAN DYNAMIC | 7.800 | 0,004% | F |
|---|---|---|---|
| AZ FUND 1 AZ ALLOCATION GLOBAL | 1.250 | 0,001% | F |
| AZ FUND 1 AZ ALLOCATION GLOBAL INCOME | 100.000 | 0,049% | F |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 87.500 | 0,043% | F |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 2.000 | 0,001% | F |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 38.500 | 0,019% | F |
| AZ FUND 1 AZ ALTERNATIVE CORE BRANDS | 90.000 | 0,044% | F |
| AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE | 5.000 | 0,002% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AZ FUND 1 AZ EQUITY BORLETTI GLOBAL LIFESTYLE | 150.000 | 0,073% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 7.625 | 0,004% | F | |
| AZIMUT STRATEGIC TREND | 220 | 0,000% | F | |
| AZIMUT TRADING | 220 | 0,000% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 1.945 | 0,001% | F | |
| AZL INTERNATIONAL INDEX FUND | 20.158 | 0,010% | F | |
| AZL MSCI GLOBAL EQUITY INDEX FUND | 1.545 | 0,001% | F | |
| BANCO BILBAO VIZCAYA ARGENTARIA SA | 10.666 | 0,005% | F | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 12.768 | 0,006% | F | |
| BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE | 1.448 | 0,001% | F | |
| FIDEICOMISO DE FOND O DE AHORRO DE PANAMA | ||||
| BANCOPOSTA EQUITY DEVELOPED COUNTRIES | 1.604 | 0,001% | F | |
| BANCOPOSTA GLOBAL EQUITY HEDGED LTE | 321 | 0,000% | F | |
| BANCOPOSTA GLOBAL EQUITY LTE | 473 | 0,000% | F | |
| BANCOPOSTA RINASCIMENTO | 14.536 | 0,007% | F | |
| BANK OF BOTSWANA. | 1.396 | 0,001% | F | |
| BANK OF KOREA | 112.603 | 0,055% | F | |
| BANSABADELL 18 FP | 365 | 0,000% | F | |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY | 1.883 | 0,001% | F | |
| FUND | ||||
| BEAR CREEK INC | 2.075 | 0,001% | F | |
| BEAT DRUGS FUND ASSOCIATION | 359 | 0,000% | F | |
| BEL EQUITY EUROPE ESG | 22.163 | 0,011% | F | |
| BELFIUS EQUITIES NV | 8.701 | 0,004% | F | |
| BELFIUS PENSION FUND BALANCED PLUS | 25.281 | 0,012% | F | |
| BELFIUS PENSION FUND HIGH | 79.211 | 0,038% | F | |
| BELFIUS PENSION FUND LOW EQUITIES | 10.754 | 0,005% | F | |
| BELL ATLANTIC MASTER TRUST | 691 | 0,000% | F | |
| BELL GLOBAL TRUST | 25.474 | 0,012% | F | |
| BELLEVUE FUNDS (LUX) - BB ENTREPRENEUR EUROPE SMALL | 10.552 | 0,005% | F | |
| BELLSOUTH CORP RFA VEBA TRUST | 2.800 | 0,001% | F | |
| BERENBERG ABSOLUTE RETURN EUROPEAN | 12.554 | 0,006% | F | |
| BERENBERG AKTIEN | 21.674 | 0,011% | F | |
| BERENBERG EUROPEAN FOCUS FUND | 665.492 | 0,323% | F | |
| BERENBERG EUROZONE FOCUS FUND | 94.350 | 0,046% | F | |
| BESSEMER TRUST CO CLEARING ACCT | 1.955 | 0,001% | F | |
| BEST BUSINESS MODELS SRI | 460.000 | 0,224% | F | |
| Best Investment Corporation | 2.311 | 0,001% | F | |
| BETURN | 10.374 | 0,005% | F | |
| BEWAARSTICHTING NNIP I | 2.983 | 0,001% | F | |
| BFT EURO FUTUR ISR | 7.250 | 0,004% | F | |
| BFT PARTNERS VIA EQUITY EUROPE SRI | 24.227 | 0,012% | F | |
| BI Aktienfonds | 3.196 | 0,002% | F | |
| BIMCOR OVERSEAS POOLED FUND | 21.207 | 0,010% | F | |
| BLACKROCK - IG INTERNATIONALEQUITY POOL | 500 | 0,000% | F | |
| BLACKROCK ADVANTAGE GLOBAL FUN | 282 | 0,000% | F | |
| BLACKROCK ADVANTAGE INTERNATIONAL FUND | 6.583 | 0,003% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 229.060 | 0,111% | F | |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 4.800 | 0,002% | F | |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 93.391 | 0,045% | F | |
| BLACKROCK CDN WORLD INDEX FUND | 10.012 | 0,005% | F | |
| BLACKROCK EUROFUND | 27.878 | 0,014% | F | |
| BLACKROCK FUND MANAGERS LTD | 11.179 | 0,005% | F | |
| BLACKROCK FUNDS I ICAV | 27.166 | 0,013% | F | |
| BLACKROCK GLOBAL FUNDS | 479.224 | 0,233% | F | |
| BLACKROCK GLOBAL INDEX FUNDS | 11.696 | 0,006% | F | |
| BLACKROCK INDEX SELECTION FUND | 139.296 | 0,068% | F | |
| BLACKROCK INSTITUTIONAL JERSEY FUNDS | 430 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 37.571 | 0,018% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | 1.746.749 | 0,849% | F | |
| FUNDS FOR EMPLOYEE BENEFIT TRUSTS | ||||
| BLACKROCK INTERNATIONAL ALPHA TILTS FUND | 2.598 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK | ||||
| VARIABLE SERIES FUNDS, INC. | 2.575 | 0,001% | F | |
| BLACKROCK LIFE LIMITED | 5.398 | 0,003% | F | |
| BLACKROCK LIFE LTD | 171.323 | 0,083% | F | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 41.254 | 0,020% | F | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | F | |
| BLACKROCK STRATEGIC FUNDS | 1.115 | 0,001% | F | |
| BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY FUND OF BLACKROCK FUNDS |
118 | 0,000% | F | |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND LIMITED |
23.740 | 0,012% | F | |
| BLK MAGI FUND A SERIES TRUST | 45 | 0,000% | F | |
| BLOOMBERG FINANCE L.P. | 148.344 | 0,072% | F | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | F | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX ETF |
1.444 | 0,001% | F | |
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,028% | F | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | F | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | F | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | F | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | F | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,031% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,048% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,009% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,003% | F | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,006% | F | |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 CAPPED | 100.000 | 0,049% | F | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | F | |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,005% | F | |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,008% | F | |
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,015% | F | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,012% | F | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 1.456 | 0,001% | F | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,003% | F | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | F | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | F | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,002% | F | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA |
4.893 | 0,002% | F | |
| BOC PENSION INVESTMENT FUND | 45.308 | 0,022% | F | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | F | |
| BP PENSION FUND | 3.370 | 0,002% | F | |
| BRIDGE BUILDER INTERNATIONAL | 9.810 | 0,005% | F | |
| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED RISKPORTFOLIO II |
8.687 | 0,004% | F | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO |
982 | 0,000% | F | |
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET PORTFOLIO |
4.233 | 0,002% | F | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | F | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | F | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR FIDELITY FUNDS - ITALY |
231.446 | 0,112% | F | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | F | |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | F | |
| BT INTERNATIONAL SHARES INDEX FUND | 18.884 | 0,009% | F | |
| BT PENSION SCHEME. | 123.868 | 0,060% | F | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,002% | F | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 884 | 0,000% | F | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 5.207 | 0,003% | F | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 19.498 | 0,009% | F | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,082% | F | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CALCIUM QUANT CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM |
7.645 205.374 |
0,004% 0,100% |
F F |
|
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,000% | F | |
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,044% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,005% | F | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 1.629 | 0,001% | F | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 51.459 | 0,025% | F | |
| CANADIAN BROADCASTING CORPORATION | 9.177 | 0,004% | F | |
| CANADIAN WORLD FUND LIMITED . | 22.000 | 0,011% | F | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | F | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | F | |
| CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST | 64.910 | 0,032% | F | |
| CAPITAL INTERNATIONAL FUND | 7.623 | 0,004% | F | |
| CAPITAL WORLD GROWTH AND INCOME FUND | 2.567.919 | 1,248% | F | |
| CARDIF BNPP IP SMID CAP EURO | 106.666 | 0,052% | F | |
| CARDIF BNPP IP SMID CAP EUROPE | 40.970 | 0,020% | F | |
| CARPIMKO ACTIONS LO | 110.786 | 0,054% | F | |
| CATHAY LIFE INSURANCE CO LTD | 373.015 | 0,181% | F | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 453 | 0,000% | F | |
| CAVOM DIVERSIFIE - POCHE ACT | 3.834 | 0,002% | F | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 1.019 | 0,000% | F | |
| CBIS GLOBAL FUNDS PUBLIC LTD CO | 9.236 | 0,004% | F | |
| CBP GROWTH SMC | 20.212 | 0,010% | F | |
| CC AND L Q 130/30 FUND II CC AND L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD |
319 2.628 |
0,000% 0,001% |
F F |
|
| CC AND L Q MARKET NEUTRAL FUND | 926 | 0,000% | F | |
| CC AND L Q MARKET NEUTRAL FUND II | 484 | 0,000% | F | |
| CC&L GLOBAL EQUITY FUND | 12 | 0,000% | F | |
| CC&L MULTI-STRATEGY FUND | 308 | 0,000% | F | |
| CC&L Q 130/30 FUND II | 12 | 0,000% | F | |
| CC&L Q EQUITY EXTENSION FUND | 38 | 0,000% | F | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 46 | 0,000% | F | |
| Central Bank of Ireland | 1.525 | 0,001% | F | |
| CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATIN | ||||
| ICIPATING EMPLOYERS | 12.295 | 0,006% | F | |
| CENTRAL PROVIDENT FUND BOARD | 526 | 0,000% | F | |
| CERVURITE INTERNATIONAL LLC | 10.806 | 0,005% | F | |
| CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | 3.274 | 0,002% | F | |
| CHEVRON MASTER PENSION TRUST | 77.866 | 0,038% | F | |
| CHEVRON UK PENSION PLAN. | 1.299 | 0,001% | F | |
| CHRISTIAN SUPER | 561 | 0,000% | F | |
| CHRISTOPHER J MILLERCHIP | 32 | 0,000% | F | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 942 | 0,000% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH INDEX ETF | 5.716 | 0,003% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH | 1.075 | 0,001% | F | |
| VARIABLY HEDG INDEX ETF | ||||
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | F | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | F | |
| CIBC INTERNATIONAL INDEX FUND CIBC POOLED INTERNATIONAL EQUITY INDEX FUND |
12.163 330 |
0,006% 0,000% |
F F |
|
| CINDY SPRINGS LLC | 14.524 | 0,007% | F | |
| CIPAV DIVERSIFIE - POCHE ACTIO | 21.685 | 0,011% | F | |
| CIT_WLDEXUS130 - NON FLIP | 5.291 | 0,003% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) EUROP | 201.667 | 0,098% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) INTER | 13.123 | 0,006% | F | |
| CITITRUST LIMITED | 4.805 | 0,002% | F | |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS | ||||
| BLACKROCK WORLD EQUITY INDEX FUND | 1.702 | 0,001% | F | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 16.338 | 0,008% | F | |
| CITY OF MILWAUKEE EMPLOYEES RETIREMENT SYSTEM | 11.678 | 0,006% | F | |
| CITY OF NEW YORK GROUP TRUST | 368.864 | 0,179% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 12.387 | 0,006% | F | |
| CITY UNIVERSITY OF NEW YORK | 281 | 0,000% | F | |
| Civil Service Employees Pension Fund | 2.500 | 0,001% | F | |
| CLASS N AHL ALPHA 2.5XL EUR TRADING LIMITED. | 9.323 | 0,005% | F | |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,004% | F | |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,009% | F | |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | F | |
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,175% | F | |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | F | |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,029% | F | |
| CM-CIC SICAV | 318.134 | 0,155% | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 1.023 | 0,000% | F | |
| CNP ASSUR SMID CAP EUROPE | 10.779 | 0,005% | F | |
| COGEFI ELIXIR ISR | 2.330 | 0,001% | F | |
| COLLEGE RETIREMENT EQUITIES FUND | 1.845.499 | 0,897% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,003% | F | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,005% | F | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE | 378.857 | 0,184% | F | |
| OPPORTUNITIES | ||||
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER COMPANIES |
652.667 | 0,317% | F | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP | ||||
| MORGAN CHASE BANK, N.A. | 95.326 | 0,046% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 3.826 | 0,002% | F | |
| COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC | 12.722 | 0,006% | F | |
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,002% | F | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR | 2.930 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR |
22.588 | 0,011% | F | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,001% | F | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR | 41.653 | 0,020% | F | |
| ARIA | ||||
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | F | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,019% | F | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,048% | F | |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 7.304 | 0,004% | F | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | F | |
| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,012% | F | |
| CORNELL UNIVERSITY | 819 | 0,000% | F | |
| CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND | 7.380 | 0,004% | F | |
| CORONATION GLOBAL OPPORTUNITIES FUND | 10.962 | 0,005% | F | |
| COSMIC INVESTMENT FUND | 48.529 | 0,024% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | F | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES | 2.313 | 0,001% | F | |
| CORPORATE SERVICES LTD | ||||
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,027% | F | |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | F | |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | F | |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,003% | F | |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,049% | F | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH |
156.446 | 0,076% | F | |
| QUALITY GROWTH EQUITY MOT | 4.197.287 | 2,040% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND | 3.855 | 0,002% | F | |
| TECHNOLOGY AGENCY 16619-9962 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & | ||||
| BANKING CO., LTD. AS TRUSTEE FOR INTERNATI | 23.707 | 0,012% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO | 63.515 | 0,031% | F | |
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH | ||||
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT | 25.400 | 0,012% | F | |
| GLOBAL GROWTH EQUITY MOTHE CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER |
||||
| FUND II | 632 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | ||||
| MOTHER FUND(CURRENCY HEDGED) | 2.435 | 0,001% | F | |
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES | 9.878 | 0,005% | F | |
| (BVI) LIMITED | ||||
| CYSTIC FIBROSIS FOUNDATION | 7.321 | 0,004% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND | 81 | 0,000% | F | |
| L | ||||
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | F | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | F | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | F | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | F | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | F | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | F | |
| DBI-FONDS EBB | 2.399 | 0,001% | F | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | F | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | F | |
| DEAM FONDS ZDV | 3.329 | 0,002% | F | |
| DEAM-FONDS CPT | 1.596 | 0,001% | F | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO | ||||
| FUND | 6.200 | 0,003% | F | |
| DEKA-MASTER HAEK I | 12.525 | 0,006% | F | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | F | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | F | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | F | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | F | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | F | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O | ||||
| KESWICK MANAGEMENT | 779 | 0,000% | F | |
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | F | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | F | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | F | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
| DPAM B | 241.864 | 0,118% | F | |
| DPAM DBI RDT | 11.907 | 0,006% | F | |
| DPAM L | 4.150 | 0,002% | F | |
| DT EQUITY | 7.407 | 0,004% | F | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING |
113.859 10.716 |
0,055% 0,005% |
F F |
|
| DUPONT PENSION TRUST | 23.663 | 0,011% | F | |
| DUPONT PENSION TRUST | 42.808 | 0,021% | F | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN | ||||
| EQUITY FUND) | 2.079 | 0,001% | F | |
| DWS GLOBAL SMALL CAP FUND | 26.722 | 0,013% | F | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | F | |
| DWS INVEST | 900 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | F | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | F | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | F | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | F | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | F | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,019% | F | |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | F | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | F | |
| DYNASTY INVEST LTD | 361 | 0,000% | F | |
| EAST RIDING PENSION FUND | 117.283 | 0,057% | F | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | F | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | F | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | F | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | F | |
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP | 3.515 | 0,002% | F | |
| COMMON TR | ||||
| EBK-AKTIEN-UNIVERSAL-FONDS | 18.173 | 0,009% | F | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | F | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | F | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | F | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | F | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | F | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,009% | F | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | F | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | F | |
| EMBO-FONDS | 5.813 | 0,003% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | F | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | F | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | F | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | F | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | F | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | F | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | F | |
| EPS | 2.669 | 0,001% | F | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 | 946 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 | 1.236 | 0,001% | F | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 4.988 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
1.187 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | 5.002 | 0,002% | F | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY |
6.291 | 0,003% | F | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED |
||||
| VOLATILITY PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY |
9.008 | 0,004% | F | |
| PORTFOLIO | 24.816 | 0,012% | F | |
| EQUIPSUPER | 16.691 | 0,008% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 1.952 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER | 544.610 | 0,265% | F | |
| FUND | ||||
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | F | |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | F | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO |
3.182 10.304 |
0,002% 0,005% |
F F |
|
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,084% | F | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,006% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,033% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,040% | F | |
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 7.817 | 0,004% | F | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,005% | F | |
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | F | |
| EUROPEAN CENTRAL BANK | 22.272 | 0,011% | F | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | 45.984 | 0,022% | F | |
| MASTER TRUST | ||||
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST EXELON FITZPATRICK QUALIFIED FUND |
139.220 872 |
0,068% 0,000% |
F F |
|
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | F | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | F | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL | ||||
| LP | 154.615 | 0,075% | F | |
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,023% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED |
5.627 | 0,003% | F | |
| INTERNATIONALFUND | 3.442 | 0,002% | F | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | F | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | F | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | F | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | F | |
| FCP BOURBON 7 | 20.180 | 0,010% | F | |
| FCP CARPIMKO EUROPE | 11.386 | 0,006% | F | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | F | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,008% | F | |
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,005% | F | |
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,003% | F | |
| FCP SODIUM I FDC A2 TITRES |
17.051 5.962 |
0,008% 0,003% |
F F |
|
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,002% | F | |
| FDF2 ALL IN ONE | 800 | 0,000% | F | |
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | F | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | F | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | F | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | F | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED | 58.400 | 0,028% | F | |
| POOL | ||||
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS FIDDLER PARTNERS LLC. |
342.300 93 |
0,166% 0,000% |
F F |
|
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX | ||||
| FUND | 495.003 | 0,241% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND |
3.716 | 0,002% | F | |
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND | 58.667 | 0,029% | F | |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY FOUNDERS INVESTMENT TRUST | 33.300 | 0,016% | F | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | F | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,033% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,022% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,012% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,040% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,007% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,008% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 0,826% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F | |
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,231% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,006% | F | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 198.038 | 0,096% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,033% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,035% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
59.913 | 0,029% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
24.219 | 0,012% | F | |
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 419.702 | 0,204% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | F | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | F | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF BALTIMORE |
12.966 | 0,006% | F | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | F | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,001% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | F | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | F | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,001% | F | |
| FJARDE AP-FONDEN. | 27.645 | 0,013% | F | |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND |
1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
3.696 | 0,002% | F | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 1.300 | 0,001% | F | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | F | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | F | |
| FLOURISH INVESTMENT CORPORATION | 366.913 | 0,178% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F |

| FMR CAPITAL INC | 300 | 0,000% | F |
|---|---|---|---|
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | F |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,000% | F |
| FONDITALIA | 201.000 | 0,098% | F |
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,029% | F |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,001% | F |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | F |
| FONSOLBANK FP | 201 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,002% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 503 | 0,000% | F | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | F | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,004% | F | |
| FOREST FOUNDATION | 94 | 0,000% | F | |
| FORSTA AP - FONDEN | 45.427 | 0,022% | F | |
| FOVERUKA PENSION UNIVERSAL | 6.566 | 0,003% | F | |
| FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES | 130.000 | 0,063% | F | |
| FND | ||||
| FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND | 9.341 | 0,005% | F | |
| FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL | 710 | 0,000% | F | |
| FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 2.332 | 0,001% | F | |
| FRANK RUSSELL INVESTMENT CO II PLC | 6.218 | 0,003% | F | |
| FRANKLIN FTSE EUROPE EX U.K. INDEX ETF | 1.771 | 0,001% | F | |
| FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF | 165 | 0,000% | F | |
| FRANKLIN LIBERTYSHARES ICAV | 1.212 | 0,001% | F | |
| FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND | 99.148 | 0,048% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 3.672 | 0,002% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF | 432 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 2.037 | 0,001% | F | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY ETF |
208 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY HEDG |
864 | 0,000% | F | |
| FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 74 | 0,000% | F | |
| FULCRUM UCITS SICAV | 1.638 | 0,001% | F | |
| FUNDACAO CALOUSTE GULBENKIAN | 1.279 | 0,001% | F | |
| FUNDO DE PENSOES. | 1.850 | 0,001% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR | 24.261 | 0,012% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF | 48.223 | 0,023% | F | |
| FUTURE F. FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE |
||||
| MEDI | 5.578 | 0,003% | F | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 6.195 | 0,003% | F | |
| G.A.-FUND-B - WORLD EQUITIES | 2.169 | 0,001% | F | |
| GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY | 8.632 | 0,004% | F | |
| GAM MULTISTOCK | 345.315 | 0,168% | F | |
| GAM STAR FUND PLC | 552.141 | 0,268% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 196.190 | 0,095% | F | |
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA | 10.222 | 0,005% | F | |
| GENERALI INVESTMENTS SICAV | 1.830 | 0,001% | F | |
| GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS | 34.000 | 0,017% | F | |
| GENERALI ITALIA SPA | 26.722 | 0,013% | F | |
| GENERALI SMART FUNDS | 15.413 | 0,007% | F | |
| GENERALI VIE | 134.803 | 0,066% | F | |
| GERANA SICAV-SIF, S.A. | 53.252 | 0,026% | F | |
| GIC PRIVATE LIMITED | 18.988 | 0,009% | F | |
| GID-FONDS ALAET | 40.240 | 0,020% | F | |
| GID-FONDS CEAOT | 68.126 | 0,033% | F | |
| GID-FONDS DLAET | 6.220 | 0,003% | F | |
| GIN S.R.L. | 11666950966 | 779.732 | 0,379% | F |
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,003% | F | |
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES LIMIT |
5.009 | 0,002% | F | |
| GLG PARTNERS LP | 8.509 | 0,004% | F | |
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | F | |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | 650 | 0,000% | F | |
| PORTFOLIO GLOBAL BOND FUND WAYCROSSE INC |
6.277 | 0,003% | F | |
| Global Equities Enhanced Index fund | 10.439 | 0,005% | F | |
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 2,438% | F | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | F | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,069% | F | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | F | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | F | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE | ||||
| E | 851 | 0,000% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA | 109.577 | 0,053% | F | |
| INTERNAT | ||||
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN SACHS AND CO |
5.568 | 0,003% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA | ||||
| INTERNATIO | 4.735 | 0,002% | F | |
| GOLDMAN SACHS FUNDS | 1.024.289 | 0,498% | F | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA | 1.919 | 0,001% | F | |
| FUND | ||||
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | F | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | F | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | F | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,057% | F | |
| GR-AVENIR | 1.000 | 0,000% | F | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | F | |
| GRD 12 ACTIONS | 35.360 | 0,017% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | F | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | F | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | F | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | F | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | F | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | F | |
| HALEVY A1 | 35.923 | 0,017% | F | |
| HALEVY A2 | 36.004 | 0,017% | F | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | F | |
| HANG SENG INSURANCE COMPANY LIMITED | 1.447 | 0,001% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | F | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | F | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | F | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | F | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
11.101 | 0,005% | F | |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | F | |
| HC RENTE | 1.558 | 0,001% | F | |
| Helium Alpha | 3.829 | 0,002% | F | |
| Henderson Eurotrust plc | 137.894 | 0,067% | F | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | F | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | F | |
| HESTA | 506.496 | 0,246% | F | |
| HI-172915-Fonds | 1.508 | 0,001% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT |
58.991 | 0,029% | F | |
| EXCHANGE | 200.034 | 0,097% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION | ||||
| GOVERNMENTEXCHANGE FUND | 4.426 | 0,002% | F | |
| HOSTPLUS POOLED SUPERANNUATION TRUST | 17.065 | 0,008% | F | |
| HRW TESTAMENTARY TRUST NO 2 | 855 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO 3. | 1.326 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO. 11. | 995 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 1.853 | 0,001% | F |


| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | F |
|---|---|---|---|
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | F |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN |
18.885 | 0,009% | F |
| INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 44.059 | 0,021% | F |
| INTERFUND SICAV | 15.000 | 0,007% | F |
| INTERNATIONAL ALPHA TILTS FUND B (INTLTB) | 1.149 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | F | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | F | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | F | |
| INTERNATIONAL EQUITY FUND LLC | 1.343 | 0,001% | F | |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | F | |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | F | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 789 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND | 12.591 | 0,006% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT |
214 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 828 | 0,000% | F | |
| INTERNATIONAL OPPORTUNITY FUND I | 66.547 | 0,032% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND | ||||
| (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | 3.936 | 0,002% | F | |
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | F | |
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT PORTFO |
1.363 | 0,001% | F | |
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | F | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | F | |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | F | |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | F | |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | F | |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | F | |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | F | |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | F | |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | F | |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | F | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | F | |
| INVESCO FUNDS | 1.680 | 0,001% | F | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | F | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | F | |
| INVESCO MARKETS III PLC | 41 | 0,000% | F | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | F | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | F | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,002% | F | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER AKK KL |
1.741 | 0,001% | F | |
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE | 1.947 | 0,001% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS | 3.898 | 0,002% | F | |
| INTERNATIONALE AKTIER - ETISK TILVALG | ||||
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
1.225 | 0,001% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL |
6.696 | 0,003% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 4.232 | 0,002% | F | |
| INVESTITORI EUROPA | 3.300 | 0,002% | F | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | F | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | F | |
| IP ACTIONS EURO | 3.877 | 0,002% | F | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE | 469 | 0,000% | F | |
| STRATEGY NO.1 IPROFILE INTERNATIONAL EQUITY PRIVATE POOL |
6.337 | 0,003% | F | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,002% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 3.453 | 0,002% | F | |
| IQ HEALTHY HEARTS ETF | 559 | 0,000% | F | |
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,009% | F | |
| IRISH LIFE ASSURANCE PLC | 94.732 | 0,046% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| IRISH LIFE ASSURANCE. | 22.012 | 0,011% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF ISHARES CORE MSCI EAFE IMI INDEX ETF |
1.100.037 48.266 |
0,535% 0,023% |
F F |
|
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,044% | F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,036% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 214.092 | 0,104% | F | |
| ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS ETF | ||||
| DE | 17.245 | 0,008% | F | |
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF | 22.359 | 0,011% | F | |
| ISHARES EDGE MSCI INTL QUALITY FACTOR ETF | 143.992 | 0,070% | F | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,005% | F | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 1.618 | 0,001% | F | |
| ISHARES EURO STOXX UCITS ETF (DE) | 88.412 | 0,043% | F | |
| ISHARES EUROPE ETF | 40.489 | 0,020% | F | |
| ISHARES GLOBAL CONSUMER DISCRETIONARY ETF | 12.789 | 0,006% | F | |
| ISHARES II PUBLIC LIMITED COMPANY | 91.277 | 0,044% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,122% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,153% | F | |
| ISHARES MSCI ACWI ETF | 42.539 | 0,021% | F | |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,018% | F | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,003% | F | |
| ISHARES MSCI EAFE ETF | 676.406 | 0,329% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,124% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,052% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 4.787 | 0,002% | F | |
| ISHARES MSCI EUROZONE ETF | 243.059 | 0,118% | F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 267 | 0,000% | F | |
| ISHARES MSCI ITALY ETF | 219.619 | 0,107% | F | |
| ISHARES MSCI KOKUSAI ETF | 615 | 0,000% | F | |
| ISHARES MSCI WORLD ETF | 7.193 | 0,003% | F | |
| ISHARES PUBLIC LIMITED COMPANY | 182.059 | 0,088% | F | |
| ISHARES STOXX EUROPE 600 PERSONALHOUSEHOLD GOODS UCITS ETF | 24.310 | 0,012% | F | |
| DE | ||||
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 141.793 | 0,069% | F | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 52.632 | 0,026% | F | |
| ISHARES V PUBLIC LIMITED COMPANY | 39.924 | 0,019% | F | |
| ISHARES VI PUBLIC LIMITED COMPANY | 72.641 | 0,035% | F | |
| ISHARES VII PLC | 192.179 | 0,093% | F | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 18.950 | 0,009% | F | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 1.497 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 2.211 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND ESG EQUITY INDEX FUND (CH) | 4.360 | 0,002% | F | |
| Islamic Development Bank | 913 | 0,000% | F | |
| IVY PROSHARES MSCI ACWI INDEX FUND | 166 | 0,000% | F | |
| JAMES B. HAWKES | 997 | 0,000% | F | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | F | |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 287 | 0,000% | F | |
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,001% | F | |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | F | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES | ||||
| FUND | 1.501 | 0,001% | F | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,012% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES LLC |
97 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 | 0,000% | F | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,014% | F | |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND | 333 | 0,000% | F | |
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 1.189 | 0,001% | F |

| JNL/JPMORGAN GLOBAL ALLOCATION FUND 476 0,000% F JNL/MELLON MSCI WORLD INDEX FUND 1.306 0,001% F JNL/TROWE PRICE BALANCED FUND 8.869 0,004% F JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY 12.252 0,006% F ALLOCATION FUND JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND 36.431 0,018% F JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. 2.383.446 1,158% F JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY 474 0,000% F JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY 10.999 0,005% F JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF 13.247 0,006% F JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST 830 0,000% F JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY 7.601 0,004% F INDEX TRUST. JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION 33.254 0,016% F TRUST JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN 57.962 0,028% F JPMORGAN ACCESS BALANCED FUND 514 0,000% F JPMORGAN ACCESS GROWTH FUND 670 0,000% F JPMORGAN BETABUILDERS EUROPE ETF 221.051 0,107% F JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF 39.332 0,019% F JPMORGAN GLOBAL ALLOCATION FUND 1.489 0,001% F JTW TRUST NO. 1 UAD 9/19/02. 696 0,000% F JTW TRUST NO. 2 UAD 9/19/02. 1.167 0,001% F JTW TRUST NO. 3 UAD 9/19/02. 1.188 0,001% F JTW TRUST NO. 4 UAD 9/19/02. 1.385 0,001% F JTW TRUST NO. 5 UAD 9/19/02. 732 0,000% F K INVESTMENTS SH LIMITED. 19.004 0,009% F KAIROS INTERNATIONAL SICAV ITALIA 74.000 0,036% F KAIROS INTERNATIONAL SICAV ITALIA PIR 5.000 0,002% F KAIROS INTERNATIONAL SICAV PATRIOT 2.000 0,001% F KAISER FOUNDATION HOSPITALS 6.067 0,003% F KAISER PERMANENTE GROUP TRUST 9.965 0,005% F KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING 1.623 0,001% F DANICA LINK - INDEKS GLOBALE AKTIER KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III 13.054 0,006% F KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE 7.928 0,004% F INDENYKREDIT PORTEFOELJE ADMINISTRATION AS KAPITALFORENINGEN PENSAM INVEST, PSI 2 GLOBALE AKTIER 2 29.386 0,014% F KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 11.644 0,006% F KAPITALFORENINGEN SPARINVEST VERDENS INDEKS ETISK 2.728 0,001% F KIEGER UCITS FUND 14.982 0,007% F KINSTED GLOBAL EQUITY POOL 59.251 0,029% F Kiwi Investment Management Screened Global Equity Index Fund 517 0,000% F KNOWLEDGE LEADERS DEVELOPED WO 13.578 0,007% F KOKUSAI EQUITY INDEX FUND 6.832 0,003% F KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL 145.559 0,071% F EQUITY MASTER INVESTMENT TRUST 3 KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DM PRIVATE 3.454 0,002% F EQUITY MASTER INVESTMENT TRUST KUTXABANK GESTION SGIIC, S.A. 210.135 0,102% F LABORFONDS - FONDO PENSIONE COMPLEMENTARE LAVORATORI 18.222 0,009% F DIPENDENTIOPERANTI IN TRENT LACM GLOBAL EQUITY FUND LP 6.195 0,003% F LACM WORLD EQUITY - DIVIDEND GROWTH CIT 5 0,000% F LACM WORLD EQUITY - WEALTH BUILDER CIT 13 0,000% F LATVIJAS BANKA 2.798 0,001% F LAUDUS INTERNATIONAL MARKETMASTERS FUND 4.685 0,002% F Law Debenture Corporation PLC(The) 38.874 0,019% F LBPAM DIVERSIFIE FOCUS OBLIG 3 5 2.627 0,001% F LBPAM IRC ACTIONS ISR 23.836 0,012% F LBPAM ISR ACTIONS 80 7.852 0,004% F LBPAM ISR ACTIONS EUR FO EMER 49.441 0,024% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| LBPAM ISR ACTIONS EURO LARGE CAP | 9.660 | 0,005% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LBPAM ISR ACTIONS EUROPE MONDE | 6.465 | 0,003% | F | |
| LBPAM ISR ACTIONS MONDE | 21.030 | 0,010% | F | |
| LBPAM ISR AVENIR EURO | 782 | 0,000% | F | |
| LBPAM ISR STRATEGIE PEA 1 | 1.405 | 0,001% | F | |
| LBPAM ISR STRATEGIE PEA 2 | 2.024 | 0,001% | F | |
| LCL ACTIONS EURO CORE+ | 7.185 | 0,003% | F | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 4.476 | 0,002% | F | |
| LCL ACTIONS MONDE HORS EUROPE EURO | 16.975 | 0,008% | F | |
| LEFEVI S.R.L. | 11656180962 | 711.507 | 0,346% | F |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,005% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | F | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY FOC |
71.955 | 0,035% | F | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES FUND | 19.163 | 0,009% | F | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 82 | 0,000% | F | |
| LEGAL & GENERAL REAL CAPITAL BUILDER FUND | 29.340 | 0,014% | F | |
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) | ||||
| LIMITED | 197.353 | 0,096% | F | |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | F | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | F | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,018% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,057% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | F | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | F | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | F | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | F | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE EUROPEA |
196.807 | 0,096% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE GLOBAL EQUITY INCOME FUND |
40.520 | 0,020% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE EUROPEAN UNCONSTRAINED FUND |
284.585 | 0,138% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE | 110.445 | 0,054% | F | |
| GLOBAL RAINED FUND LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS |
267.025 | 0,130% | F | |
| UMBRELLA LGIASUPER |
10.474 | 0,005% | F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,016% | F | |
| LGT SELECT FUNDS | 375 | 0,000% | F | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,004% | F | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | F | |
| LIONTRUST INVESTMENT FUNDS I | 70.000 | 0,034% | F | |
| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,007% | F | |
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | F | |
| LO Funds - All Roads | 9.683 | 0,005% | F | |
| LO Funds - All Roads Conservative | 655 | 0,000% | F | |
| LO Funds - All Roads Growth | 3.757 | 0,002% | F | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,029% | F | |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS | 42.392 | 0,021% | F | |
| MASTER TR LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST |
90.855 | 0,044% | F | |
| LOF TargetNetZero Europe Equity | 1.005 | 0,000% | F | |
| LOF WORLD BRANDS | 173.000 | 0,084% | F | |
| LOIS (CH) GLOBAL EQUITIES TRACKER+ ESG | 303 | 0,000% | F | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 7.148 | 0,003% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 188 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 19.238 | 0,009% | F | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 39.933 | 0,019% | F | |


| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,005% | F |
|---|---|---|---|
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,093% | F |
| MANULIFE INVESTMENT MANAGEMENT I PLC | 27.279 | 0,013% | F |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX | |||
| POOLED FUND | 7.719 | 0,004% | F |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 11.035 | 0,005% | F |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,000% | F |
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR | ||||
| PARTICIPANT DIRECTED ACCOUNTS | 39.739 | 0,019% | F | |
| MARS S.R.L. | 11666960965 | 779.732 | 0,379% | F |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O | 1.802.175 | 0,876% | F | |
| MARSHALL WACE IRELAND LTD | ||||
| MARTIN CURRIE GLOBAL LONG-TERM UNCONSTRAINED FUND | 8.750 | 0,004% | F | |
| MARTIN CURRIE GLOBAL PORTFOLIO TRUST PLC | 303.129 | 0,147% | F | |
| MARTIN CURRIE INTERNATIONAL UNCONSTRAINED EQUITY FUND | 29.721 | 0,014% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 17.987 | 0,009% | F | |
| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | F | |
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,020% | F | |
| MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN AIRLINES, INC, US AIRW |
12.444 | 0,006% | F | |
| MASTERS I LLC | 879 | 0,000% | F | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | F | |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,001% | F | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | F | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 10.519 | 0,005% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 380.000 | 0,185% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,058% | F | |
| MELCHIOR EURO OPP | 176.178 | 0,086% | F | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | F | |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,002% | F | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | F | |
| MERCER QIF CCF | 57.661 | 0,028% | F | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | F | |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | F | |
| MERCY INVESTMENT SERVICES INC | 951 | 0,000% | F | |
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | F | |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,005% | F | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,013% | F | |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,015% | F | |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | F | |
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,013% | F | |
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | F | |
| MGI FUNDS PLC | 11.427 | 0,006% | F | |
| MI - FONDS K12 | 11.854 | 0,006% | F | |
| MI - FONDS K14 | 36.000 | 0,017% | F | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | 281 | 0,000% | F | |
| REEVES TTEE PO BOX | ||||
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | F | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | F | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 30 MIGROS BANK (LUX) FONDS 40 (EUR) |
540 760 |
0,000% 0,000% |
F F |
|
| MIGROS BANK (LUX) FONDS 50 | 730 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 510 | 0,000% | F | |
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | F | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | F | |
| MLC INVESTMENTS, MLC LIMITED | 18.086 | 0,009% | F | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | F | |
| MML STRATEGIC EMERGING MARKETS FUND | 595 | 0,000% | F | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | F | |
| MONCEAU ACTIONS EEE | 16.990 | 0,008% | F | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,014% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,186% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 54.012 | 0,026% | F | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,170% | F | |
| MORAINE MASTER FUND LP CO FALCON EDGE CAPITAL, LP | 421.022 | 0,205% | F | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | F | |
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,377% | F |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO 4.361.926 2,120% F MORG ST INTERNATIONAL EQUITY PORTFOLIO 667.639 0,324% F MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO 1.942.734 0,944% F MORGAN STANLEY EUROPE OPPORTUNITY FUND INC 264.491 0,129% F MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST 975 0,000% F PORTFOLIO MORGAN STANLEY INVESTMENT FUNDS 32.761 0,016% F MORGAN STANLEY PATHWAY FUNDS 4.198 0,002% F MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL 189 0,000% F 1.804 0,001% F 2.713 0,001% F 9.298 0,005% F 129 0,000% F MSCI EQUITY INDEX FUND B - ITALY (MSITB) 92.584 0,045% F MTAA SUPERANNUATION FUND 35.090 0,017% F MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND 23.490 0,011% F 14.900 0,007% F MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED 45.755 0,022% F MUGUET VENTURES LLC 250 0,000% F MUL- LYX FTSE IT ALL CAP PIR 4.088 0,002% F MUL-LYX NET ZERO 2050 SP 7.035 0,003% F MUL-LYX NET ZERO 50 223.303 0,109% F MUL-LYXOR MSCI EMU ESG LEADERS 2.751 0,001% F MUL-LYXOR MSCI WORLD CLIMATE 866 0,000% F MUL-LYXOR MSCI WORLD ESG LEADE 4.911 0,002% F MULTI STYLE MULTI MANAGER FUNDSPLC 53.342 0,026% F MULTI UNITS LUX-LYXOR CORE MSC 13.880 0,007% F MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO 219 0,000% F MUNICIPAL EMPLOYEES PENSION PLAN 72.164 0,035% F MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM 7.531 0,004% F MUSASHI SMART PREMIA FUND 6.244 0,003% F NATIONAL BANK FINANCIAL INC 594 0,000% F NATIONAL COUNCIL FOR SOCIAL SEC FUND 4.114 0,002% F NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC 53.403 0,026% F NATIONAL COUNCIL FOR SOCIAL SECURITY FUND. 110.744 0,054% F 5.202 0,003% F 3.400 0,002% F 70.569 0,034% F 1.457 0,001% F 15.524 0,008% F 92.122 0,045% F 321.625 0,156% F 271.608 0,132% F 154.869 0,075% F ST. JAMES'S PLACE 6.350 0,003% F ST. JAMES'S PLACE NAV CANADA PENSION PLAN 2.980 0,001% F NAVIGERA AKTIE 2 273.738 0,133% F NBIMC EAFE EQUITY INDEX FUND. 5.642 0,003% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| STRATEGI ST PORTFOLIO | |||||
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | |||||
| MOTHER CABRINI HEALTH FOUNDATION, INC. | |||||
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | |||||
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | |||||
| MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND | |||||
| NATIONAL ELEVATOR INDUSTRY HEALTH BENEFIT PLAN | |||||
| NATIONAL PENSION INSURANCE FUND | |||||
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | |||||
| NATIONAL TREASURY MANAGEMENT AGCY | |||||
| NATIONWIDE INTERNATIONAL INDEX FUND | |||||
| NATIXIS INTERNATIONAL FUNDS (LUX) I | |||||
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | |||||
| NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT TRUST |
|||||
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF | |||||
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF | |||||
| NCB CAPITAL COMPANY | 7.104 | 0,003% | F |

| NEF EURO EQUITY | 159.607 | 0,078% | F |
|---|---|---|---|
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | F |
| NEMOURS FOUNDATION | 184 | 0,000% | F |
| NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT | |||
| GENERATION CONNECTED CONSUMER | 2.907 | 0,001% | F |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | F |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | F |

| OFP DUPONT EUROPEAN PENSION FUND | 13.027 | 0,006% | F |
|---|---|---|---|
| OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED RETURNS | 101 | 0,000% | F |
| FUND | |||
| ONCOR RETIREMENT PLAN TRUST | 5.254 | 0,003% | F |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 19.601 | 0,010% | F |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | F |
| OPTIMUM GESTION DE PLACEMENTS INC | 5.630 | 0,003% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ORANO DIVERSIFIE EQUILIBRE | 4.412 | 0,002% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 22.106 | 0,011% | F | |
| OSMOSIS UCITS CCF | 3.495 | 0,002% | F | |
| OVERSEAS GROWTH INVESTMENT FUNDS ICVC EUROPEAN GROWTH | ||||
| FUND | 11.312 | 0,005% | F | |
| PACE INTERNATIONAL EQUITY INVESTMENTS | 25.460 | 0,012% | F | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | F | |
| PACIFIC SELECT FUND EMERGING MARKETS PORTFOLIO | 8.791 | 0,004% | F | |
| PALATINE ENTREPRISES FAMILIALES ISR | 27.100 | 0,013% | F | |
| PALATINE FRANCE MIDCAP FCP | 19.000 | 0,009% | F | |
| PANAGORA ASSET MANAGEMENT INC. - DYNAMIC INTERNATIONAL | 64 | 0,000% | F | |
| EQUI | ||||
| PANAGORA GROUP TRUST | 1.758 | 0,001% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | F | |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F | |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER FUND |
428 | 0,000% | F | |
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | F | |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,065% | F | |
| PEOPLE'S BANK OF CHINA | 190.071 | 0,092% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PERVALOR - ACTIONS | 1.150 | 0,001% | F | |
| PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 787 | 0,000% | F | |
| PF EMERGING MARKETS FUND | 962 | 0,000% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F | |
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,004% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,000% | F | |
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | F | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 370 | 0,000% | F | |
| PICTON MAHONEY LONG SHORT EQUITY FUND C/O PICTON | ||||
| MAHONEY ASSET MANAGEMENT ACTING AS MANAGER | 2.500 | 0,001% | F | |
| PICTON MAHONEY MARKET NEUTRAL EQUITY FUND C/O PICTON | 3.000 | 0,001% | F | |
| MAHONEY ASSET MANAGEMENT ACTING AS FUND MANAGER | ||||
| PINEBRIDGE FUND SERIES - PINEBRIDGEEUROPE EQUITY FUND | 15.958 | 0,008% | F | |
| PINEBRIDGE GLOBAL FUNDS | 7.685 | 0,004% | F | |
| PIONEER FLEXIBLE OPPORTUNITIES FUND | 22.516 | 0,011% | F | |
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| PMPT INKA FONDS | 11.831 | 0,006% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | F | |
| POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT L.P. | 39.650 | 0,019% | F | |
| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | F | |
| POOL REINSURANCE CO LTD | 544 | 0,000% | F | |
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,004% | F | |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,003% | F | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,004% | F | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | F | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | F | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | F | |
| PRESCIENT ICAV. | 11.412 | 0,006% | F | |
| PRIME SUPER PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL |
3.439 | 0,002% | F | |
| ADAPTIVE MULTI-FACTOR ET | 395 | 0,000% | F | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | F | |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | F | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | F | |
| PRIVILEDGE | 30.000 | 0,015% | F | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | F | |
| PRUDENTIAL BANK AND TRUST FSB | 19.691 | 0,010% | F | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | ||||
| INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND | 1.957 | 0,001% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | ||||
| NEXTGENERATION GLOBAL OPPORTUNITIES FUND | 3.943 | 0,002% | F | |
| Prudential Pensions Limited | 3.218 | 0,002% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,004% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,005% | F | |
| PUBLIC EMPLOYEES' LONG TERM CARE FUND | 421.861 | 0,205% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 102.695 | 0,050% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM 0F OHIO | 112.761 | 0,055% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,050% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 25.744 | 0,013% | F | |
| PUBLIC SCHOOL TEACHERS PENSION & RETIREMENT FUND OF | 217.925 | 0,106% | F | |
| CHICAGO | ||||
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO |
31.178 | 0,015% | F | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 101.900 | 0,050% | F | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK | ||||
| Fund | 146.256 | 0,071% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,005% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | F | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | F | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,003% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,006% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES | 1.572 | 0,001% | F | |
| PORTFOLIO PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION |
||||
| FUND | 741 | 0,000% | F | |
| QS INVESTORS INTERNATIONAL EQUITY DBI CIT | 264 | 0,000% | F | |
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | F | |
| QUADRATOR SRI | 111.000 | 0,054% | F | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | F | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | F | |
| QUALITY EDUCATION FUND | 385 | 0,000% | F | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | F | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | F | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | F | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | F | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | F | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | F | |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST |
3.584 | 0,002% | F | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | F | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | F | |
| RDM LIQUID LLC | 9.080 | 0,004% | F | |
| ReAssure Limited | 9.407 | 0,005% | F | |
| REGARD ACT CROISSAN | 5.000 | 0,002% | F | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | F | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | F | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | F | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | F | |
| ROPS EURO P | 18.805 | 0,009% | F | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,015% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | F | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B | 2.713 | 0,001% | F | |
| (REMGEOB) RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED |
48.011 | 0,023% | F | |
| MARKETS FUND RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY |
20.563 | 0,010% | F | |
| FUND RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL |
||||
| EQUITY FUND | 7.848 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL EQUITY FUND |
69.531 | 0,034% | F | |
| RUSSELL INVESTMENT COMPANY V PLC | 32.028 | 0,016% | F | |
| RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED MARKETS | 9.504 | 0,005% | F | |
| FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E |
||||
| PLUS FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI |
175.855 | 0,085% | F | |
| ASSET I-ASSET GROW | 16.431 | 0,008% | F | |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT |
8.270 | 0,004% | F | |
| RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND | 25.601 | 0,012% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 3.137 | 0,002% | F | |
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.661 | 0,003% | F | |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 1.906 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 843 | 0,000% | F | |
| RUSSELL INVESTMENTS SUSTAINABLEGLOBAL SHARES EX FOSSIL FUEL S FUND LVL 3 |
294 | 0,000% | F | |
| RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES FUND | 65.147 | 0,032% | F | |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 4.602 | 0,002% | F | |
| RUSSELL OVERSEAS EQUITY POOL . | 5.355 | 0,003% | F | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | F | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,000% | F | |
| S. ROBSON WALTON 2010 TRUST | 1.076 | 0,001% | F | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 1.885 | 0,001% | F | |
| SAKKARAH 7 FCP | 31.165 | 0,015% | F | |
| SAKKARAH C | 15.143 | 0,007% | F | |
| SALIX LLC | 10.816 | 0,005% | F | |
| SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 5.399 | 0,003% | F | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 393 | 0,000% | F | |
| SAN JOSE FEDERATED CITY EMPLOYEES RETIREMENT SYST | 27.282 | 0,013% | F | |
| SANLAM UNIVERSAL FUNDS PLC | 4.492 | 0,002% | F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 10.974 | 0,005% | F | |
| SBC MASTER PENSION TRUST | 7.654 | 0,004% | F | |
| SCHRODER CAPITAL MANAGEMENT COLLECTIVE TRUST | 28.651 | 0,014% | F | |
| SCHRODER EUROPEAN SMALLER COMPANIES FUND | 9.331 | 0,005% | F | |
| SCHRODER EUROPEAN SUSTAINABLE EQUITY FUND | 26.691 | 0,013% | F | |
| SCHRODER GAIA | 16.562 | 0,008% | F | |
| SCHRODER GLOBAL QUALITY FUND (CANADA) | 1.655 | 0,001% | F | |
| SCHRODER INSTITUTIONAL POOLED FUNDS | 56.917 | 0,028% | F | |
| SCHRODER INTERNATIONAL SELECTION FUND | 757.714 | 0,368% | F | |
| SCHRODER QEP GLOBAL CORE FUND | 18.580 | 0,009% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 49.395 | 0,024% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | 11.923 | 0,006% | F | |
| FUND | ||||
| SCHWAB INTERNATIONAL EQUITY ETF | 307.652 | 0,150% | F | |
| SCHWAB INTERNATIONAL INDEX FUND | 110.081 | 0,053% | F | |
| SCORE SEMKO PPK SCOTIA INTERNATIONAL EQUITY INDEX FUND |
500 366 |
0,000% 0,000% |
F F |
|
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 2.269 | 0,001% | F | |
| SCOTIA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 147 | 0,000% | F | |
| SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- DEVELOPED | 34.170 | 0,017% | F | |
| EUROPE (EX UK) EQUIT | ||||
| SDA INTL EQUITY INDEX FD-WORLD SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY |
6.231 | 0,003% | F | |
| PORTF | 11.983 | 0,006% | F | |
| SEASONS SERIES TRUST SA PUTNAM ASSET ALLOCATION DIVERSIFIED GROW |
1.902 | 0,001% | F | |
| SEB ACTIVE 55 | 653 | 0,000% | F | |
| SEB ACTIVE 80 | 446 | 0,000% | F | |
| SEI GLOBAL MASTER FUND PLC | 2.321 | 0,001% | F | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
1.664 | 0,001% | F | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 127 | 0,000% | F | |
| SEMPRA ENERGY PENSION MASTER TRUST | 3.701 | 0,002% | F | |
| SENTINEL INTERNATIONAL TRUST | 1.212 | 0,001% | F | |
| SG ACTIONS EURO | 6.991 | 0,003% | F | |
| SG ACTIONS FRANCE LARGECAP | 1.345 | 0,001% | F | |
| SG ACTIONS LUXE | 135.089 | 0,066% | F | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | F | |
| SG DIVERSIFIE FRANCE | 2.204 | 0,001% | F | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | F | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | F | |
| SHELL NEDERLAND PENSIOENFONDS STICHTING | 538 | 0,000% | F | |
| SHELL PENSION TRUST | 4.014 | 0,002% | F | |
| SHELL PENSIONS TRUST LIMITED AS TRUSTEE OF SHELL CONTRIBUTORY PENSION FUND |
16.585 | 0,008% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
5.913 | 0,003% | F | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 25.959 | 0,013% | F | |
| CONTRIBUTORY PENSION FUND | ||||
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | F | |
| SIEMENS ABSOLUTE RETURN | 1.739 | 0,001% | F | |
| SIEMENS BALANCED | 3.629 | 0,002% | F | |
| SIEMENS DC BALANCED | 445 | 0,000% | F | |
| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | F | |
| SIEMENS EMU EQUITIES | 13.972 | 0,007% | F | |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,001% | F | |
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,016% | F | |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | F | |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 255.356 | 0,124% | F | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
179.400 | 0,087% | F | |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,001% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| SOGECAP ACTIONS | 110.578 | 0,054% | F | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | F | |
| SOLIDARITES | 1.917 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | F | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | F | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | F |


| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. |
5.817 | 0,003% | F |
|---|---|---|---|
| STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS | 10.919 | 0,005% | F |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 18.637 | 0,009% | F |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,111% | F |
| STICHTING HEINEKEN PENSIOENFONDS | 8.660 | 0,004% | F |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS |
26.243 | 0,013% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE | 359 | 0,000% | F | |
| KANK | ||||
| STICHTING PENSIOENFONDS APF. | 24.213 | 0,012% | F | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 15.746 | 0,008% | F | |
| STICHTING PENSIOENFONDS ING | 10.633 | 0,005% | F | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 88.980 | 0,043% | F | |
| STICHTING PENSIOENFONDS NOTARIAAT STICHTING PENSIOENFONDS PGB |
915 124.625 |
0,000% 0,061% |
F F |
|
| STICHTING PENSIOENFONDS PROVISUM | 1.850 | 0,001% | F | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 5.640 | 0,003% | F | |
| STICHTING PHILIPS PENSIOENFONDS | 3.901 | 0,002% | F | |
| STICHTING RABOBANK PENSIOENFONDS | 31.214 | 0,015% | F | |
| STICHTING SHELL PENSIOENFONDS | 45.698 | 0,022% | F | |
| STICHTING SPOORWEGPENSIOENFONDS | 9.340 | 0,005% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 2.596 | 0,001% | F | |
| STRATEGIE CONSOMMA LUXE ET LOW COST | 8.699 | 0,004% | F | |
| STRATEGY SICAV | 1.750 | 0,001% | F | |
| STYRAX EQUITIES LTD. | 150.000 | 0,073% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.810 | 0,001% | F | |
| SUE ANN ARNALL | 3.312 | 0,002% | F | |
| SUEBIA-FONDS | 16.399 | 0,008% | F | |
| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | F | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,004% | F | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT |
229 | 0,000% | F | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO |
489 | 0,000% | F | |
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL | 140.429 | 0,068% | F | |
| EQUITIES SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL |
1.613 | 0,001% | F | |
| ALLOCATION PORT SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED |
||||
| PORTFOLIO | 25.178 | 0,012% | F | |
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION GROWTHPORTF |
9.070 | 0,004% | F | |
| SUNSUPER SUPERANNUATION FUND | 31.443 | 0,015% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | 1.135 | 0,001% | F | |
| AUSTRAL Swiss National Bank |
747.726 | 0,363% | F | |
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,009% | F | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,003% | F | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,042% | F | |
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | F | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,002% | F | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,474% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,004% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,003% | F | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | F | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 0,925% | F | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,039% | F | |
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,009% | F | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,015% | F | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,028% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 0,996% | F |
| TANGERINE BALANCED GROWTH PORTFOLIO TANGERINE BALANCED INCOME PORTFOLIO |
3.712 509 |
0,002% 0,000% |
F F |
|
| TANGERINE BALANCED PORTFOLIO | 3.238 | 0,002% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 4.363 | 0,002% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 4.853 | 0,002% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - | 18.297 | 0,009% | F | |
| HEDGED) FUND TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF |
45.923 | 0,022% | F | |
| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | F | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | F | |
| TD EUROPEAN INDEX FUND . TD GLOBAL EQUITY FOCUSED FUND |
1.280 200.000 |
0,001% 0,097% |
F F |
|
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | F | |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | F | |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | F | |
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,002% | F | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,015% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,099% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 31.304 | 0,015% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 105.926 | 0,051% | F | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 2.050 | 0,001% | F | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 144.020 | 0,070% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 19.162 | 0,009% | F | |
| TELSTRA SUPERANNUATION SCHEME | 5.558 | 0,003% | F | |
| TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 527.412 | 0,256% | F | |
| TEXAS EDUCATION AGCY | 57.379 | 0,028% | F | |
| TEXAS EDUCATION AGENCY | 8.056 | 0,004% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 512 | 0,000% | F | |
| THE ALGER FUNDS - ALGER MID CAP GROWTH FUND | 43.253 | 0,021% | F | |
| THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND | 94.386 | 0,046% | F | |
| THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH | ||||
| INSTITUTIONAL FUND | 14.745 | 0,007% | F | |
| THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO | 27.679 | 0,013% | F | |
| THE AMERICAN UNIVERSITY IN CAIRO | 813 | 0,000% | F | |
| THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 145 | 0,000% | F | |
| THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 18.802 | 0,009% | F | |
| THE BANK OF KOREA | 35.154 | 0,017% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE | 32.799 | 0,016% | F | |
| INV THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE |
135.195 | 0,066% | F | |
| INVESTMENT FUND PLAN | ||||
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 771 | 0,000% | F | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITED | 201.414 | 0,098% | F | |
| THE BANKERS INVESTMENT TRUST PLC | 161.788 | 0,079% | F | |
| THE BARCLAYS BANK UK RETIREMENT FUND | 1.080 | 0,001% | F | |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 5.456 | 0,003% | F | |
| THE CHARLOTTE-MECKLENBURG HOSPITAL AUTHORITY | 10.928 | 0,005% | F | |
| THE CIVIL SERVICE SUPERANNUATION FUND | 47.703 | 0,023% | F | |
| THE COMMONWEALTH FUND | 94 | 0,000% | F | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 1.258 | 0,001% | F | |
| THE DIRECTORS OF THE CHINESE YOUNG MEN'S CHRISTIAN ASSOCIATI | 513 | 0,000% | F | |
| THE ENDEAVOUR II FUND. | 528 | 0,000% | F | |
| THE GLENCORE CANADIAN PENSION FUNDS TRUST-FOREIGN EQUITY FUND |
52.245 | 0,025% | F | |
| THE GROWTH FUND OF AMERICA | 5.358.544 | 2,604% | F | |
| THE HARTFORD INTERNATIONAL GROWTH FUND | 171.859 | 0,084% | F | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 109 | 0,000% | F | |
| THE INCUBATION FUND LTD | 254 | 0,000% | F | |
| THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED MONTHLY | ||||
| RATED EMPLOYEES PROVIDENT FUND SCHEME | 2.039 | 0,001% | F | |
| THE LABOUR UNION CO-OPERATIVE RETIREMENT FUND | 794 | 0,000% | F | |
| THE LILLY RETIREMENT PLAN MASTER TRUST ELI LILLY AND COMPANY | 83.062 | 0,040% | F | |
| The Magna Foundation | 1.787 | 0,001% | F | |
| The Marks And Spencer Worldwide Managed Fund | 9.864 | 0,005% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY | 5.621 | 0,003% | F | |
| INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL |
466 | 0,000% | F | |
| EQUITY INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY |
||||
| INDEX MOTHER FUND | 16.410 | 0,008% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL EQUITY | 10.232 | 0,005% | F | |
| ACTIVE FUND FOR QUALIFIED INSTITUTION | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
10.408 | 0,005% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| GOVERNMENT PENSION INVESTMENT FUND 400045887 | 15.443 | 0,008% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 113.633 | 0,055% | F | |
| MTBJ400045828 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MTBJ400045829 | 219.258 | 0,107% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 34.619 | 0,017% | F | |
| MTBJ400045832 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MUTB400045792 |
233.264 | 0,113% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MUTB400045794 | 273.582 | 0,133% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 193.020 | 0,094% | F | |
| MUTB400045795 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL |
||||
| PENSION FUND ASSOCIATION 400037061 | 4.530 | 0,002% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 1.672 | 0,001% | F | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
8.182 | 0,004% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | 4.025 | 0,002% | F | |
| PASSIVE MOTHER FUND (ONLY FOR PENSION | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT T |
23.472 | 0,011% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | ||||
| (JPY HEDGED) (PRIVATELY PLACED INVEST | 3.034 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK | 5.242 | 0,003% | F | |
| ESG INSIGHTS EUROPE THE NATURE CONSERVANCY |
1 | 0,000% | F | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT THE PUBLIC INSTITUTION FOR SOCIAL SECURITY |
598 61.856 |
0,000% 0,030% |
F F |
|
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 119.604 | 0,058% | F | |
| THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL | ||||
| UNIVERSITY | 5.369 | 0,003% | F | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | F | |
| THE STATE OF NEVADA | 1.656 | 0,001% | F | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | ||||
| (BERMUDA) LIMITED | 453 | 0,000% | F | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 5.401 | 0,003% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,002% | F | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION MULTIPLE COLLECTIVE INVESTMENT |
308.939 | 0,150% | F | |
| THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & | ||||
| RICHARD WONG TTEES 535 | 199 | 0,000% | F | |
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE | 68.017 | 0,033% | F | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 | 1.891 | 0,001% | F | |
| THREADNEEDLE (LUX | 21.528 | 0,010% | F | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA |
124.892 | 0,061% | F | |
| THREADNEEDLE INVESTMENTS | 14.497 | 0,007% | F | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | F | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | F | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 2.018 | 0,001% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP | 157 | 0,000% | F | |
| TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND | 445.951 | 0,217% | F |
| TIAACREF INTERNATIONAL EQUITY FUND 1.307.128 0,635% F TIAACREF INTERNATIONAL EQUITY INDEX FUND 232.530 0,113% F TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND 28.282 0,014% F TIMOTHY PLAN INTERNATIONAL ETF. 3.056 0,001% F TJ-NONQUALIFIED LLC 15.758 0,008% F TJ-QUALIFIED LLC 11.225 0,005% F TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND 461 0,000% F TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST 1.503 0,001% F TOCQUEVILLE CROISSANCE EURO IS 270.661 0,132% F TONI ACTIONS ISR 100 10.297 0,005% F TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER 11.041 0,005% F INV TRANSAMERICA INTERNATIONAL EQUITY INDEX VP 925 0,000% F TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP 2.638 0,001% F TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT 45.023 0,022% F TRINITY COLLEGE CAMBRIDGE 3.467 0,002% F True Potential Investments LLP 321.471 0,156% F TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 6.735 0,003% F INVESTMENT FUND TRUST NUMBER 10 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 1.646 0,001% F INVESTMENT FUND TRUST NUMBER 21 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 11.160 0,005% F INVESTMENT FUND TRUST NUMBER 3 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION 693 0,000% F INVESTMENT FUND TRUST NUMBER 8 TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION 36.008 0,017% F TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO 11.446 0,006% F TRUTH INITIATIVE FOUNDATION 1.163 0,001% F TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA 377.000 0,183% F ADVISERS LP ACTING AS INVESTMENT ADVISER TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. 405 0,000% F TWU Superannuation Fund 1.687 0,001% F U.S. GLOBAL INVESTORS FUNDS 9.000 0,004% F UBAM 31.734 0,015% F UBAM - EUROPE SMALL CAP EQUITY 13.499 0,007% F UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY 32.954 0,016% F UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) 13.513 0,007% F UBS (IRL) INVESTOR SELECTION PLC 10.309 0,005% F UBS (LUX) EQUITY SICAV 103.750 0,050% F UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE 47.129 0,023% F UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II 87.226 0,042% F UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE 1.901 0,001% F UBS (LUX) KEY SELECTION SICAV 5.631 0,003% F UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY 1.641 0,001% F (USD) UBS (LUX) SICAV 1 133 0,000% F UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) 824 0,000% F UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE 540 0,000% F (USD) UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM 2.156 0,001% F (USD) UBS (US) GROUP TRUST 13.145 0,006% F UBS AM (D) GMBH / UBS412 13.300 0,006% F UBS ASSET MANAGEMENT LIFE LTD 39.500 0,019% F UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH 9.869 0,005% F INVESTINSTITUTIONAL FUN UBS FUND MANAGEMENT (SWITZERLAND) AG. 24.069 0,012% F UBS FUND MANAGEMENT(LUXEMBOURG) SA 182.621 0,089% F UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF 281 0,000% F UBS LUX FUND SOLUTIONS 175.192 0,085% F UF 6 4.278 0,002% F UFF VALEUR PME 206.481 0,100% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|



| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | F |
|---|---|---|---|
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX | 10.454 | 0,005% | F |
| FUND | |||
| VANGUARD EUROPEAN STOCK INDEX FUND | 467.062 | 0,227% | F |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS | |||
| INDEX TRUST | 6.838 | 0,003% | F |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | |||
| INTERNATIONAL STOCK MARKET INDEX TRUST | 135.516 | 0,066% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 1.115.258 | 0,542% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II | ||||
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 420.620 | 0,204% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.269 | 0,012% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 2.598 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 165.716 | 0,081% | F | |
| VANGUARD INTERNATIONAL EXPLORER FUND | 79.023 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 77.383 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 4.268 | 0,002% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 236.750 | 0,115% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | 5.037 | 0,002% | F | |
| DEVELOPED WRLD CMMN CONT FD | ||||
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD |
4.075 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD | ||||
| FTSE DEV EUR EX UK CCF | 23.069 | 0,011% | F | |
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED | 56.850 | 0,028% | F | |
| WOR LD EX - U.K. EQUITY VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED |
||||
| WORLD II CCF | 5.861 | 0,003% | F | |
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED | ||||
| EUROPE II CCF | 8.321 | 0,004% | F | |
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED | 5.218 | 0,003% | F | |
| WORLD II CCF | ||||
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND VANGUARD TOTAL WORLD STOCK INDEX FUND |
2.772.037 100.560 |
1,347% 0,049% |
F F |
|
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 7.768 | 0,004% | F | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | ||||
| PORTFOLIO | 2.992 | 0,001% | F | |
| VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS | 8.361 | 0,004% | F | |
| VENEZIO INVESTMENTS PTE. LTD. | 1.409.998 | 0,685% | F | |
| VERDIPAPIRFONDET DNB EUROPA | 3.947 | 0,002% | F | |
| VERDIPAPIRFONDET DNB GLOBAL INDEKS | 20.768 | 0,010% | F | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 13.855 | 0,007% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 39.762 | 0,019% | F | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 3.596 | 0,002% | F | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 838 | 0,000% | F | |
| VF (Lux) - Valiant Europe Equities | 2.369 | 0,001% | F | |
| VGV POOLFONDS PA1 | 4.722 | 0,002% | F | |
| VIA AM SICAV VIA ABSOLUTE RETURN | 9.167 | 0,004% | F | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 1.027 | 0,000% | F | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 2.873 | 0,001% | F | |
| VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND |
108.892 | 0,053% | F | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 6.424 | 0,003% | F | |
| VILLIERS ALTO | 11.251 | 0,005% | F | |
| VILLIERS DIAPASON | 1.980 | 0,001% | F | |
| VIRGINIA RETIREMENT SYSTEM | 881 | 0,000% | F | |
| VIRGINIA TECH FOUNDATION INC | 972 | 0,000% | F | |
| VIVACCIO ISR ACTIONS | 40.040 | 0,019% | F | |
| VONTOBEL FUND - VESCORE GLOBAL EQUITY MULTI FACTOR | 456 | 0,000% | F | |
| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | 252 | 0,000% | F | |
| C/O VONTOBEL FONDS SERVICES AG | ||||
| VONTOBEL NON US EQUITY OFFSHORE MASTER LP | 143.508 | 0,070% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | F | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND VWINKA SONDERVERMGEN |
7.884 8.000 |
0,004% 0,004% |
F F |
|
| WASHINGTON STATE INVESTMENT BOARD | 145.588 | 0,071% | F | |
| WCM FOCUSED INTERNATIONAL OPPO | 8.390 | 0,004% | F | |
| WCM INTERNATIONAL LONG-TERM | 755 | 0,000% | F | |
| WCM INVESTMENT MANAGEMENT | 908 | 0,000% | F | |
| WELLINGTON COMPOUND GROWTH, L.P. | 16.777 | 0,008% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| WELLINGTON GLOBAL QUALITY GROWTH FUND (AUSTRALIA) | 125.318 | 0,061% | F | |
| WELLINGTON MASTER EMERGING ALTERNATIVES FUND CAYMAN L P C | ||||
| O WELLINGTON ALTERNATIVE INVESTMENTS LLC | 269 | 0,000% | F | |
| WELLS FARGO INTERNATIONAL GROWTH PORTFOLIO | 4.700 | 0,002% | F | |
| WEST YORKSHIRE PENSION FUND | 50.000 | 0,024% | F | |
| WHEELS COMMON INVESTMENT FUND. | 1.612 | 0,001% | F | |
| WHOLESALE INTERNATIONAL CORE EQUITIES | 316 | 0,000% | F | |
| WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED | 496 | 0,000% | F | |
| WHOLESALE UNIT TRUST MSCI GLOBAL INDEX SHARE FUND | 732 | 0,000% | F | |
| WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST | 40.400 | 0,020% | F | |
| WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND | 48.062 | 0,023% | F | |
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,039% | F | |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | F | |
| WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST - WILSHIRE MULT | 1.084 | 0,001% | F | |
| WILSHIRE MUTUAL FUNDS, INC. - WILSHIRE INTERNATIONAL EQUITY FUND |
2.615 | 0,001% | F | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 7.925 | 0,004% | F | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,048% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
36.694 | 0,018% | F | |
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,006% | F | |
| WISDOMTREE ISSUER ICAV | 15.102 | 0,007% | F | |
| WISDOMTREE WORLD EX-US GROWTH FUND | 20.724 | 0,010% | F | |
| WORLD EQUITIES | 479 | 0,000% | F | |
| WTCN MULTIPLE COLLECTIVE INVESTMENT FUNDS TRUST II | 96.539 | 0,047% | F | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,003% | F | |
| XTRACKERS | 208.841 | 0,101% | F | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 98.205 | 0,048% | F | |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 966 | 0,000% | F | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 1.244 | 0,001% | F | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 54.610 | 0,027% | F | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 9.949 | 0,005% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 473 | 0,000% | F | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 1.376 | 0,001% | F | |
| YORKTOWN GROWTH FUND | 7.700 | 0,004% | F | |
| ZURICH ASSURANCE LTD ZURICH FINANCIAL SERVICES UK PENSION SCHEME. |
263.686 39.461 |
0,128% 0,019% |
F F |
|
| ZURICH INVEST ICAV | 32.795 | 0,016% | F | |
| ZURICH LIFE ASSURANCE PLC | 69.257 | 0,034% | F | |
| ZURICH VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 470 | 0,000% | F | |
| ZVK KVS FONDS | 6.000 | 0,003% | F | |
| ANIMA ALTO POTENZIALE ITALIA | 100.000 | 0,049% | C | |
| ANIMA AZIONARIO PAESI SVILUPPATI LTE | 1.468 | 0,001% | C | |
| ANIMA CRESCITA ITALIA | 27.500 | 0,013% | C | |
| ANIMA CRESCITA ITALIA NEW | 1.009 | 0,000% | C | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 8.356 | 0,004% | C | |
| ANIMA INIZIATIVA ITALIA | 62.995 | 0,031% | C | |
| ANIMA ITALIA | 141.727 | 0,069% | C | |
| ANIMA OBIETTIVO ITALIA | 15.000 | 0,007% | C | |
| STICHTING PGGM DEPOSITARY | 123.225 | 0,060% | C | |
| VILLIERS ACTIONS EUROPE SYST AGI | 36.080 | 0,018% | C | |
| CHALLENGE FUNDS - CHALLENGE INTERNATIONAL EQUITY FUND | 16.394 | 0,008% | A | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,035% | A | |
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,014% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A | |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
Totale votanti 205.772.104 100%
NE - Non espresso
F - Favorevole
C - Contrario A - Astenuto
Lx - Lista x
NV - Non votante
Legenda

Relazione sulla politica in materia di remunerazione e sui compensi corrisposti di Moncler, redatta ai sensi dell'Art. 123-ter, del D. Lgs. n. 58/98 e dell'Art. 84 quater del Regolamento Consob n. 11971/1999: Deliberazione vincolante sulla prima sezione in tema di politica di remunerazione predisposta ai sensi dell'Art. 123-ter, comma 3, del D. Lgs. n. 58/98. Deliberazioni inerenti e conseguenti;
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 182.486.243 | 88,68366% | 66,67801% |
| Contrario | 21.916.436 | 10,65083% | 8,00797% |
| Astenuto | 1.063.390 | 0,51678% | 0,38855% |
| Non Votante | 306.035 | 0,14873% | 0,11182% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | F | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | F | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | F | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | 16.513 | 0,008% | F | |
| EQUITY ENHANCED INDEX FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN | 13.079 | 0,006% | F | |
| EQUITY TRACKER FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | 2.032 | 0,001% | F | |
| ENHANCED INDEX FUND | ||||
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | F | |
| ABN AMRO FUNDS | 30.141 | 0,015% | F | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | F | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET | 5.355 | 0,003% | F | |
| ALLOCATION PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | 3.330 | 0,002% | F | |
| PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | F | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | F | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,004% | F | |
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,001% | F | |
| ALGEBRIS UCITS FUNDS PLC ALGEBRIS CORE ITALY FUND | 40.000 | 0,019% | F | |
| ALGER GLOBAL FOCUS FUND | 14.053 | 0,007% | F | |
| ALICE A PROIETTI FAMILY TRUST UAD 09/27/13 | 684 | 0,000% | F | |
| ALIGHT SOLUTIONS LLC 401(K) PLAN TRUST | 3.660 | 0,002% | F | |
| ALLSTATE INSURANCE COMPANY | 13.511 | 0,007% | F | |
| ALPS GLOBAL TRAVEL BENEFICIARIES ETF | 499 | 0,000% | F | |
| AMCETF QUALITY DIVERSIFIED INTERNATIONAL ETF | 3.677 | 0,002% | F | |
| AMERICAN BUREAU OF SHIPPING | 97 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 8.725 | 0,004% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 821 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL | ||||
| EQUITY ETF | 29 | 0,000% | F | |
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH AND INCOME | 44.828 | 0,022% | F | |
| FUND |
Relazione sulla politica in materia di remunerazione e sui compensi corrisposti di Moncler, redatta ai sensi dell'Art. 123-ter, del D. Lgs. n. 58/98 e dell'Art. 84-quater del Regolamento Consob n. 11971/1999: Deliberazione vincolante sulla prima sezione in tema di politica di remunerazione predisposta ai sensi dell'Art. 123-ter, comma 3, del D. Lgs. n. 58/98. Deliberazioni inerenti e conseguenti;

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH FUND 217.370 0,106% F AMERICAN HEART ASSOCIATION, INC. 166 0,000% F AMO UCITS FUND 95.702 0,047% F AMONIS NV 15.346 0,007% F AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND 5.248 0,003% F AMP INTERNATIONAL EQUITY INDEX FUND 17.825 0,009% F AMP INTERNATIONAL EQUITY INDEX FUND HEDGED 1.488 0,001% F AMP WHOLESALE GLOBAL EQUITIES FUND 2.280 0,001% F AMUNDI ACCUMULAZIONE ITALIA PIR 2023 25.600 0,012% F AMUNDI ACTIONS EURO ISR 36.965 0,018% F AMUNDI ACTIONS EUROPE ISR 2.819 0,001% F AMUNDI ACTIONS FRANCE ISR 56.902 0,028% F AMUNDI ACTIONS PME 205.868 0,100% F AMUNDI ACTIONS RESTRUCTURATION 52.075 0,025% F AMUNDI DIVIDENDO ITALIA 116.000 0,056% F AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB 1.641 0,001% F AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS 10.135 0,005% F AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY 2.441 0,001% F AMUNDI FUNDS EQUITY EURO RISK PARITY 22.530 0,011% F AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT 6.076 0,003% F AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION 687 0,000% F SCIENTIFIC BETA AMUNDI INDEX MSCI EUROPE 74.087 0,036% F AMUNDI INDEX MSCI WORLD 12.983 0,006% F AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE 489 0,000% F AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL 1.881 0,001% F AMUNDI MSCI EMU ESG UNIVERSAL SELECT 883 0,000% F AMUNDI MSCI EUROPE 13.460 0,007% F AMUNDI MSCI EUROPE CLIMATE PARIS ALIGNED PAB 196 0,000% F AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB 1.318 0,001% F AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT 74 0,000% F AMUNDI MSCI EUROPE EX UK 139 0,000% F AMUNDI MSCI WORLD CLIMATE PARIS AL.P.UM 893 0,000% F AMUNDI MSCI WORLD CLIMATE PARIS ALIG PAB 1.869 0,001% F AMUNDI MSCI WORLD CLIMATE TRANSITION CTB 11.067 0,005% F AMUNDI MSCI WORLD ESG UNIVERSAL SELECT 16 0,000% F AMUNDI PRIME EUROZONE 5.068 0,002% F AMUNDI RESA ACTIONS FRANCE 88.100 0,043% F AMUNDI REVENUS - ACTIONS HIGH DIV 735 0,000% F AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA 76.186 0,037% F AMUNDI SGR SPA / AMUNDI SVILUP PO ITALIA 337.000 0,164% F AMUNDI SIF Global Ethical Equities 231 0,000% F AMUNDI STOXX EUROPE 600 4.477 0,002% F AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS 13.141 0,006% F AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY 264 0,000% F AMUNDI TRANSMISSION PATRIMOINE 2.384 0,001% F AMUNDI VALORE ITALIA PIR 48.700 0,024% F ANDRA AP-FONDEN 36.924 0,018% F ANIMA ALTO POTENZIALE ITALIA 100.000 0,049% F ANIMA AZIONARIO PAESI SVILUPPATI LTE 1.468 0,001% F ANIMA CRESCITA ITALIA 27.500 0,013% F ANIMA CRESCITA ITALIA NEW 1.009 0,000% F ANIMA FUNDS PUBLIC LIMITED COMPANY 8.356 0,004% F ANIMA INIZIATIVA ITALIA 62.995 0,031% F ANIMA ITALIA 141.727 0,069% F ANIMA OBIETTIVO ITALIA 15.000 0,007% F ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST 1.420 0,001% F AON HEWITT COLLECTIVE INVESTMENT TRUST 6.380 0,003% F AON SAVINGS PLAN TRUST 5.802 0,003% F AP ACTIONS 1 EURO 8.665 0,004% F AP ACTIONS 3 MIN VOL 2.565 0,001% F APERTURE INTERNATIONAL EQUITY FUND 26.452 0,013% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | F |


| AZL INTERNATIONAL INDEX FUND | 20.158 | 0,010% | F | |
|---|---|---|---|---|
| AZL MSCI GLOBAL EQUITY INDEX FUND | 1.545 | 0,001% | F | |
| BANCO BILBAO VIZCAYA ARGENTARIA SA | 10.666 | 0,005% | F | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 12.768 | 0,006% | F | |
| BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE | 1.448 | F | ||
| FIDEICOMISO DE FOND O DE AHORRO DE PANAMA | 0,001% | |||
| BANCOPOSTA EQUITY DEVELOPED COUNTRIES | 1.604 | 0,001% | F | |
| BANCOPOSTA GLOBAL EQUITY HEDGED LTE | 321 | 0,000% | F |

| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED RISKPORTFOLIO II |
8.687 | 0,004% | F |
|---|---|---|---|
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO |
982 | 0,000% | F |
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET PORTFOLIO |
4.233 | 0,002% | F |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | F |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | F |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | F |

| CITY OF NEW YORK GROUP TRUST | 368.864 | 0,179% | F |
|---|---|---|---|
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 12.387 | 0,006% | F |
| CITY UNIVERSITY OF NEW YORK | 281 | 0,000% | F |
| Civil Service Employees Pension Fund | 2.500 | 0,001% | F |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | F |
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,175% | F |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | F |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,029% | F |
| CM-CIC SICAV | 318.134 | 0,155% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| COGEFI ELIXIR ISR | 2.330 | 0,001% | F | |
| COLLEGE RETIREMENT EQUITIES FUND COMGEST GROWTH PLC - COMGEST GROWTH EUROPE |
1.845.499 | 0,897% | F | |
| OPPORTUNITIES | 378.857 | 0,184% | F | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER COMPANIES |
652.667 | 0,317% | F | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP | 95.326 | 0,046% | F | |
| MORGAN CHASE BANK, N.A. COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC |
12.722 | 0,006% | F | |
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,002% | F | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR | 2.930 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,001% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | F | |
| CORNELL UNIVERSITY | 819 | 0,000% | F | |
| CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND | 7.380 | 0,004% | F | |
| CORONATION GLOBAL OPPORTUNITIES FUND | 10.962 | 0,005% | F | |
| COSMIC INVESTMENT FUND | 48.529 | 0,024% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | F | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,027% | F | |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | F | |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | F | |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,003% | F | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,076% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH QUALITY GROWTH EQUITY MOT |
4.197.287 | 2,040% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 |
3.855 | 0,002% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATI |
23.707 | 0,012% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO | 63.515 | 0,031% | F | |
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER |
632 | 0,000% | F | |
| FUND II | ||||
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES (BVI) LIMITED |
9.878 | 0,005% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND L |
81 | 0,000% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | F | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | F | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | F | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | F | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | F | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | F | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | F | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | F | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | F | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | F | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O | 779 | 0,000% | F | |
| KESWICK MANAGEMENT |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | F | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | F | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | F | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | F | |
| DUPONT PENSION TRUST | 42.808 | 0,021% | F | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN | 2.079 | 0,001% | F | |
| EQUITY FUND) DWS GLOBAL SMALL CAP FUND |
26.722 | 0,013% | F | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | F | |
| DYNASTY INVEST LTD | 361 | 0,000% | F | |
| EAST RIDING PENSION FUND | 117.283 | 0,057% | F | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | F | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | F | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | F | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | F | |
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP COMMON TR |
3.515 | 0,002% | F | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | F | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | F | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | F | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | F | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,009% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | F | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | F | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | F | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | F | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 | 946 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 | 1.236 | 0,001% | F | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 4.988 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
1.187 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | ||||
| PORTFOLIO | 5.002 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
6.291 | 0,003% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
9.008 | 0,004% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY | 24.816 | 0,012% | F | |
| PORTFOLIO | ||||
| EQUIPSUPER | 16.691 | 0,008% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER |
1.952 | 0,001% | F | |
| FUND | 544.610 | 0,265% | F | |
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | F | |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | F | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,005% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F |
| % su Votanti Voto EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA 172.647 0,084% F EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI 13.270 0,006% F EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 68.006 0,033% F EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 81.693 0,040% F EURIZON CAPITAL SGR - EURIZON RENDITA 1.931 0,001% F EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) 7.817 0,004% F EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) 10.629 0,005% F Europe Restricted - Accumulating KL 23.427 0,011% F EUROPEAN CENTRAL BANK 22.272 0,011% F EXELON FITZPATRICK QUALIFIED FUND 872 0,000% F EXPERT DIVERSIFIE -A- 5.879 0,003% F Exxonmobil Savings and Retirement Fund 636 0,000% F FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL 154.615 0,075% F LP FAM SER CH LSTYLE FAM FD 48.261 0,023% F FAMILY INVESTMENTS CHILD TRUST FUND 5.627 0,003% F FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED 3.442 0,002% F INTERNATIONALFUND FCM INTERNATIONAL LLC 503 0,000% F FCP BOURBON 7 20.180 0,010% F FCP CARPIMKO EUROPE 11.386 0,006% F FCP CNP ACTIONS EMU UBS 45.736 0,022% F FCP ECHIQUIER LUXURY 15.462 0,008% F FCP IRCOM RETRAITE DIVERSIFIE 2 10.098 0,005% F FCP MANDARINE OPTIMAL VALUE 5.942 0,003% F FCP SODIUM I 17.051 0,008% F FDC A2 TITRES 5.962 0,003% F FDC PREMIUM TITRES VIFS ACTION 4.774 0,002% F FDF2 ALL IN ONE 800 0,000% F FDF2 GLOBAL JEAMBRUN 2.500 0,001% F FEDERATED KAUFMANN FUND 480.000 0,233% F FEDERATED KAUFMANN FUND II 12.790 0,006% F FEDERATED KAUFMANN SMALL CAP FUND 271.200 0,132% F FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED 58.400 0,028% F POOL FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS 342.300 0,166% F FIDDLER PARTNERS LLC. 93 0,000% F FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST 1.346 0,001% F FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX 495.003 0,241% F FUND FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL 3.716 0,002% F INDEX FUND FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF 700 0,000% F FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND 58.667 0,029% F FIDELITY FOUNDERS INVESTMENT TRUST 33.300 0,016% F FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS 44.755 0,022% F FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST 25.300 0,012% F FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND 82.100 0,040% F FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND 14.443 0,007% F FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND 17.185 0,008% F FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU 697 0,000% F FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND 1.700.500 0,826% F FIDELITY INVESTMENTS MONEY MANAGEMENT INC 468 0,000% F FIDELITY LONGTERM LEADERS FUND 1.457 0,001% F FIDELITY PURITAN TRUST FIDELITYPURITAN FUND 475.594 0,231% F FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND 12.515 0,006% F FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND 198.038 0,096% F FIDELITY SAI INTERNATIONAL INDEX FUND 67.794 0,033% F FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND 71.471 0,035% F FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX |
Anagrafica | CF/PI | Azioni | ||
|---|---|---|---|---|---|
| FUND | 59.913 | 0,029% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
24.219 | 0,012% | F | |
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 419.702 | 0,204% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | F | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | F | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF | 12.966 | 0,006% | F | |
| BALTIMORE | ||||
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | F | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,001% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | F | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | F | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND FJARDE AP-FONDEN. |
2.643 27.645 |
0,001% 0,013% |
F F |
|
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX | ||||
| FUND | 1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
3.696 | 0,002% | F | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 1.300 | 0,001% | F | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | F | |
| FLOURISH INVESTMENT CORPORATION | 366.913 | 0,178% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F | |
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,000% | F | |
| FONDITALIA | 201.000 | 0,098% | F | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,002% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST FOREST FOUNDATION |
503 94 |
0,000% 0,000% |
F F |
|
| FORSTA AP - FONDEN | 45.427 | 0,022% | F | |
| FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL | 710 | 0,000% | F | |
| FRANKLIN FTSE EUROPE EX U.K. INDEX ETF | 1.771 | 0,001% | F | |
| FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF | 165 | 0,000% | F | |
| FRANKLIN LIBERTYSHARES ICAV | 1.212 | 0,001% | F | |
| FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND | 99.148 | 0,048% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 3.672 | 0,002% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF | 432 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 2.037 | 0,001% | F | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY ETF |
208 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY HEDG |
864 | 0,000% | F | |
| FUNDACAO CALOUSTE GULBENKIAN | 1.279 | 0,001% | F | |
| FUNDO DE PENSOES. | 1.850 | 0,001% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR | 24.261 | 0,012% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F. |
48.223 | 0,023% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI |
5.578 | 0,003% | F | |
| GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY | 8.632 | 0,004% | F | |
| GAM MULTISTOCK | 345.315 | 0,168% | F | |
| GAM STAR FUND PLC | 552.141 | 0,268% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 93.118 | 0,045% | F | |
| GIC PRIVATE LIMITED | 18.988 | 0,009% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GIN S.R.L. | 11666950966 | 779.732 | 0,379% | F |
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | F | |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | ||||
| PORTFOLIO | 650 | 0,000% | F | |
| GLOBAL BOND FUND WAYCROSSE INC | 6.277 | 0,003% | F | |
| Global Equities Enhanced Index fund | 10.439 | 0,005% | F | |
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 2,438% | F | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,000% | F | |
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | F | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,069% | F | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | F | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE | 851 | 0,000% | F | |
| E GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA |
109.577 | 0,053% | F | |
| INTERNAT GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN |
||||
| SACHS AND CO | 5.568 | 0,003% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
4.735 | 0,002% | F | |
| GOLDMAN SACHS FUNDS | 1.008.976 | 0,490% | F | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND |
1.919 | 0,001% | F | |
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | F | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | F | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | F | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 56.685 | 0,028% | F | |
| GR-AVENIR | 1.000 | 0,000% | F | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | F | |
| GRD 12 ACTIONS | 35.360 | 0,017% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | F | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | F | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | F | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | F | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | F | |
| HALEVY A1 | 35.923 | 0,017% | F | |
| HALEVY A2 | 36.004 | 0,017% | F | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | F | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | F | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | F | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | F | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY | 11.101 | 0,005% | F | |
| PORTFOL | ||||
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | F | |
| Helium Alpha | 3.829 | 0,002% | F | |
| Henderson Eurotrust plc | 137.894 | 0,067% | F | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | F | |
| HERITAGE AND STABILISATION FUND Hitachi Master Fund - GL Opportunity Equity Fund |
18.977 58.991 |
0,009% 0,029% |
F F |
|
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT | ||||
| EXCHANGE | 200.034 | 0,097% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENTEXCHANGE FUND |
4.426 | 0,002% | F | |
| HRW TESTAMENTARY TRUST NO 2 | 855 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO 3. | 1.326 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO. 11. | 995 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 1.853 | 0,001% | F |

| (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | 3.936 | 0,002% | F |
|---|---|---|---|
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | F |
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT PORTFO |
1.363 | 0,001% | F |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | F |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | F |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | F |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | F |


| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,122% | F |
|---|---|---|---|
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | F |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,153% | F |
| ISHARES MSCI ACWI ETF | 42.539 | 0,021% | F |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,018% | F |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,003% | F |
| ISHARES MSCI EAFE ETF | 676.406 | 0,329% | F |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,124% | F |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,052% | F |

| JPMORGAN BETABUILDERS EUROPE ETF | 221.051 | 0,107% | F |
|---|---|---|---|
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 39.332 | 0,019% | F |
| JPMORGAN GLOBAL ALLOCATION FUND | 1.489 | 0,001% | F |
| JTW TRUST NO. 1 UAD 9/19/02. | 696 | 0,000% | F |
| JTW TRUST NO. 2 UAD 9/19/02. | 1.167 | 0,001% | F |
| JTW TRUST NO. 3 UAD 9/19/02. | 1.188 | 0,001% | F |
| JTW TRUST NO. 4 UAD 9/19/02. | 1.385 | 0,001% | F |
| JTW TRUST NO. 5 UAD 9/19/02. | 732 | 0,000% | F |
<-- PDF CHUNK SEPARATOR -->

| LO Funds - All Roads | 9.683 | 0,005% | F |
|---|---|---|---|
| LO Funds - All Roads Conservative | 655 | 0,000% | F |
| LO Funds - All Roads Growth | 3.757 | 0,002% | F |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,029% | F |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS | |||
| MASTER TR | 42.392 | 0,021% | F |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.757 | 0,044% | F |
| LOF TargetNetZero Europe Equity | 1.005 | 0,000% | F |
| LOF WORLD BRANDS | 173.000 | 0,084% | F |

| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | F |
|---|---|---|---|
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | F |
| MGI FUNDS PLC | 11.427 | 0,006% | F |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | |||
| REEVES TTEE PO BOX | 281 | 0,000% | F |
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | F |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | F |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | F |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | F |

| NEMOURS FOUNDATION | 184 | 0,000% | F |
|---|---|---|---|
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | F |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | F |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 714 | 0,000% | F |
| NEW YORK STATE COMMON RETIREMENT FUND | 3.613 | 0,002% | F |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | F |
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 10.081 | 0,005% | F |


| PALATINE ENTREPRISES FAMILIALES ISR | 27.100 | 0,013% | F |
|---|---|---|---|
| PALATINE FRANCE MIDCAP FCP | 19.000 | 0,009% | F |
| PANAGORA ASSET MANAGEMENT INC. - DYNAMIC INTERNATIONAL EQUI |
64 | 0,000% | F |
| PANAGORA GROUP TRUST | 1.758 | 0,001% | F |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | F |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER FUND |
428 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | F | |
| PEOPLE'S BANK OF CHINA | 183.221 | 0,089% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PERVALOR - ACTIONS | 1.150 | 0,001% | F | |
| PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 787 | 0,000% | F | |
| PF EMERGING MARKETS FUND | 962 | 0,000% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,000% | F | |
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | F | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 370 | 0,000% | F | |
| PICTON MAHONEY LONG SHORT EQUITY FUND C/O PICTON MAHONEY ASSET MANAGEMENT ACTING AS MANAGER |
2.500 | 0,001% | F | |
| PICTON MAHONEY MARKET NEUTRAL EQUITY FUND C/O PICTON | 3.000 | 0,001% | F | |
| MAHONEY ASSET MANAGEMENT ACTING AS FUND MANAGER | ||||
| PINEBRIDGE FUND SERIES - PINEBRIDGEEUROPE EQUITY FUND | 15.958 | 0,008% | F | |
| PINEBRIDGE GLOBAL FUNDS | 7.685 | 0,004% | F | |
| PIONEER FLEXIBLE OPPORTUNITIES FUND | 22.516 | 0,011% | F | |
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | F | |
| POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT L.P. | 39.650 | 0,019% | F | |
| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | F | |
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,004% | F | |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,003% | F | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,004% | F | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | F | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | F | |
| PRESCIENT ICAV. | 11.412 | 0,006% | F | |
| PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL ADAPTIVE MULTI-FACTOR ET |
395 | 0,000% | F | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | F | |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | F | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | F | |
| PRIVILEDGE | 30.000 | 0,015% | F | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | F | |
| PRUDENTIAL BANK AND TRUST FSB | 19.691 | 0,010% | F | |
| Prudential Pensions Limited | 3.218 | 0,002% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,004% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,005% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,050% | F | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO |
28.078 | 0,014% | F | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK Fund |
146.256 | 0,071% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,005% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | F | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | F | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | F | |
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION FUND |
741 | 0,000% | F | |
| QS INVESTORS INTERNATIONAL EQUITY DBI CIT | 264 | 0,000% | F | |
| QUADRATOR SRI | 111.000 | 0,054% | F | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | F | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | F | |
| QUALITY EDUCATION FUND | 385 | 0,000% | F | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | F | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT | ||||
| TRUST | 3.584 | 0,002% | F | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | F | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | F | |
| RDM LIQUID LLC | 9.080 | 0,004% | F | |
| ReAssure Limited | 9.407 | 0,005% | F | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | F | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | F | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | F | |
| ROPS EURO P | 18.805 | 0,009% | F | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | F | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B | ||||
| (REMGEOB) | 2.713 | 0,001% | F | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | F | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,000% | F | |
| S. ROBSON WALTON 2010 TRUST | 1.076 | 0,001% | F | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 1.885 | 0,001% | F | |
| SAKKARAH C | 15.143 | 0,007% | F | |
| SALIX LLC | 10.816 | 0,005% | F | |
| SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 5.399 | 0,003% | F | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 393 | 0,000% | F | |
| SAN JOSE FEDERATED CITY EMPLOYEES RETIREMENT SYST | 27.282 | 0,013% | F | |
| SBC MASTER PENSION TRUST | 7.654 | 0,004% | F | |
| SCHRODER CAPITAL MANAGEMENT COLLECTIVE TRUST | 28.651 | 0,014% | F | |
| SCHRODER EUROPEAN SMALLER COMPANIES FUND | 9.331 | 0,005% | F | |
| SCHRODER EUROPEAN SUSTAINABLE EQUITY FUND | 26.691 | 0,013% | F | |
| SCHRODER GAIA | 16.562 | 0,008% | F | |
| SCHRODER GLOBAL QUALITY FUND (CANADA) | 1.655 | 0,001% | F | |
| SCHRODER INSTITUTIONAL POOLED FUNDS | 56.917 | 0,028% | F | |
| SCHRODER INTERNATIONAL SELECTION FUND | 757.714 | 0,368% | F | |
| SCHRODER QEP GLOBAL CORE FUND | 18.580 | 0,009% | F | |
| SCORE SEMKO PPK | 500 | 0,000% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 366 | 0,000% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 2.269 | 0,001% | F | |
| SCOTIA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 147 | 0,000% | F | |
| SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- DEVELOPED EUROPE (EX UK) EQUIT |
34.170 | 0,017% | F | |
| SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF |
11.983 | 0,006% | F | |
| SEASONS SERIES TRUST SA PUTNAM ASSET ALLOCATION DIVERSIFIED GROW |
1.902 | 0,001% | F | |
| SEB ACTIVE 55 | 653 | 0,000% | F | |
| SEB ACTIVE 80 | 446 | 0,000% | F | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 127 | 0,000% | F | |
| SEMPRA ENERGY PENSION MASTER TRUST | 3.701 | 0,002% | F | |
| SENTINEL INTERNATIONAL TRUST | 1.212 | 0,001% | F | |
| SG ACTIONS EURO | 6.991 | 0,003% | F | |
| SG ACTIONS FRANCE LARGECAP | 1.345 | 0,001% | F | |
| SG ACTIONS LUXE | 135.089 | 0,066% | F | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | F | |
| SG DIVERSIFIE FRANCE | 2.204 | 0,001% | F | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | F | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | F | |
| SHELL PENSION TRUST | 4.014 | 0,002% | F | |
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | F | |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 255.356 | 0,124% | F | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
179.400 | 0,087% | F | |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,001% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| SOGECAP ACTIONS | 110.578 | 0,054% | F | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | F | |
| SOLIDARITES | 1.917 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | F | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | F | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | F | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | F | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | F | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | F | |
| SPP EUROPA PLUS | 463 | 0,000% | F | |
| SPP GENERATION 50-TAL | 142 | 0,000% | F | |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | F | |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | F | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | F | |
| SPRING 625 | 2.946 | 0,001% | F | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
5.388 | 0,003% | F | |
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND |
7.976 | 0,004% | F | |
| SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 170.925 | 0,083% | F | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,016% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,389% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,014% | F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 20.771 | 0,010% | F | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | F | |
| STAR PASTEUR | 7.107 | 0,003% | F | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,030% | F | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,014% | F | |
| STATE OF MINNESOTA | 78.948 | 0,038% | F | |
| STATE OF MINNESOTA | 241.152 | 0,117% | F | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 116.563 | 0,057% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 93.124 | 0,045% | F | |
| STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST FUNDS |
1.563 | 0,001% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 16.802 | 0,008% | F | |
| STATE OF WYOMING | 9.297 | 0,005% | F | |
| STATE STREET CCF | 990 | 0,000% | F | |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.302 | 0,002% | F | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 57.073 | 0,028% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 32.334 | 0,016% | F | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 54.037 | 0,026% | F | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 4.522 | 0,002% | F | |
| STATE STREET IRELAND UNIT TRUST | 15.688 | 0,008% | F | |
| STATE STREET TOTAL RETURN VIS FUND | 3.190 | 0,002% | F | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 28.058 | 0,014% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| STELLAR INSURANCE, LTD. | 1.391 | 0,001% | F | |
| STEUART L. WALTON FAMILY TRUST UAD 3/19/13 | 2.739 | 0,001% | F | |
| STEWARDSHIP PARA GLB | 158 | 0,000% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,111% | F | |
| STICHTING HEINEKEN PENSIOENFONDS | 8.660 | 0,004% | F | |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD | ||||
| AANDELEN FONDS | 26.243 | 0,013% | F | |
| STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE | ||||
| KANK | 359 | 0,000% | F | |
| STICHTING PENSIOENFONDS PROVISUM | 1.850 | 0,001% | F | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 5.640 | 0,003% | F | |
| STICHTING PHILIPS PENSIOENFONDS | 3.901 | 0,002% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 2.596 | 0,001% | F | |
| STRATEGIE CONSOMMA LUXE ET LOW COST | 8.699 | 0,004% | F | |
| STRATEGY SICAV | 1.750 | 0,001% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.810 | 0,001% | F | |
| SUE ANN ARNALL | 3.312 | 0,002% | F | |
| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | F | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,004% | F | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET | 229 | 0,000% | F | |
| PORT | ||||
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO |
489 | 0,000% | F | |
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL | ||||
| EQUITIES | 140.429 | 0,068% | F | |
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | 1.613 | 0,001% | F | |
| ALLOCATION PORT | ||||
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED PORTFOLIO |
25.178 | 0,012% | F | |
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION | ||||
| GROWTHPORTF | 9.070 | 0,004% | F | |
| SUNSUPER SUPERANNUATION FUND | 31.443 | 0,015% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | 1.135 | 0,001% | F | |
| AUSTRAL | ||||
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,009% | F | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,042% | F | |
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | F | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,002% | F | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,474% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,004% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,003% | F | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | F | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 0,925% | F | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,039% | F | |
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,009% | F | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,015% | F | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,028% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 0,996% | F |
| TANGERINE BALANCED GROWTH PORTFOLIO | 3.712 | 0,002% | F | |
| TANGERINE BALANCED INCOME PORTFOLIO | 509 | 0,000% | F | |
| TANGERINE BALANCED PORTFOLIO | 3.238 | 0,002% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 4.363 | 0,002% | F | |
| TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF | 45.923 | 0,022% | F | |
| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | F | |
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | F | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | F | |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | F | |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,097% | F | |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | F | |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | F | |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | F | |
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,002% | F | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,015% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,099% | F |


| MTBJ400045829 | 219.258 | 0,107% | F |
|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MUTB400045792 |
233.264 | 0,113% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MUTB400045794 |
273.582 | 0,133% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL PENSION FUND ASSOCIATION 400037061 |
4.530 | 0,002% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
1.672 | 0,001% | F |

| TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION | 36.008 | 0,017% | F |
|---|---|---|---|
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | F |
| TRUTH INITIATIVE FOUNDATION | 1.163 | 0,001% | F |
| TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA ADVISERS LP ACTING AS INVESTMENT ADVISER |
377.000 | 0,183% | F |
| TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. | 405 | 0,000% | F |
| TWU Superannuation Fund | 1.687 | 0,001% | F |
| UBAM | 31.734 | 0,015% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UBAM - EUROPE SMALL CAP EQUITY | 13.499 | 0,007% | F | |
| UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY | 32.954 | 0,016% | F | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 13.513 | 0,007% | F | |
| UBS (IRL) INVESTOR SELECTION PLC | 10.309 | 0,005% | F | |
| UBS (LUX) EQUITY SICAV | 103.750 | 0,050% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 47.129 | 0,023% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,042% | F | |
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE UBS (LUX) KEY SELECTION SICAV |
1.901 5.631 |
0,001% 0,003% |
F F |
|
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
1.641 | 0,001% | F | |
| UBS (LUX) SICAV 1 | 133 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 824 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
540 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM | 2.156 | 0,001% | F | |
| (USD) UBS (US) GROUP TRUST |
13.145 | 0,006% | F | |
| UBS AM (D) GMBH / UBS412 | 13.300 | 0,006% | F | |
| UBS ASSET MANAGEMENT LIFE LTD | 39.500 | 0,019% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH | ||||
| INVESTINSTITUTIONAL FUN | 9.869 | 0,005% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 13.766 | 0,007% | F | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 182.621 | 0,089% | F | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 281 | 0,000% | F | |
| UBS LUX FUND SOLUTIONS | 175.192 | 0,085% | F | |
| UF 6 | 4.278 | 0,002% | F | |
| UFF VALEUR PME | 206.481 | 0,100% | F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 5.970 | 0,003% | F | |
| UNI-GLOBAL SICAV | 2.886 | 0,001% | F | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE |
1.095 | 0,001% | F | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN MASTER TRU |
50.244 | 0,024% | F | |
| UNITY FUND | 20.474 | 0,010% | F | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO |
17.216 | 0,008% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN | 228 | 0,000% | F | |
| ENHANCE UPS GROUP TRUST |
58.308 | 0,028% | F | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | F | |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | F | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | F | |
| VALORACTIONS | 2.500 | 0,001% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.551.670 | 0,754% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 2.626 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
10.454 | 0,005% | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 467.062 | 0,227% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
6.838 | 0,003% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
135.516 | 0,066% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 1.115.258 | 0,542% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II VANGUARD FTSE ALL WORLD EX US INDEX FUND |
420.620 | 0,204% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.269 | 0,012% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 2.598 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 165.716 | 0,081% | F | |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| VANGUARD INTERNATIONAL EXPLORER FUND VANGUARD INTERNATIONAL SHARES INDEX FUND |
79.023 77.383 |
0,038% 0,038% |
F F |
|
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 4.268 | 0,002% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 236.750 | 0,115% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | 5.037 | 0,002% | F | |
| DEVELOPED WRLD CMMN CONT FD | ||||
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | 4.075 | 0,002% | F | |
| DVLPD WRLD EX UK CMN CNT FD VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD |
||||
| FTSE DEV EUR EX UK CCF | 23.069 | 0,011% | F | |
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED | 56.850 | 0,028% | F | |
| WOR LD EX - U.K. EQUITY | ||||
| VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED | 5.861 | 0,003% | F | |
| WORLD II CCF VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED |
||||
| EUROPE II CCF | 8.321 | 0,004% | F | |
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED | ||||
| WORLD II CCF | 5.218 | 0,003% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.772.037 | 1,347% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 100.560 | 0,049% | F | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 7.768 | 0,004% | F | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | 2.992 | 0,001% | F | |
| PORTFOLIO | ||||
| VENEZIO INVESTMENTS PTE. LTD. | 1.409.998 | 0,685% | F | |
| VERDIPAPIRFONDET DNB EUROPA | 3.947 | 0,002% | F | |
| VERDIPAPIRFONDET DNB GLOBAL INDEKS | 20.768 | 0,010% | F | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 13.855 | 0,007% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 39.762 | 0,019% | F | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 3.596 | 0,002% | F | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 838 | 0,000% | F | |
| VF (Lux) - Valiant Europe Equities | 2.369 | 0,001% | F | |
| VIA AM SICAV VIA ABSOLUTE RETURN | 9.167 | 0,004% | F | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 1.027 | 0,000% | F | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 2.873 | 0,001% | F | |
| VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX | ||||
| FUND | 108.892 | 0,053% | F | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 6.424 | 0,003% | F | |
| VILLIERS ALTO | 11.251 | 0,005% | F | |
| VILLIERS DIAPASON | 1.980 | 0,001% | F | |
| VIRGINIA RETIREMENT SYSTEM | 881 | 0,000% | F | |
| VIRGINIA TECH FOUNDATION INC | 972 | 0,000% | F | |
| VIVACCIO ISR ACTIONS | 40.040 | 0,019% | F | |
| VONTOBEL NON US EQUITY OFFSHORE MASTER LP | 143.508 | 0,070% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | F | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND | 7.884 | 0,004% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 145.588 | 0,071% | F | |
| WELLINGTON COMPOUND GROWTH, L.P. | 16.777 | 0,008% | F | |
| WELLINGTON GLOBAL QUALITY GROWTH FUND (AUSTRALIA) | 125.318 | 0,061% | F | |
| WELLINGTON MASTER EMERGING ALTERNATIVES FUND CAYMAN L P C | 269 | 0,000% | F | |
| O WELLINGTON ALTERNATIVE INVESTMENTS LLC | ||||
| WELLS FARGO INTERNATIONAL GROWTH PORTFOLIO WHEELS COMMON INVESTMENT FUND. |
4.700 1.612 |
0,002% 0,001% |
F F |
|
| WHOLESALE INTERNATIONAL CORE EQUITIES WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED |
316 496 |
0,000% 0,000% |
F F |
|
| WHOLESALE UNIT TRUST MSCI GLOBAL INDEX SHARE FUND | 732 | 0,000% | F | |
| WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST | 40.400 | 0,020% | F | |
| WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND | 48.062 | 0,023% | F | |
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,039% | F | |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | F | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 7.925 | 0,004% | F | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,048% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
36.694 | 0,018% | F | |
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,006% | F | |
| WISDOMTREE ISSUER ICAV | 15.102 | 0,007% | F | |
| WISDOMTREE WORLD EX-US GROWTH FUND | 20.724 | 0,010% | F | |
| WORLD EQUITIES | 479 | 0,000% | F | |
| WTCN MULTIPLE COLLECTIVE INVESTMENT FUNDS TRUST II | 96.539 | 0,047% | F | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,003% | F | |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 966 | 0,000% | F | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 1.244 | 0,001% | F | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 54.610 | 0,027% | F | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 9.949 | 0,005% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 473 | 0,000% | F | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 1.376 | 0,001% | F | |
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | C | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | C | |
| 1895 FONDS FGR | 16.454 | 0,008% | C | |
| ABB PENSION FUND | 500 | 0,000% | C | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | C | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | C | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | C | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
852 | 0,000% | C | |
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | C | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | C | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | C | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | C | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | C | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | C | |
| Aktien Europa - UI | 6.384 | 0,003% | C | |
| ALLEANZA OBBLIGAZIONARIO | 25.134 | 0,012% | C | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 84.000 | 0,041% | C | |
| ALLIANZ CHOICE BEST STYLES EUROPE | 16.980 | 0,008% | C | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 128.320 | 0,062% | C | |
| ALLIANZ GLOBAL INVESTORS FUND | 107.277 | 0,052% | C | |
| Allianz Global Investors GmbH | 49.200 | 0,024% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 19.391 | 0,009% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT | ||||
| MASTER | 2.155 | 0,001% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH RE ALLIANZGI-FONDS AOKNW-AR | 704 | 0,000% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 2.500 | 0,001% | C | |
| Allianz PV-WS RCM SysPro Value Europe | 4.270 | 0,002% | C | |
| ALLIANZGI FONDS LUNA A | 53.791 | 0,026% | C | |
| ALLIANZGI S AKTIEN | 6.191 | 0,003% | C | |
| ALLIANZGI-FONDS AFE SEGMENT AFE-AA3 | 17.830 | 0,009% | C | |
| ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO | 8.500 | 0,004% | C | |
| ALLIANZGI-FONDS DSPT | 29.365 | 0,014% | C | |
| ALLIANZGI-FONDS DUNHILL | 1.820 | 0,001% | C | |
| ALLIANZGI-FONDS GANO 2 | 1.366 | 0,001% | C | |
| ALLIANZGI-FONDS MAF5 | 4.350 | 0,002% | C | |
| ALLIANZGI-FONDS PF1 SEGMENT PF1-GM1-G_MA | 9.274 | 0,005% | C | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-AA1-E_EUA | 10.561 | 0,005% | C | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-GM1-G_MA (MERITEN IM) | 6.986 | 0,003% | C | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-AA1-E_EUA | 30.087 | 0,015% | C | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-GM1-G_MA | 8.677 | 0,004% | C | |
| ALLIANZGI-FONDS SHL | 1.200 | 0,001% | C | |
| ALLIANZGI-SUBFONDS HNE AKTIEN A | 50.000 | 0,024% | C | |
| ALTE LEIPZIGER TRUST INVESTMENT GESELLSCHAFT MBH | 2.537 | 0,001% | C | |
| AMG GW AND K EMERGING WEALTH EQUITY FUND | 13.283 | 0,006% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AMG GW AND K GLOBAL ALLOCATION FUND | 25.206 | 0,012% | C | |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | C | |
| API RETRAITE DIVERSIFIE | 36.271 | 0,018% | C | |
| ARIZONA STATE RETIREMENT SYSTEM | 10.603 | 0,005% | C | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,003% | C | |
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,006% | C | |
| ATCP-UI-FONDS | 1.905 | 0,001% | C | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,057% | C | |
| AUSTRALIANSUPER | 89.403 | 0,043% | C | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | ||||
| INTERNATIONAL INDEX TRACKING FUND | 3.020 | 0,001% | C | |
| Aviva Investors Passive Funds ACS - AI 30:70 Global Equity (Currency | 4.609 | 0,002% | C | |
| Hedged) Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index | 30.843 | 0,015% | C | |
| Fund Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index |
||||
| Fund | 8.078 | 0,004% | C | |
| Aviva Investors Passive Funds ACS - AI Continental European Equity | ||||
| Index Fund | 44.931 | 0,022% | C | |
| Aviva Investors Passive Funds ACS - AI Developed European ex UK | 58.891 | 0,029% | C | |
| Equity Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI Developed World ex UK | 10.931 | 0,005% | C | |
| Equity Index Fund AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND I | 55 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | ||||
| ASSET CORE FUND II | 323 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 617 | 0,000% | C | |
| ASSET CORE FUND III | ||||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 461 | 0,000% | C | |
| ASSET CORE FUND IV AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND V | 167 | 0,000% | C | |
| AVIVA LIFE & PENSIONS IRELAND DAC | 6.814 | 0,003% | C | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | C | |
| AWARE SUPER | 37.693 | 0,018% | C | |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,006% | C | |
| AXA ROSENBERG EQUITY ALPHA TRUST | 1.910 | 0,001% | C | |
| BANK OF KOREA | 51.302 | 0,025% | C | |
| BANSABADELL 18 FP | 365 | 0,000% | C | |
| BELFIUS EQUITIES NV | 8.701 | 0,004% | C | |
| BELFIUS PENSION FUND BALANCED PLUS | 25.281 | 0,012% | C | |
| BELFIUS PENSION FUND HIGH | 79.211 | 0,038% | C | |
| BELFIUS PENSION FUND LOW EQUITIES | 10.754 | 0,005% | C | |
| BELL ATLANTIC MASTER TRUST | 691 | 0,000% | C | |
| BELL GLOBAL TRUST | 25.474 | 0,012% | C | |
| BERENBERG ABSOLUTE RETURN EUROPEAN | 12.554 | 0,006% | C | |
| BERENBERG AKTIEN | 21.674 | 0,011% | C | |
| BERENBERG EUROPEAN FOCUS FUND | 665.492 | 0,323% | C | |
| BERENBERG EUROZONE FOCUS FUND | 94.350 | 0,046% | C | |
| Best Investment Corporation | 2.311 | 0,001% | C | |
| BETURN | 10.374 | 0,005% | C | |
| BEWAARSTICHTING NNIP I | 2.983 | 0,001% | C | |
| BI Aktienfonds | 3.196 | 0,002% | C | |
| BLACKROCK SOLUTIONS FUNDS ICAV BLOOMBERG FINANCE L.P. |
15.018 148.344 |
0,007% 0,072% |
C C |
|
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | C | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | ||||
| ETF | 1.444 | 0,001% | C | |
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,028% | C | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | C | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | C | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | C | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | C | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,031% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,048% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,009% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,003% | C | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,006% | C | |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 CAPPED | 100.000 | 0,049% | C | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | C | |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,005% | C | |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,008% | C | |
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,015% | C | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,012% | C | |
| BP PENSION FUND | 3.370 | 0,002% | C | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR FIDELITY FUNDS - ITALY |
231.446 | 0,112% | C | |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | C | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,002% | C | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | C | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 205.374 | 0,100% | C | |
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,000% | C | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | C | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | C | |
| CARDIF BNPP IP SMID CAP EURO | 106.666 | 0,052% | C | |
| CARDIF BNPP IP SMID CAP EUROPE | 40.970 | 0,020% | C | |
| CBP GROWTH SMC | 20.212 | 0,010% | C | |
| CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | 3.274 | 0,002% | C | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 942 | 0,000% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH INDEX ETF | 5.716 | 0,003% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH VARIABLY HEDG INDEX ETF |
1.075 | 0,001% | C | |
| CLASS N AHL ALPHA 2.5XL EUR TRADING LIMITED. | 9.323 | 0,005% | C | |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,004% | C | |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,009% | C | |
| CMLA INDEXED GLOBAL SHARE FUND | 1.023 | 0,000% | C | |
| CNP ASSUR SMID CAP EUROPE | 10.779 | 0,005% | C | |
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | C | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,003% | C | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | C | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,005% | C | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 3.826 | 0,002% | C | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES | ||||
| RETIR | 22.588 | 0,011% | C | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA |
41.653 | 0,020% | C | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,019% | C | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,048% | C | |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 7.304 | 0,004% | C | |
| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,012% | C | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES | ||||
| CORPORATE SERVICES LTD | 2.313 | 0,001% | C | |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,049% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT GLOBAL GROWTH EQUITY MOTHE |
25.400 | 0,012% | C | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | 2.435 | 0,001% | C | |
| MOTHER FUND(CURRENCY HEDGED) CYSTIC FIBROSIS FOUNDATION |
7.321 | 0,004% | C | |
| DBI-FONDS EBB | 2.399 | 0,001% | C | |
| DEAM FONDS ZDV | 3.329 | 0,002% | C | |
| DEAM-FONDS CPT | 1.596 | 0,001% | C | |
| DEKA-MASTER HAEK I | 12.525 | 0,006% | C | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | C | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | C | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | C | |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | C | |
| DT EQUITY | 7.407 | 0,004% | C | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | C | |
| DWS INVEST | 900 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | C | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | C | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | C | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | C | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,019% | C | |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | C | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | C | |
| EBK-AKTIEN-UNIVERSAL-FONDS | 18.173 | 0,009% | C | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | C | |
| E-L FINANCIAL CORPORATION LIMITED EMBO-FONDS |
3.220 5.813 |
0,002% 0,003% |
C C |
|
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | C | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | C | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | C | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | C | |
| EPS | 2.669 | 0,001% | C | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | ||||
| MASTER TRUST | 45.984 | 0,022% | C | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,068% | C | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | C | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | C | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | C | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | C | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,033% | C | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | C | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | C | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | C | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | C | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | C | |
| FONDS DE RESERVE POUR LES RETRAITES FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) |
58.999 2.857 |
0,029% 0,001% |
C C |
|
| FONSOLBANK FP | 201 | 0,000% | C | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | C | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | C | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,004% | C | |
| FOVERUKA PENSION UNIVERSAL | 6.566 | 0,003% | C | |
| FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES | ||||
| FND | 130.000 | 0,063% | C | |
| FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND | 9.341 | 0,005% | C | |
| FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 2.332 | 0,001% | C | |
| FRANK RUSSELL INVESTMENT CO II PLC | 6.218 | 0,003% | C | |
| FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 74 | 0,000% | C | |
| FULCRUM UCITS SICAV | 1.638 | 0,001% | C | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 6.195 | 0,003% | C | |
| G.A.-FUND-B - WORLD EQUITIES | 2.169 | 0,001% | C | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 103.072 | 0,050% | C | |
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA | 10.222 | 0,005% | C | |
| GENERALI INVESTMENTS SICAV | 1.830 | 0,001% | C | |
| GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS | 34.000 | 0,017% | C | |
| GENERALI SMART FUNDS GERANA SICAV-SIF, S.A. |
15.413 53.252 |
0,007% 0,026% |
C C |
|
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,003% | C | |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES | 5.009 | 0,002% | C | |
| LIMIT | ||||
| GLG PARTNERS LP | 8.509 | 0,004% | C | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | C | |
| GOLDMAN SACHS FUNDS | 15.313 | 0,007% | C | |
| GOVERNMENT PENSION INVESTMENT FUND | 59.682 | 0,029% | C | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | C | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | C | |
| HC RENTE HESTA |
1.558 506.496 |
0,001% 0,246% |
C C |
|
| HI-172915-Fonds | 1.508 | 0,001% | C | |
| HOSTPLUS POOLED SUPERANNUATION TRUST | 17.065 | 0,008% | C | |
| IBM PERSONAL PENSION PLAN TRUST | 11.214 | 0,005% | C | |
| IFM GLOBAL INDEXED EQUITIES FUND | 468 | 0,000% | C | |
| IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND | 225.983 | 0,110% | C | |
| INDEP'AM | 139.100 | 0,068% | C | |
| INKA PBEAKK | 2.090 | 0,001% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND | ||||
| EQUITIES | 25.561 | 0,012% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | C | |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS | 18.885 | 0,009% | C | |
| FUN INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND |
44.059 | 0,021% | C | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | C | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | C | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | C | |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | C | |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | C | |
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | C | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | C | |
| INVESTITORI EUROPA | 3.300 | 0,002% | C | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | C | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | C | |
| KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 13.054 | 0,006% | C | |
| LACM GLOBAL EQUITY FUND LP | 6.195 | 0,003% | C | |
| LACM WORLD EQUITY - DIVIDEND GROWTH CIT | 5 | 0,000% | C | |
| LACM WORLD EQUITY - WEALTH BUILDER CIT | 13 | 0,000% | C | |
| LAUDUS INTERNATIONAL MARKETMASTERS FUND | 4.685 | 0,002% | C | |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,005% | C | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | C | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY | 71.955 | 0,035% | C | |
| FOC | ||||
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES FUND | 19.163 | 0,009% | C | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND LEGAL & GENERAL REAL CAPITAL BUILDER FUND |
82 29.340 |
0,000% 0,014% |
C C |
|
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | C | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) | 197.353 | 0,096% | C | |
| LIMITED | ||||
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | C | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | C | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | C | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST LEGAL AND GENERAL EUROPEAN INDEX TRUST |
36.749 116.262 |
0,018% 0,057% |
C C |
|
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | C | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | C | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | C | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | C | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | C | |
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS | ||||
| UMBRELLA | 267.025 | 0,130% | C | |
| LGIASUPER | 10.474 | 0,005% | C | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,016% | C | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 98 | 0,000% | C | |
| LVUI EQUITY EUROPE | 15.960 | 0,008% | C | |
| LVUI EQUITY WORLD EX EUROPE | 1.500 | 0,001% | C | |
| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,015% | C | |
| MACKENZIE EUROPEAN SMALL-MIDCAPFUND | 36.813 | 0,018% | C | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT ETF | 165 | 0,000% | C | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT FUND | 225 | 0,000% | C | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 3.958 | 0,002% | C | |
| MAIN I - UNIVERSAL - FONDS | 32.574 | 0,016% | C | |
| MAIN VI-UNIVERSAL-FONDS | 461 | 0,000% | C | |
| MAN AHL DIVERSIFIED MARKETS EU BEUR- WORLD TRADE CENTER | 126 | 0,000% | C | |
| MAN DESERTWOOD FUND LIMITED C/O CITCO TRUSTEES (CAYMAN LIMITED) |
18.728 | 0,009% | C | |
| MAN FUNDS PLC MAN GLG PAN EUROPEAN EQUITY GROWTH | 260.406 | 0,127% | C | |
| MAN FUNDS PLC MAN GLG RI GLOBAL SUSTAINABLE GROWTH | 93.065 | 0,045% | C | |
| MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | 6.810 | 0,003% | C | |
| MAN FUNDS PLC MAN NUMERIC RI GLOBAL EQUITY | 3.140 | 0,002% | C | |
| MAN FUNDS VI PLC | 3.997 | 0,002% | C | |
| MAN FUNDS VIII ICAV-MAN AHL DIVERSIFIED. | 1.280 | 0,001% | C | |
| MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES | 3.905 | 0,002% | C | |
| (CAYMAN) LIMITED | ||||
| MAN FUNDS XII SPC-MAN 1783 III SP | 25 | 0,000% | C | |
| MAN GLG CONTINENTAL EUROPEAN GROWTH FUND | 1.269.306 | 0,617% | C | |
| MAN GLG EUROPEAN EQUITY ALTERNATIVE | 29.560 | 0,014% | C | |
| MAN INSIGHT LIMITED | 91 | 0,000% | C | |
| MAN INTERNATIONAL ICVC MAN DYNAMIC ALLOCATION FUND MAN MULTI-STRATEGY MASTER FUND MAPLES CORPORATE SERVICES |
961 | 0,000% | C | |
| LIMITES | 8.728 | 0,004% | C | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA QUALITY | 102 | 0,000% | C | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 4.390 | 0,002% | C | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN | 1.444 | 0,001% | C | |
| NUMERIC DIVERSIFIED RISK P REMIA PROGRESSIVE | ||||
| MAN NUMERIC EXPLORER MAPLES CORPORATE SERVICES LIMITED | 50 | 0,000% | C | |
| MAN NUMERIC INTERNATIONAL ALPHA (US) LP | 3.050 | 0,001% | C | |
| MAN NUMERIC LONG TERM ALPHA LP MAPLES CORPORATE SERVICES | 2.570 | 0,001% | C | |
| LIMITED | ||||
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,000% | C | |
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR PARTICIPANT DIRECTED ACCOUNTS |
39.739 | 0,019% | C | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | C | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | C | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | C | |
| MERCER QIF CCF | 37.224 | 0,018% | C | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | C | |
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | C | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,013% | C | |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,015% | C | |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | C | |
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,013% | C | |
| MI - FONDS K12 | 11.854 | 0,006% | C | |
| MI - FONDS K14 | 36.000 | 0,017% | C | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | C | |
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | C | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | C | |
| MLC INVESTMENTS, MLC LIMITED | 7.222 | 0,004% | C | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | C | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | C | |
| MORG ST INTERNATIONAL EQUITY PORTFOLIO | 667.639 | 0,324% | C |

| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 0,006% | C | |
|---|---|---|---|
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES | 1.572 | 0,001% | C |
| PORTFOLIO | |||
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | C |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | C |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | C |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | C |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | C |
| REGARD ACT CROISSAN | 5.000 | 0,002% | C |

| SIEMENS DC BALANCED | 445 | 0,000% | C |
|---|---|---|---|
| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | C |
| SIEMENS EMU EQUITIES | 13.972 | 0,007% | C |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,001% | C |
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,016% | C |
| STANDARD BANK OF SOUTH AFRICA LTD | 7.338 | 0,004% | C |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | C |
| STICHTING AHOLD DELHAIZE PENSIOEN | 14.061 | 0,007% | C |

| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 10.303 | 0,005% | C |
|---|---|---|---|
| UI-E | 5.465 | 0,003% | C |
| UI-FONDS BAV RBI AKTIEN | 17.551 | 0,009% | C |
| UNION INVESTMENT INSTITUTIONAL GMBH | 9.708 | 0,005% | C |
| UNIVERSAL INVEST SICAV | 223.368 | 0,109% | C |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS |
9.009 | 0,004% | C |
| Universal Investment GmbH | 94.420 | 0,046% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG AKTIEN | 67.000 | 0,033% | C | |
| GLOBAL PLUS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG MULTI |
||||
| ASSETDEFENSIVE | 10.000 | 0,005% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK | 224.924 | 0,109% | C | |
| A1-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
19.415 | 0,009% | C | |
| A4-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF |
||||
| BROCKEN-UI-FONDS | 2.945 | 0,001% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE |
1.100 | 0,001% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO | 13.441 | 0,007% | C | |
| UNIVERSAL-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT |
5.980 | 0,003% | C | |
| EURO AKTIEN SOLVENCY UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT |
||||
| EURO AKTIEN VOLCONTROL | 6.000 | 0,003% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US UNIVERSAL-FONDS |
77.354 | 0,038% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | 2.004 | 0,001% | C | |
| UNIVERSAL-CA V UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB |
||||
| UNIVERSAL-FONDS | 375 | 0,000% | C | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 17.328 | 0,008% | C | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | C | |
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | C | |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | C | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | C | |
| VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS | 8.361 | 0,004% | C | |
| VGV POOLFONDS PA1 | 4.722 | 0,002% | C | |
| VILLIERS ACTIONS EUROPE SYST AGI | 36.080 | 0,018% | C | |
| VONTOBEL FUND - VESCORE GLOBAL EQUITY MULTI FACTOR | 456 | 0,000% | C | |
| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | 252 | 0,000% | C | |
| C/O VONTOBEL FONDS SERVICES AG | ||||
| VWINKA SONDERVERMGEN | 8.000 | 0,004% | C | |
| WCM FOCUSED INTERNATIONAL OPPO | 8.390 | 0,004% | C | |
| WCM INTERNATIONAL LONG-TERM | 755 | 0,000% | C | |
| WCM INVESTMENT MANAGEMENT | 908 | 0,000% | C | |
| WEST YORKSHIRE PENSION FUND | 50.000 | 0,024% | C | |
| WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST - WILSHIRE MULT | 1.084 | 0,001% | C | |
| WILSHIRE MUTUAL FUNDS, INC. - WILSHIRE INTERNATIONAL EQUITY FUND |
2.615 | 0,001% | C | |
| XTRACKERS | 208.841 | 0,101% | C | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 98.205 | 0,048% | C | |
| YORKTOWN GROWTH FUND | 7.700 | 0,004% | C | |
| ZURICH ASSURANCE LTD | 263.686 | 0,128% | C | |
| ZURICH FINANCIAL SERVICES UK PENSION SCHEME. | 39.461 | 0,019% | C | |
| ZURICH INVEST ICAV | 32.795 | 0,016% | C | |
| ZURICH LIFE ASSURANCE PLC | 69.257 | 0,034% | C | |
| ZURICH VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 470 | 0,000% | C | |
| ZVK KVS FONDS | 6.000 | 0,003% | C | |
| ALLEANZA ASSICURAZIONI SPA | 38.144 | 0,019% | A | |
| ARGENTA DP | 43.850 | 0,021% | A | |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA PENSIOENSPAARFONDS |
150.000 | 0,073% | A | |
| CHALLENGE FUNDS - CHALLENGE INTERNATIONAL EQUITY FUND | 16.394 | 0,008% | A | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,035% | A | |
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,014% | A | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | A | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO | 6.200 | 0,003% | A | |
| FUND | ||||
| DPAM B | 241.864 | 0,118% | A | |
| DPAM DBI RDT | 11.907 | 0,006% | A | |
| DPAM L | 4.150 | 0,002% | A |
| E-MARKET SDIR |
|---|
| CERTIFIED |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | A | |
| GENERALI ITALIA SPA | 26.722 | 0,013% | A | |
| GENERALI VIE | 134.803 | 0,066% | A | |
| GID-FONDS ALAET | 40.240 | 0,020% | A | |
| GID-FONDS CEAOT | 68.126 | 0,033% | A | |
| GID-FONDS DLAET | 6.220 | 0,003% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| HUSSMAN STRATEGIC INTERNATIONAL FUND | 1.000 | 0,000% | A | |
| II | 3.800 | 0,002% | A | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A | |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A | |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
Totale votanti 205.772.104 100%
NE - Non espresso
F - Favorevole
C - Contrario A - Astenuto
Lx - Lista x
NV - Non votante
Legenda

Relazione sulla politica in materia di remunerazione e sui compensi corrisposti di Moncler, redatta ai sensi dell'Art. 123-ter, del D. Lgs. n. 58/98 e dell'Art. 84 quater del Regolamento Consob n. 11971/1999: Deliberazione non vincolante sulla seconda sezione in tema di compensi corrisposti predisposta ai sensi dell'Art. 123-ter, comma 4, del D. Lgs. n. 58/98. Deliberazioni inerenti e conseguenti.
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 134.644.786 | 65,43393% | 49,19739% |
| Contrario | 69.715.583 | 33,88000% | 25,47313% |
| Astenuto | 1.105.700 | 0,53734% | 0,40401% |
| Non Votante | 306.035 | 0,14873% | 0,11182% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | 16.513 | 0,008% | F | |
| EQUITY ENHANCED INDEX FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN | 13.079 | 0,006% | F | |
| EQUITY TRACKER FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | 2.032 | 0,001% | F | |
| ENHANCED INDEX FUND | ||||
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET ALLOCATION PORTFOLIO |
5.355 | 0,003% | F | |
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | 3.330 | 0,002% | F | |
| PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | F | |
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,001% | F | |
| ALICE A PROIETTI FAMILY TRUST UAD 09/27/13 | 684 | 0,000% | F | |
| ALLSTATE INSURANCE COMPANY | 13.511 | 0,007% | F | |
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH AND INCOME | 44.828 | 0,022% | F | |
| FUND | ||||
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH FUND | 217.370 | 0,106% | F | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | F | |
| ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST | 1.420 | 0,001% | F | |
| AQUARIUS INTERNATIONAL FUND | 774 | 0,000% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 44.689 | 0,022% | F | |
| ARVEST FOUNDATION | 8 | 0,000% | F | |
| AST QMA INTERNATIONAL CORE EQUITY PORTFOLIO | 912 | 0,000% | F | |
| AURION GLOBAL EQUITY FUND | 645 | 0,000% | F | |
| Australian Catholic Superannuation and Retirement Fund | 863 | 0,000% | F | |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,006% | F | |
| AXA ROSENBERG EQUITY ALPHA TRUST | 1.910 | 0,001% | F | |
| AZL INTERNATIONAL INDEX FUND | 20.158 | 0,010% | F | |
| AZL MSCI GLOBAL EQUITY INDEX FUND | 1.545 | 0,001% | F | |
| BANK OF BOTSWANA. | 1.396 | 0,001% | F | |
| BANK OF KOREA | 745 | 0,000% | F | |
| BEAT DRUGS FUND ASSOCIATION | 359 | 0,000% | F | |
| BIMCOR OVERSEAS POOLED FUND | 21.207 | 0,010% | F | |
| BLACKROCK - IG INTERNATIONALEQUITY POOL | 500 | 0,000% | F | |
| BLACKROCK ADVANTAGE GLOBAL FUN | 282 | 0,000% | F | |
| BLACKROCK ADVANTAGE INTERNATIONAL FUND | 6.583 | 0,003% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 229.060 | 0,111% | F | |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 4.800 | 0,002% | F | |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 93.391 | 0,045% | F |
Relazione sulla politica in materia di remunerazione e sui compensi corrisposti di Moncler, redatta ai sensi dell'Art. 123-ter, del D. Lgs. n. 58/98 e dell'Art. 84-quater del Regolamento Consob n. 11971/1999: Deliberazione non vincolante sulla seconda sezione in tema di compensi corrisposti predisposta ai sensi dell'Art. 123-ter, comma 4, del D. Lgs. n. 58/98. Deliberazioni inerenti e conseguenti.



| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
|---|---|---|---|---|
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O KESWICK MANAGEMENT |
779 | 0,000% | F | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
| DYNASTY INVEST LTD | 361 | 0,000% | F | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | F | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | F | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | F | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,009% | F | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 | 946 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 | 1.236 | 0,001% | F | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | 4.988 | 0,002% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
1.187 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
5.002 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
6.291 | 0,003% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
9.008 | 0,004% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY | 24.816 | 0,012% | F | |
| PORTFOLIO EQUIPSUPER |
4.408 | 0,002% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 1.952 | 0,001% | F | |
| ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER FUND |
544.610 | 0,265% | F | |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,005% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,084% | F | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,006% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,033% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,040% | F | |
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 7.817 | 0,004% | F | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,005% | F | |
| EXELON FITZPATRICK QUALIFIED FUND | 872 | 0,000% | F | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | F | |
| FCP CARPIMKO EUROPE | 11.386 | 0,006% | F | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,008% | F | |
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,003% | F | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED POOL |
58.400 | 0,028% | F | |
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 342.300 | 0,166% | F | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | F | |
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND | 58.667 | 0,029% | F | |
| FIDELITY FOUNDERS INVESTMENT TRUST | 33.300 | 0,016% | F | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | F | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,033% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,022% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,012% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,040% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 0,826% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,231% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,006% | F | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 148.841 | 0,072% | F | |
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 161.097 | 0,078% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND |
1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | 3.696 | 0,002% | F | |
| INDEX FUND FLOURISH INVESTMENT CORPORATION |
13.404 | 0,007% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,000% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 2.850 | 0,001% | F | |
| GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY | 8.632 | 0,004% | F | |
| GAM MULTISTOCK | 345.315 | 0,168% | F | |
| GAM STAR FUND PLC | 552.141 | 0,268% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 52.585 | 0,026% | F | |
| GIC PRIVATE LIMITED | 18.988 | 0,009% | F | |
| GIN S.R.L. | 11666950966 | 779.732 | 0,379% | F |
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | F | |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | 650 | 0,000% | F | |
| PORTFOLIO | ||||
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 2,438% | F | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,000% | F | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,069% | F | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 8.218 | 0,004% | F | |
| GOVERNMENT OF NORWAY GOVERNMENT OF SINGAPORE |
2.841.347 1.461.262 |
1,381% 0,710% |
F F |
|
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund | 58.991 | 0,029% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT | ||||
| EXCHANGE | 171.707 | 0,083% | F | |
| HRW TESTAMENTARY TRUST NO 2 | 855 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO 3. | 1.326 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO. 11. | 995 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 1.853 | 0,001% | F | |
| HRW TRUST NO 1 UAD 01/17/03. | 2.051 | 0,001% | F | |
| HRW TRUST NO 2 UAD 01/17/03. | 2.184 | 0,001% | F | |
| HRW TRUST NO 3 UAD 01/17/03. | 652 | 0,000% | F | |
| HRW TRUST NO 4 UAD 01/17/03 | 1.367 | 0,001% | F | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 4.260 | 0,002% | F | |
| INTERNATIONAL ALPHA TILTS FUND B (INTLTB) | 1.149 | 0,001% | F | |
| INTERNATIONAL EQUITY FUND LLC | 1.343 | 0,001% | F | |
| INTERNATIONAL MONETARY FUND | 6.196 | 0,003% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT |
107 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 426 | 0,000% | F | |
| INTERNATIONAL OPPORTUNITY FUND I | 66.547 | 0,032% | F | |
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT | 1.363 | 0,001% | F | |
| PORTFO IPROFILE INTERNATIONAL EQUITY PRIVATE POOL |
6.337 | 0,003% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.100.037 | 0,535% | F | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 48.266 | 0,023% | F | |
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,044% | F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,036% | F |

| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | F | |
|---|---|---|---|---|
| KINSTED GLOBAL EQUITY POOL | 59.251 | 0,029% | F | |
| KOKUSAI EQUITY INDEX FUND | 6.832 | 0,003% | F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL EQUITY MASTER INVESTMENT TRUST 3 |
145.559 | 0,071% | F | |
| KUTXABANK GESTION SGIIC, S.A. | 210.135 | 0,102% | F | |
| LABORFONDS - FONDO PENSIONE COMPLEMENTARE LAVORATORI DIPENDENTIOPERANTI IN TRENT |
18.222 | 0,009% | F | |
| LEFEVI S.R.L. | 11656180962 | 711.507 | 0,346% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LORD MAYOR'S CHARITABLE FOUNDATION | 188 | 0,000% | F | |
| LTW INVESTMENTS LLC | 13.669 | 0,007% | F | |
| M & G Securities Limited | 5.213 | 0,003% | F | |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK INDEX | ||||
| Fund | 34.007 | 0,017% | F | |
| MANAGED INVESTMENT FUNDS ICVCINTERNATIONAL EQUITY TRACKER | ||||
| FUND | 738 | 0,000% | F | |
| MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 4.415 | 0,002% | F | |
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,005% | F | |
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,093% | F | |
| MARS S.R.L. | 11666960965 | 779.732 | 0,379% | F |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O | 1.802.175 | 0,876% | F | |
| MARSHALL WACE IRELAND LTD | ||||
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,020% | F | |
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | F | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,186% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 9.094 | 0,004% | F | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,170% | F | |
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,377% | F | |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO | 4.361.926 | 2,120% | F | |
| MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO | 1.942.734 | 0,944% | F | |
| MORGAN STANLEY EUROPE OPPORTUNITY FUND INC | 264.491 | 0,129% | F | |
| MORGAN STANLEY PATHWAY FUNDS | 4.198 | 0,002% | F | |
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 1.804 | 0,001% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,005% | F | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | F | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,045% | F | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | F | |
| MUNICIPAL EMPLOYEES PENSION PLAN | 72.164 | 0,035% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 14.037 | 0,007% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 53.496 | 0,026% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 15.524 | 0,008% | F | |
| NAV CANADA PENSION PLAN | 2.980 | 0,001% | F | |
| NEF EURO EQUITY | 159.607 | 0,078% | F | |
| NEMOURS FOUNDATION | 184 | 0,000% | F | |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F | |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | F | |
| NEWBURG NOMINEES LIMITED INVESTORSWHOLESALE GLOBAL EQUITY | 15.678 | 0,008% | F | |
| (INDEX) TRUST | ||||
| NISSAN NORTH AMERICA INC. EMPLOYEE RETIREMENT PLAN MASTER TRUST |
35.126 | 0,017% | F | |
| NORGES BANK | 49.639 | 0,024% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 60.221 | 0,029% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 438.128 | 0,213% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 119.059 | 0,058% | F | |
| NORTHERN TRUST UCITS FGR FUND | 30.088 | 0,015% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND | 168 | 0,000% | F | |
| NTGI - QM COMMON DAILY ALL COUNTRY WORLD EX-US EQUITY | ||||
| INDEX | 9.906 | 0,005% | F | |
| NTGI-QM COMMON DAILY ALL COUNTRY WORLD EX-US INVESTABLE MARKET INDEX FUND - NON LENDING |
7.437 | 0,004% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - LENDING | 10.139 | 0,005% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - NON LENDING | 30.497 | 0,015% | F | |
| NVIT INTERNATIONAL INDEX FUND | 23.688 | 0,012% | F | |
| PEOPLE'S BANK OF CHINA | 49.917 | 0,024% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,000% | F | |
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PINEBRIDGE FUND SERIES - PINEBRIDGEEUROPE EQUITY FUND | 15.958 | 0,008% | F | |
| PINEBRIDGE GLOBAL FUNDS | 7.685 | 0,004% | F | |
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | F | |
| Prudential Pensions Limited | 3.218 | 0,002% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,004% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | F | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK | 146.256 | 0,071% | F | |
| Fund RAILWAYS PENSION TRUSTEE COMPANY LIMITED |
111.170 | 0,054% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT | 3.584 | 0,002% | F | |
| TRUST RETAIL EMPLOYEES SUPERANNUATIONTRUST |
730 | 0,000% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B | ||||
| (REMGEOB) | 2.713 | 0,001% | F | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | F | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,000% | F | |
| S. ROBSON WALTON 2010 TRUST | 1.076 | 0,001% | F | |
| SAKKARAH 7 FCP | 31.165 | 0,015% | F | |
| SALIX LLC | 10.816 | 0,005% | F | |
| SAN JOSE FEDERATED CITY EMPLOYEES RETIREMENT SYST | 27.282 | 0,013% | F | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | F | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | F | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | F | |
| SHELL PENSION TRUST | 4.014 | 0,002% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 255.356 | 0,124% | F | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
179.400 | 0,087% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 20.771 | 0,010% | F | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | F | |
| STATE OF MINNESOTA | 241.152 | 0,117% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 93.124 | 0,045% | F | |
| STATE OF WYOMING | 9.297 | 0,005% | F | |
| STEUART L. WALTON FAMILY TRUST UAD 3/19/13 | 2.739 | 0,001% | F | |
| STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE | 359 | 0,000% | F | |
| KANK STICHTING PENSIOENFONDS SAGITTARIUS |
5.640 | 0,003% | F | |
| STICHTING PHILIPS PENSIOENFONDS | 3.901 | 0,002% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.810 | 0,001% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | 1.135 | 0,001% | F | |
| AUSTRAL | ||||
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 0,996% | F |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 19.162 | 0,009% | F | |
| TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 527.412 | 0,256% | F | |
| TEXAS EDUCATION AGCY | 57.379 | 0,028% | F | |
| TEXAS EDUCATION AGENCY | 8.056 | 0,004% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 512 | 0,000% | F | |
| THE BANK OF KOREA | 8.422 | 0,004% | F | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 771 | 0,000% | F | |
| THE GLENCORE CANADIAN PENSION FUNDS TRUST-FOREIGN EQUITY FUND |
52.245 | 0,025% | F | |
| THE GROWTH FUND OF AMERICA | 5.358.544 | 2,604% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION | 10.408 | 0,005% | F | |
| OF NATIONAL PUBLIC SERVICE PERSONNEL | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 113.633 | 0,055% | F | |
| MTBJ400045828 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MUTB400045792 | 233.264 | 0,113% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 273.582 | 0,133% | F | |
| MUTB400045794 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL | 4.530 | 0,002% | F | |
| PENSION FUND ASSOCIATION 400037061 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 1.672 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | F | |
| THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK | 5.242 | 0,003% | F | |
| ESG INSIGHTS EUROPE | ||||
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | F | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 3.814 | 0,002% | F | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 5.401 | 0,003% | F | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 | 1.891 | 0,001% | F | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP | 157 | 0,000% | F | |
| TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND | 445.951 | 0,217% | F | |
| TIAACREF INTERNATIONAL EQUITY FUND | 1.307.128 | 0,635% | F | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 232.530 | 0,113% | F | |
| TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND | 28.282 | 0,014% | F | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV |
11.041 | 0,005% | F | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | F | |
| UFF VALEUR PME | 206.481 | 0,100% | F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 212 | 0,000% | F | |
| UNITY FUND | 20.474 | 0,010% | F | |
| UPS GROUP TRUST | 58.308 | 0,028% | F | |
| VENEZIO INVESTMENTS PTE. LTD. | 1.409.998 | 0,685% | F | |
| VIRGINIA TECH FOUNDATION INC | 972 | 0,000% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | F | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND | 7.884 | 0,004% | F | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,003% | F | |
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | C | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | C | |
| 1895 FONDS FGR 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER |
16.454 358 |
0,008% 0,000% |
C C |
|
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | C | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | C | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | C | |
| ABB PENSION FUND | 500 | 0,000% | C | |
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | C | |
| ABN AMRO FUNDS | 30.141 | 0,015% | C | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | C | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | C | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | C | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | C | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | C | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | C | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | C | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE | 852 | 0,000% | C | |
| SERVICES LIMITED | ||||
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | C | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | C | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | C | |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AHL GENESIS LIMITED | 8.529 | 0,004% | C | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | C | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | C | |
| Aktien Europa - UI | 6.384 | 0,003% | C | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,004% | C | |
| ALGEBRIS UCITS FUNDS PLC ALGEBRIS CORE ITALY FUND | 40.000 | 0,019% | C | |
| ALGER GLOBAL FOCUS FUND | 14.053 | 0,007% | C | |
| ALIGHT SOLUTIONS LLC 401(K) PLAN TRUST | 3.660 | 0,002% | C | |
| ALLEANZA OBBLIGAZIONARIO | 25.134 | 0,012% | C | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 84.000 | 0,041% | C | |
| ALLIANZ CHOICE BEST STYLES EUROPE | 16.980 | 0,008% | C | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 128.320 | 0,062% | C | |
| ALLIANZ GLOBAL INVESTORS FUND | 107.277 | 0,052% | C | |
| Allianz Global Investors GmbH | 49.200 | 0,024% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 19.391 | 0,009% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT | ||||
| MASTER | 2.155 | 0,001% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH RE ALLIANZGI-FONDS AOKNW-AR | 704 | 0,000% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 2.500 | 0,001% | C | |
| Allianz PV-WS RCM SysPro Value Europe | 4.270 | 0,002% | C | |
| ALLIANZGI FONDS LUNA A | 53.791 | 0,026% | C | |
| ALLIANZGI S AKTIEN | 6.191 | 0,003% | C | |
| ALLIANZGI-FONDS AFE SEGMENT AFE-AA3 | 17.830 | 0,009% | C | |
| ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO | 8.500 | 0,004% | C | |
| ALLIANZGI-FONDS DSPT | 29.365 | 0,014% | C | |
| ALLIANZGI-FONDS DUNHILL | 1.820 | 0,001% | C | |
| ALLIANZGI-FONDS GANO 2 | 1.366 | 0,001% | C | |
| ALLIANZGI-FONDS MAF5 | 4.350 | 0,002% | C | |
| ALLIANZGI-FONDS PF1 SEGMENT PF1-GM1-G_MA | 9.274 | 0,005% | C | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-AA1-E_EUA | 10.561 | 0,005% | C | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-GM1-G_MA (MERITEN IM) | 6.986 | 0,003% | C | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-AA1-E_EUA | 30.087 | 0,015% | C | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-GM1-G_MA | 8.677 | 0,004% | C | |
| ALLIANZGI-FONDS SHL | 1.200 | 0,001% | C | |
| ALLIANZGI-SUBFONDS HNE AKTIEN A | 50.000 | 0,024% | C | |
| ALPS GLOBAL TRAVEL BENEFICIARIES ETF | 499 | 0,000% | C | |
| ALTE LEIPZIGER TRUST INVESTMENT GESELLSCHAFT MBH | 2.537 | 0,001% | C | |
| AMCETF QUALITY DIVERSIFIED INTERNATIONAL ETF | 3.677 | 0,002% | C | |
| AMERICAN BUREAU OF SHIPPING | 97 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 8.725 | 0,004% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 821 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL | 29 | 0,000% | C | |
| EQUITY ETF | ||||
| AMERICAN HEART ASSOCIATION, INC. | 166 | 0,000% | C | |
| AMG GW AND K EMERGING WEALTH EQUITY FUND | 13.283 | 0,006% | C | |
| AMG GW AND K GLOBAL ALLOCATION FUND | 25.206 | 0,012% | C | |
| AMO UCITS FUND | 95.702 | 0,047% | C | |
| AMONIS NV | 15.346 | 0,007% | C | |
| AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND | 5.248 | 0,003% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 17.825 | 0,009% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | C | |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | C | |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | C | |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,018% | C | |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | C | |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | C | |
| AMUNDI ACTIONS PME | 205.868 | 0,100% | C | |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,025% | C | |
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,056% | C | |
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,005% | C | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,001% | C | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,011% | C | |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 6.076 | 0,003% | C | |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION | ||||
| SCIENTIFIC BETA | 687 | 0,000% | C | |
| AMUNDI INDEX MSCI EUROPE | 74.087 | 0,036% | C | |
| AMUNDI INDEX MSCI WORLD | 12.983 | 0,006% | C | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 489 | 0,000% | C | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 1.881 | 0,001% | C | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 883 | 0,000% | C | |
| AMUNDI MSCI EUROPE | 13.460 | 0,007% | C | |
| AMUNDI MSCI EUROPE CLIMATE PARIS ALIGNED PAB | 196 | 0,000% | C | |
| AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB | 1.318 | 0,001% | C | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 74 | 0,000% | C | |
| AMUNDI MSCI EUROPE EX UK | 139 | 0,000% | C | |
| AMUNDI MSCI WORLD CLIMATE PARIS AL.P.UM | 893 | 0,000% | C | |
| AMUNDI MSCI WORLD CLIMATE PARIS ALIG PAB | 1.869 | 0,001% | C | |
| AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 11.067 | 0,005% | C | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 16 | 0,000% | C | |
| AMUNDI PRIME EUROZONE | 5.068 | 0,002% | C | |
| AMUNDI RESA ACTIONS FRANCE | 88.100 | 0,043% | C | |
| AMUNDI REVENUS - ACTIONS HIGH DIV | 735 | 0,000% | C | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 76.186 | 0,037% | C | |
| AMUNDI SGR SPA / AMUNDI SVILUP PO ITALIA | 337.000 | 0,164% | C | |
| AMUNDI SIF Global Ethical Equities | 231 | 0,000% | C | |
| AMUNDI STOXX EUROPE 600 | 4.477 | 0,002% | C | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 13.141 | 0,006% | C | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 264 | 0,000% | C | |
| AMUNDI TRANSMISSION PATRIMOINE | 2.384 | 0,001% | C | |
| AMUNDI VALORE ITALIA PIR | 48.700 | 0,024% | C | |
| ANDRA AP-FONDEN | 36.924 | 0,018% | C | |
| ANIMA ALTO POTENZIALE ITALIA | 100.000 | 0,049% | C | |
| ANIMA AZIONARIO PAESI SVILUPPATI LTE | 1.468 | 0,001% | C | |
| ANIMA CRESCITA ITALIA | 27.500 | 0,013% | C | |
| ANIMA CRESCITA ITALIA NEW | 1.009 | 0,000% | C | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 8.356 | 0,004% | C | |
| ANIMA INIZIATIVA ITALIA | 62.995 | 0,031% | C | |
| ANIMA ITALIA | 141.727 | 0,069% | C | |
| ANIMA OBIETTIVO ITALIA | 15.000 | 0,007% | C | |
| AON HEWITT COLLECTIVE INVESTMENT TRUST | 6.380 | 0,003% | C | |
| AON SAVINGS PLAN TRUST | 5.802 | 0,003% | C | |
| AP ACTIONS 1 EURO | 8.665 | 0,004% | C | |
| AP ACTIONS 3 MIN VOL | 2.565 | 0,001% | C | |
| APERTURE INTERNATIONAL EQUITY FUND | 26.452 | 0,013% | C | |
| API RETRAITE DIVERSIFIE | 36.271 | 0,018% | C | |
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | C | |
| AQR INNOVATION FUND, L.P. | 184 | 0,000% | C | |
| AQR STOCK SELECTION II MASTER ACCOUNT L.P. C/O AQR | 264 | 0,000% | C | |
| MANAGEMENT LLC | ||||
| AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC | 71 | 0,000% | C | |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | C | |
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,060% | C | |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,010% | C | |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | C | |
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | C | |
| ARIZONA STATE RETIREMENT SYSTEM | 10.603 | 0,005% | C | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | C | |
| ARPEGE ACTIONS | 1.500 | 0,001% | C | |
| ARRCO LONG TERME F | 47.791 | 0,023% | C | |
| ARRCO QUANT 1 | 10.271 | 0,005% | C | |
| ARRCO QUANT 2 | 17.676 | 0,009% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,025% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,033% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,014% | C | |
| ARROWSTREET GLOBAL EQUITY FUND | 59.945 | 0,029% | C | |
| ARROWSTREET US GROUP TRUST | 9.825 | 0,005% | C | |
| ARTEMIS EUROPEAN OPPORTUNITIES FUND | 46.019 | 0,022% | C | |
| ARTISAN INTERNATIONAL SMALL-MID FUND | 436.900 | 0,212% | C | |
| ARTISAN INTERNATIONAL SMALL-MID TRUST | 8.557 | 0,004% | C | |
| ARUSHA BOURKE SEPARATE PROPERTY TRUST UAD 11/16/09 | 97 | 0,000% | C | |
| AS INTL EQUI - AEF II NON FLIP | 11.806 | 0,006% | C | |
| ASCENSION ALPHA FUND LLC | 624 | 0,000% | C | |
| ASR LEVENSVERZEKERING N.V. | 48.293 | 0,023% | C | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,003% | C | |
| ASSOCIATED BRITISH FOODS PENSION SCHEME | 208.770 | 0,101% | C | |
| ASSURDIX | 21.462 | 0,010% | C | |
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,006% | C | |
| ATCP-UI-FONDS | 1.905 | 0,001% | C | |
| ATOUT EUROLAND CORE + | 11.106 | 0,005% | C | |
| ATRIUM HEALTH FOUNDATION | 485 | 0,000% | C | |
| AUDIENS A3 | 2.250 | 0,001% | C | |
| AUSTRALIA POST SUPERANNUATION SCHEME | 795 | 0,000% | C | |
| AUSTRALIAN CAPITAL TERRITORY | 6.435 | 0,003% | C | |
| AUSTRALIAN CATHOLIC SUPERANNUATION AND RETIREMENT FUND | 1.070 | 0,001% | C | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,057% | C | |
| AUSTRALIANSUPER | 89.403 | 0,043% | C | |
| Aviva Investors Funds ACS - AI Europe Equity Ex UK Fund | 693.293 | 0,337% | C | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND |
3.020 | 0,001% | C | |
| Aviva Investors Passive Funds ACS - AI 30:70 Global Equity (Currency Hedged) Index Fund |
4.609 | 0,002% | C | |
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index Fund |
30.843 | 0,015% | C | |
| Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index Fund |
8.078 | 0,004% | C | |
| Aviva Investors Passive Funds ACS - AI Continental European Equity Index Fund |
44.931 | 0,022% | C | |
| Aviva Investors Passive Funds ACS - AI Developed European ex UK Equity Index Fund |
58.891 | 0,029% | C | |
| Aviva Investors Passive Funds ACS - AI Developed World ex UK Equity Index Fund |
10.931 | 0,005% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND I |
55 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND II |
323 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND III |
617 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND IV |
461 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND V |
167 | 0,000% | C | |
| AVIVA LIFE & PENSIONS IRELAND DAC | 6.814 | 0,003% | C | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | C | |
| AWARE SUPER | 37.693 | 0,018% | C | |
| AZ FUND 1 AZ ALLOCATION EUROPEAN DYNAMIC | 7.800 | 0,004% | C | |
| AZ FUND 1 AZ ALLOCATION GLOBAL | 1.250 | 0,001% | C | |
| AZ FUND 1 AZ ALLOCATION GLOBAL INCOME | 100.000 | 0,049% | C |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 87.500 | 0,043% | C |
|---|---|---|---|
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 2.000 | 0,001% | C |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 38.500 | 0,019% | C |
| AZ FUND 1 AZ ALTERNATIVE CORE BRANDS | 90.000 | 0,044% | C |
| AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE | 5.000 | 0,002% | C |
| AZ FUND 1 AZ EQUITY BORLETTI GLOBAL LIFESTYLE | 150.000 | 0,073% | C |
| AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 7.625 | 0,004% | C |
| AZIMUT STRATEGIC TREND | 220 | 0,000% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AZIMUT TRADING | 220 | 0,000% | C | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 1.945 | 0,001% | C | |
| BANCO BILBAO VIZCAYA ARGENTARIA SA | 10.666 | 0,005% | C | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 12.768 | 0,006% | C | |
| BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE | ||||
| FIDEICOMISO DE FOND O DE AHORRO DE PANAMA | 1.448 | 0,001% | C | |
| BANCOPOSTA EQUITY DEVELOPED COUNTRIES | 1.604 | 0,001% | C | |
| BANCOPOSTA GLOBAL EQUITY HEDGED LTE | 321 | 0,000% | C | |
| BANCOPOSTA GLOBAL EQUITY LTE | 473 | 0,000% | C | |
| BANCOPOSTA RINASCIMENTO | 14.536 | 0,007% | C | |
| BANK OF KOREA | 111.858 | 0,054% | C | |
| BANSABADELL 18 FP | 365 | 0,000% | C | |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY | ||||
| FUND | 1.883 | 0,001% | C | |
| BEAR CREEK INC | 2.075 | 0,001% | C | |
| BEL EQUITY EUROPE ESG | 22.163 | 0,011% | C | |
| BELFIUS EQUITIES NV | 8.701 | 0,004% | C | |
| BELFIUS PENSION FUND BALANCED PLUS | 25.281 | 0,012% | C | |
| BELFIUS PENSION FUND HIGH | 79.211 | 0,038% | C | |
| BELFIUS PENSION FUND LOW EQUITIES | 10.754 | 0,005% | C | |
| BELL ATLANTIC MASTER TRUST | 691 | 0,000% | C | |
| BELL GLOBAL TRUST | 25.474 | 0,012% | C | |
| BELLEVUE FUNDS (LUX) - BB ENTREPRENEUR EUROPE SMALL | 10.552 | 0,005% | C | |
| BELLSOUTH CORP RFA VEBA TRUST | 2.800 | 0,001% | C | |
| BERENBERG ABSOLUTE RETURN EUROPEAN | 12.554 | 0,006% | C | |
| BERENBERG AKTIEN | 21.674 | 0,011% | C | |
| BERENBERG EUROPEAN FOCUS FUND | 665.492 | 0,323% | C | |
| BERENBERG EUROZONE FOCUS FUND | 94.350 | 0,046% | C | |
| BESSEMER TRUST CO CLEARING ACCT | 1.955 | 0,001% | C | |
| BEST BUSINESS MODELS SRI | 460.000 | 0,224% | C | |
| Best Investment Corporation | 2.311 | 0,001% | C | |
| BETURN | 10.374 | 0,005% | C | |
| BEWAARSTICHTING NNIP I | 2.983 | 0,001% | C | |
| BFT EURO FUTUR ISR | 7.250 | 0,004% | C | |
| BFT PARTNERS VIA EQUITY EUROPE SRI | 24.227 | 0,012% | C | |
| BI Aktienfonds | 3.196 | 0,002% | C | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | C | |
| BLOOMBERG FINANCE L.P. | 148.344 | 0,072% | C | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | C | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | ||||
| ETF | 1.444 | 0,001% | C | |
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,028% | C | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | C | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | C | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | C | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | C | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,031% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,048% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,009% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,003% | C | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,006% | C | |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 CAPPED | 100.000 | 0,049% | C | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | C | |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,005% | C | |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,008% | C | |
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,015% | C | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,012% | C | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 1.456 | 0,001% | C | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,003% | C | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | C | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | C | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,002% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | ||||
| AMERICA | 4.893 | 0,002% | C | |
| BOC PENSION INVESTMENT FUND | 45.308 | 0,022% | C | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | C | |
| BP PENSION FUND | 3.370 | 0,002% | C | |
| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED RISKPORTFOLIO II |
8.687 | 0,004% | C | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO |
982 | 0,000% | C | |
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET PORTFOLIO |
4.233 | 0,002% | C | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | C | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | C | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | C | |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | C | |
| BT PENSION SCHEME. | 123.868 | 0,060% | C | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,002% | C | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 5.207 | 0,003% | C | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,082% | C | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | C | |
| CALCIUM QUANT | 7.645 | 0,004% | C | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 205.374 | 0,100% | C | |
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,000% | C | |
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,044% | C | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,005% | C | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 1.629 | 0,001% | C | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 51.459 | 0,025% | C | |
| CANADIAN BROADCASTING CORPORATION | 9.177 | 0,004% | C | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | C | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | C | |
| CARDIF BNPP IP SMID CAP EURO | 106.666 | 0,052% | C | |
| CARDIF BNPP IP SMID CAP EUROPE | 40.970 | 0,020% | C | |
| CARPIMKO ACTIONS LO | 110.786 | 0,054% | C | |
| CATHAY LIFE INSURANCE CO LTD | 373.015 | 0,181% | C | |
| CAVOM DIVERSIFIE - POCHE ACT | 3.834 | 0,002% | C | |
| CBIS GLOBAL FUNDS PUBLIC LTD CO | 9.236 | 0,004% | C | |
| CBP GROWTH SMC | 20.212 | 0,010% | C | |
| CC AND L Q 130/30 FUND II | 319 | 0,000% | C | |
| CC AND L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 2.628 | 0,001% | C | |
| CC AND L Q MARKET NEUTRAL FUND | 926 | 0,000% | C | |
| CC AND L Q MARKET NEUTRAL FUND II | 484 | 0,000% | C | |
| CC&L GLOBAL EQUITY FUND | 12 | 0,000% | C | |
| CC&L MULTI-STRATEGY FUND | 308 | 0,000% | C | |
| CC&L Q 130/30 FUND II | 12 | 0,000% | C | |
| CC&L Q EQUITY EXTENSION FUND | 38 | 0,000% | C | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 46 | 0,000% | C | |
| Central Bank of Ireland | 1.525 | 0,001% | C | |
| CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATIN | 12.295 | 0,006% | C | |
| ICIPATING EMPLOYERS | ||||
| CERVURITE INTERNATIONAL LLC | 10.806 | 0,005% | C | |
| CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | 3.274 | 0,002% | C | |
| CHEVRON MASTER PENSION TRUST | 77.866 | 0,038% | C | |
| CHRISTIAN SUPER | 561 | 0,000% | C | |
| CHRISTOPHER J MILLERCHIP | 32 | 0,000% | C | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 942 | 0,000% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH INDEX ETF | 5.716 | 0,003% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH VARIABLY HEDG INDEX ETF |
1.075 | 0,001% | C | |
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | C | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | C | |
| CIBC INTERNATIONAL INDEX FUND | 12.163 | 0,006% | C | |

| CSAA INSURANCE EXCHANGE | 516 | 0,000% | C |
|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,076% | C |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATI |
23.707 | 0,012% | C |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH |
63.515 | 0,031% | C |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT GLOBAL GROWTH EQUITY MOTHE |
25.400 | 0,012% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | 2.435 | 0,001% | C | |
| MOTHER FUND(CURRENCY HEDGED) | ||||
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES (BVI) LIMITED |
9.878 | 0,005% | C | |
| CYSTIC FIBROSIS FOUNDATION | 7.321 | 0,004% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND | ||||
| L | 81 | 0,000% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | C | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | C | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | C | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | C | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | C | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | C | |
| DBI-FONDS EBB | 2.399 | 0,001% | C | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | C | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | C | |
| DEAM FONDS ZDV | 3.329 | 0,002% | C | |
| DEAM-FONDS CPT | 1.596 | 0,001% | C | |
| DEKA-MASTER HAEK I DELEN PRIVATE BANK NV |
12.525 93.164 |
0,006% 0,045% |
C C |
|
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | C | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | C | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | C | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | C | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | C | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | C | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | C | |
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | C | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | C | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | C | |
| DT EQUITY | 7.407 | 0,004% | C | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | C | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | C | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | C | |
| DUPONT PENSION TRUST DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN |
42.808 | 0,021% | C | |
| EQUITY FUND) | 2.079 | 0,001% | C | |
| DWS GLOBAL SMALL CAP FUND | 26.722 | 0,013% | C | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | C | |
| DWS INVEST | 900 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | C | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | C | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | C | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES |
4.190 38.904 |
0,002% 0,019% |
C C |
|
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | C | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | C | |
| EAST RIDING PENSION FUND | 117.283 | 0,057% | C | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | C | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | C | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | C | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | C | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | C | |
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP | ||||
| COMMON TR | 3.515 | 0,002% | C | |
| EBK-AKTIEN-UNIVERSAL-FONDS | 18.173 | 0,009% | C | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | C | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | C | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | C | |
| EMBO-FONDS | 5.813 | 0,003% | C | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | C | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | C | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | C | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | C | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | C | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | C | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | C | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | C | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | C | |
| EPS | 2.669 | 0,001% | C | |
| EQUIPSUPER | 12.283 | 0,006% | C | |
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | C | |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | C | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | C | |
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | C | |
| EUROPEAN CENTRAL BANK | 22.272 | 0,011% | C | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS MASTER TRUST |
45.984 | 0,022% | C | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,068% | C | |
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | C | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | C | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL LP |
154.615 | 0,075% | C | |
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,023% | C | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 5.627 | 0,003% | C | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | ||||
| INTERNATIONALFUND | 3.442 | 0,002% | C | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | C | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | C | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | C | |
| FCP BOURBON 7 | 20.180 | 0,010% | C | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | C | |
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,005% | C | |
| FCP SODIUM I | 17.051 | 0,008% | C | |
| FDC A2 TITRES | 5.962 | 0,003% | C | |
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,002% | C | |
| FDF2 ALL IN ONE | 800 | 0,000% | C | |
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | C | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | C | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | C | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | C | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND |
495.003 | 0,241% | C | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL | 3.716 | 0,002% | C | |
| INDEX FUND | ||||
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | C | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,007% | C | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,008% | C | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 49.197 | 0,024% | C | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,033% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,035% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
59.913 | 0,029% | C |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
24.219 | 0,012% | C | |
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 258.605 | 0,126% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | C | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | C | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF BALTIMORE |
12.966 | 0,006% | C | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | C | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,001% | C | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | C | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | C | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,001% | C | |
| FJARDE AP-FONDEN. | 27.645 | 0,013% | C | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 1.300 | 0,001% | C | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | C | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | C | |
| FLOURISH INVESTMENT CORPORATION | 353.509 | 0,172% | C | |
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | C | |
| FONDITALIA | 201.000 | 0,098% | C | |
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,029% | C | |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,001% | C | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | C | |
| FONSOLBANK FP | 201 | 0,000% | C | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | C | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 1.472 | 0,001% | C | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 503 | 0,000% | C | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | C | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,004% | C | |
| FOREST FOUNDATION | 94 | 0,000% | C | |
| FORSTA AP - FONDEN | 45.427 | 0,022% | C | |
| FOVERUKA PENSION UNIVERSAL FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES |
6.566 | 0,003% | C | |
| FND | 130.000 | 0,063% | C | |
| FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND | 9.341 | 0,005% | C | |
| FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL | 710 | 0,000% | C | |
| FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 2.332 | 0,001% | C | |
| FRANK RUSSELL INVESTMENT CO II PLC | 6.218 | 0,003% | C | |
| FRANKLIN FTSE EUROPE EX U.K. INDEX ETF | 1.771 | 0,001% | C | |
| FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF | 165 | 0,000% | C | |
| FRANKLIN LIBERTYSHARES ICAV | 1.212 | 0,001% | C | |
| FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND | 99.148 | 0,048% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF |
3.672 432 |
0,002% 0,000% |
C C |
|
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY |
2.037 208 |
0,001% 0,000% |
C C |
|
| ETF FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY |
864 | 0,000% | C | |
| HEDG | ||||
| FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 74 | 0,000% | C | |
| FULCRUM UCITS SICAV | 1.638 | 0,001% | C | |
| FUNDACAO CALOUSTE GULBENKIAN | 1.279 | 0,001% | C | |
| FUNDO DE PENSOES. | 1.850 | 0,001% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF |
24.261 | 0,012% | C | |
| FUTURE F. | 48.223 | 0,023% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI |
5.578 | 0,003% | C | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 6.195 | 0,003% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| G.A.-FUND-B - WORLD EQUITIES | 2.169 | 0,001% | C | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 143.605 | 0,070% | C | |
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA | 10.222 | 0,005% | C | |
| GENERALI INVESTMENTS SICAV | 1.830 | 0,001% | C | |
| GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS | 34.000 | 0,017% | C | |
| GENERALI SMART FUNDS | 15.413 | 0,007% | C | |
| GERANA SICAV-SIF, S.A. | 53.252 | 0,026% | C | |
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,003% | C | |
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES LIMIT |
5.009 | 0,002% | C | |
| GLG PARTNERS LP | 8.509 | 0,004% | C | |
| GLOBAL BOND FUND WAYCROSSE INC | 6.277 | 0,003% | C | |
| Global Equities Enhanced Index fund | 10.439 | 0,005% | C | |
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | C | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | C | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | C | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E |
851 | 0,000% | C | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA | 109.577 | 0,053% | C | |
| INTERNAT GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN |
||||
| SACHS AND CO GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA |
5.568 | 0,003% | C | |
| INTERNATIO | 4.735 | 0,002% | C | |
| GOLDMAN SACHS FUNDS | 1.024.289 | 0,498% | C | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND |
1.919 | 0,001% | C | |
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | C | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | C | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 26.703 | 0,013% | C | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,057% | C | |
| GR-AVENIR | 1.000 | 0,000% | C | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | C | |
| GRD 12 ACTIONS | 35.360 | 0,017% | C | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | C | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | C | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | C | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | C | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | C | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | C | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | C | |
| HALEVY A1 | 35.923 | 0,017% | C | |
| HALEVY A2 | 36.004 | 0,017% | C | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | C | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | C | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | C | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | C | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | C | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | C | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | C | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
11.101 | 0,005% | C | |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | C | |
| HC RENTE | 1.558 | 0,001% | C | |
| Helium Alpha | 3.829 | 0,002% | C | |
| Henderson Eurotrust plc | 137.894 | 0,067% | C | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | C | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | C | |
| HESTA | 506.496 | 0,246% | C | |
| HI-172915-Fonds | 1.508 | 0,001% | C | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE |
28.327 | 0,014% | C | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION | 4.426 | 0,002% | C | |
| GOVERNMENTEXCHANGE FUND |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| HOSTPLUS POOLED SUPERANNUATION TRUST | 17.065 | 0,008% | C | |
| HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ | ||||
| FND | 130.788 | 0,064% | C | |
| HSBC ETFS PLC | 3.185 | 0,002% | C | |
| HSBC ETF'S PLC | 348 | 0,000% | C | |
| HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS | 507 | 0,000% | C | |
| ETF | ||||
| HSBC ETFS PUBLIC LIMITED COMPANY | 478 | 0,000% | C | |
| HSBC EUROPEAN INDEX FUND HSBC Global Funds ICAV |
100.074 37.129 |
0,049% 0,018% |
C C |
|
| HSBC INDEX TRACKER INVESTMENT FUNDS ICVC | 12.285 | 0,006% | C | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 3.479 | 0,002% | C | |
| HSBC Life (International) Limited | 12.817 | 0,006% | C | |
| HSBC Managed Balanced Fund | 637 | 0,000% | C | |
| HSBC Managed Growth Fund | 1.023 | 0,000% | C | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY | ||||
| INDEX TRACKING FUND | 3.231 | 0,002% | C | |
| HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund | 17.572 | 0,009% | C | |
| HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY | 10.759 | 0,005% | C | |
| FUND | ||||
| HYMNOS | 13.980 | 0,007% | C | |
| IA CLARINGTON GLOBAL VALUE FUND | 2.162 | 0,001% | C | |
| IBM 401(K) PLUS PLAN TRUST | 33.731 | 0,016% | C | |
| IBM 401(K) PLUS PLAN TRUST | 7.788 | 0,004% | C | |
| IBM DIVERSIFIED GLOBAL EQUITY FUND | 3.443 | 0,002% | C | |
| IBM PERSONAL PENSION PLAN TRUST | 11.214 | 0,005% | C | |
| IBM RETIREMENT PLAN | 854 | 0,000% | C | |
| ICARE | 3.918 | 0,002% | C | |
| ICBCCS GLOBAL SELECTIVE EQUITY FUND | 11.445 | 0,006% | C | |
| IF IST - GLOBE INDEX | 7.442 | 0,004% | C | |
| IFM GLOBAL INDEXED EQUITIES FUND | 468 | 0,000% | C | |
| IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND | 225.983 | 0,110% | C | |
| ILA - RAFIMF | 2.531 | 0,001% | C | |
| ILA-LA WORLD ESG SCREENED FUND | 3.306 | 0,002% | C | |
| ILLINOIS MUNICIPAL RETIREMENT FUND IMCO GLOBAL PUBLIC EQUITY LP |
43.301 626 |
0,021% 0,000% |
C C |
|
| IMCO GLOBAL PUBLIC EQUITY LP ACCT 17 | 16.815 | 0,008% | C | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 7.521 | 0,004% | C | |
| IN EQ ACWI EX US AETF NON FLIP | 20.864 | 0,010% | C | |
| INDEP'AM | 139.100 | 0,068% | C | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 9.544 | 0,005% | C | |
| INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES INC | 16.583 | 0,008% | C | |
| ING DIRECT SICAV | 11.919 | 0,006% | C | |
| INKA PBEAKK | 2.090 | 0,001% | C | |
| INSTITUTIONAL RETIREMENT TRUST | 9.092 | 0,004% | C | |
| INSTITUTIONELLA AKTIEFONDEN VARLDEN | 31.285 | 0,015% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES |
25.561 | 0,012% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | C | |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN |
18.885 | 0,009% | C |
| INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 44.059 | 0,021% | C |
|---|---|---|---|
| INTERFUND SICAV | 15.000 | 0,007% | C |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | C |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | C |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | C |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | C |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | C |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 789 | 0,000% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INTERNATIONAL MONETARY FUND | 6.395 | 0,003% | C | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS | ||||
| INVESTMENT ACCOUNT | 107 | 0,000% | C | |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 402 | 0,000% | C | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND | ||||
| (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | 3.936 | 0,002% | C | |
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | C | |
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | C | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | C | |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | C | |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | C | |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | C | |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | C | |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | C | |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | C | |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | C | |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | C | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | C | |
| INVESCO FUNDS | 1.680 | 0,001% | C | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | C | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | C | |
| INVESCO MARKETS III PLC | 41 | 0,000% | C | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | C | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | C | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | C | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,002% | C | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER | 1.741 | 0,001% | C | |
| AKK KL | ||||
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE | 1.947 | 0,001% | C | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER - ETISK TILVALG |
3.898 | 0,002% | C | |
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,002% | C | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
1.225 | 0,001% | C | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL |
6.696 | 0,003% | C | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 4.232 | 0,002% | C | |
| INVESTITORI EUROPA | 3.300 | 0,002% | C | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | C | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | C | |
| IP ACTIONS EURO | 3.877 | 0,002% | C | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE | 469 | 0,000% | C | |
| STRATEGY NO.1 | ||||
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,002% | C | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF IQ HEALTHY HEARTS ETF |
3.453 559 |
0,002% 0,000% |
C C |
|
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,009% | C | |
| IRISH LIFE ASSURANCE PLC | 94.732 | 0,046% | C | |
| IRISH LIFE ASSURANCE. | 22.012 | 0,011% | C | |
| Islamic Development Bank | 913 | 0,000% | C | |
| IVY PROSHARES MSCI ACWI INDEX FUND | 166 | 0,000% | C | |
| JAMES B. HAWKES | 997 | 0,000% | C | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | C | |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 287 | 0,000% | C | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES | ||||
| FUND | 1.501 | 0,001% | C | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,014% | C | |
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 1.189 | 0,001% | C | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 476 | 0,000% | C | |
| JNL/MELLON MSCI WORLD INDEX FUND | 1.306 | 0,001% | C |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY | ||||
| ALLOCATION FUND | 12.252 | 0,006% | C | |
| JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND | 36.431 | 0,018% | C | |
| JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. | 2.383.446 | 1,158% | C | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 474 | 0,000% | C | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,005% | C | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,006% | C | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,000% | C | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. |
7.601 | 0,004% | C | |
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION | 33.254 | 0,016% | C | |
| TRUST | ||||
| JPMORGAN ACCESS BALANCED FUND | 514 | 0,000% | C | |
| JPMORGAN ACCESS GROWTH FUND | 670 | 0,000% | C | |
| JPMORGAN BETABUILDERS EUROPE ETF | 221.051 | 0,107% | C | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 39.332 | 0,019% | C | |
| JPMORGAN GLOBAL ALLOCATION FUND | 1.489 | 0,001% | C | |
| KAISER FOUNDATION HOSPITALS | 6.067 | 0,003% | C | |
| KAISER PERMANENTE GROUP TRUST | 9.965 | 0,005% | C | |
| KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING | 1.623 | 0,001% | C | |
| DANICA LINK - INDEKS GLOBALE AKTIER KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III |
13.054 | 0,006% | C | |
| KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE | 7.928 | 0,004% | C | |
| INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | ||||
| KAPITALFORENINGEN PENSAM INVEST, PSI 2 GLOBALE AKTIER 2 | 29.386 | 0,014% | C | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 11.644 | 0,006% | C | |
| KAPITALFORENINGEN SPARINVEST VERDENS INDEKS ETISK | 2.728 | 0,001% | C | |
| KIEGER UCITS FUND | 14.982 | 0,007% | C | |
| Kiwi Investment Management Screened Global Equity Index Fund | 517 | 0,000% | C | |
| KNOWLEDGE LEADERS DEVELOPED WO | 13.578 | 0,007% | C | |
| LACM GLOBAL EQUITY FUND LP | 6.195 | 0,003% | C | |
| LACM WORLD EQUITY - DIVIDEND GROWTH CIT | 5 | 0,000% | C | |
| LACM WORLD EQUITY - WEALTH BUILDER CIT | 13 | 0,000% | C | |
| LATVIJAS BANKA | 2.798 | 0,001% | C | |
| LAUDUS INTERNATIONAL MARKETMASTERS FUND | 4.685 | 0,002% | C | |
| Law Debenture Corporation PLC(The) | 38.874 | 0,019% | C | |
| LBPAM DIVERSIFIE FOCUS OBLIG 3 5 | 2.627 | 0,001% | C | |
| LBPAM IRC ACTIONS ISR | 23.836 | 0,012% | C | |
| LBPAM ISR ACTIONS 80 | 7.852 | 0,004% | C | |
| LBPAM ISR ACTIONS EUR FO EMER | 49.441 | 0,024% | C | |
| LBPAM ISR ACTIONS EURO LARGE CAP | 9.660 | 0,005% | C | |
| LBPAM ISR ACTIONS EUROPE MONDE | 6.465 | 0,003% | C | |
| LBPAM ISR ACTIONS MONDE | 21.030 | 0,010% | C | |
| LBPAM ISR AVENIR EURO | 782 | 0,000% | C | |
| LBPAM ISR STRATEGIE PEA 1 | 1.405 | 0,001% | C | |
| LBPAM ISR STRATEGIE PEA 2 | 2.024 | 0,001% | C | |
| LCL ACTIONS EURO CORE+ | 7.185 | 0,003% | C | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 4.476 | 0,002% | C | |
| LCL ACTIONS MONDE HORS EUROPE EURO | 16.975 | 0,008% | C | |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,005% | C | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | C | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY FOC |
71.955 | 0,035% | C |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES FUND | 19.163 | 0,009% | C |
|---|---|---|---|
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 82 | 0,000% | C |
| LEGAL & GENERAL REAL CAPITAL BUILDER FUND | 29.340 | 0,014% | C |
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | C |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED |
197.353 | 0,096% | C |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | C | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | C | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,018% | C | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,057% | C | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | C | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | C | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | C | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | C | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | C | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | C | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE | ||||
| EUROPEA | 196.807 | 0,096% | C | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE GLOBAL EQUITY INCOME FUND |
40.520 | 0,020% | C | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE | 284.585 | 0,138% | C | |
| EUROPEAN UNCONSTRAINED FUND | ||||
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE GLOBAL RAINED FUND |
110.445 | 0,054% | C | |
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS | 267.025 | 0,130% | C | |
| UMBRELLA LGIASUPER |
10.474 | 0,005% | C | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,016% | C | |
| LGT SELECT FUNDS | 375 | 0,000% | C | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,004% | C | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | C | |
| LIONTRUST INVESTMENT FUNDS I | 70.000 | 0,034% | C | |
| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,007% | C | |
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | C | |
| LO Funds - All Roads | 9.683 | 0,005% | C | |
| LO Funds - All Roads Conservative | 655 | 0,000% | C | |
| LO Funds - All Roads Growth | 3.757 | 0,002% | C | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,029% | C | |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS MASTER TR |
42.392 | 0,021% | C | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.855 | 0,044% | C | |
| LOF TargetNetZero Europe Equity | 1.005 | 0,000% | C | |
| LOF WORLD BRANDS | 173.000 | 0,084% | C | |
| LOIS (CH) GLOBAL EQUITIES TRACKER+ ESG | 303 | 0,000% | C | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 7.148 | 0,003% | C | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 19.238 | 0,009% | C | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 39.933 | 0,019% | C | |
| LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 6.985 | 0,003% | C | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 4.986 | 0,002% | C | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 35.950 | 0,017% | C | |
| LVUI EQUITY EUROPE | 15.960 | 0,008% | C | |
| LVUI EQUITY WORLD EX EUROPE | 1.500 | 0,001% | C | |
| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,015% | C | |
| LYX IND FD-LYXOR CORE STOXX EU | 96.735 | 0,047% | C | |
| LYX INV FDS - GARI EUROPEAN EQ | 35.026 | 0,017% | C | |
| LYXINDX FUND - LYXOR MSCI EMU | 5.605 | 0,003% | C | |
| LYXOR CORE MSCI WORLD (DR) UCI | 6.748 | 0,003% | C | |
| LYXOR FTSE MIB UCITS ETF | 281.217 | 0,137% | C | |
| LYXOR MSCI EUROPE UCITS ETF | 17.943 | 0,009% | C | |
| M INTERNATIONAL EQUITY FUND | 1.242 | 0,001% | C | |
| MACKENZIE EUROPEAN SMALL-MIDCAPFUND | 36.813 | 0,018% | C | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT ETF | 165 | 0,000% | C | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT FUND | 225 | 0,000% | C | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 3.958 | 0,002% | C | |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.410 | 0,002% | C | |
| MACQUARIE MULTI-FACTOR FUND | 1.315 | 0,001% | C | |
| MAIN I - UNIVERSAL - FONDS | 32.574 | 0,016% | C | |
| MAIN VI-UNIVERSAL-FONDS | 461 | 0,000% | C | |
| MAN AHL DIVERSIFIED MARKETS EU BEUR- WORLD TRADE CENTER | 126 | 0,000% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MAN DESERTWOOD FUND LIMITED C/O CITCO TRUSTEES (CAYMAN | ||||
| LIMITED) | 18.728 | 0,009% | C | |
| MAN FUNDS PLC MAN GLG PAN EUROPEAN EQUITY GROWTH | 260.406 | 0,127% | C | |
| MAN FUNDS PLC MAN GLG RI GLOBAL SUSTAINABLE GROWTH | 93.065 | 0,045% | C | |
| MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | 6.810 | 0,003% | C | |
| MAN FUNDS PLC MAN NUMERIC RI GLOBAL EQUITY | 3.140 | 0,002% | C | |
| MAN FUNDS VI PLC | 3.997 | 0,002% | C | |
| MAN FUNDS VIII ICAV-MAN AHL DIVERSIFIED. | 1.280 | 0,001% | C | |
| MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED |
3.905 | 0,002% | C | |
| MAN FUNDS XII SPC-MAN 1783 III SP | 25 | 0,000% | C | |
| MAN GLG CONTINENTAL EUROPEAN GROWTH FUND | 1.269.306 | 0,617% | C | |
| MAN GLG EUROPEAN EQUITY ALTERNATIVE | 29.560 | 0,014% | C | |
| MAN INSIGHT LIMITED | 91 | 0,000% | C | |
| MAN INTERNATIONAL ICVC MAN DYNAMIC ALLOCATION FUND | 961 | 0,000% | C | |
| MAN MULTI-STRATEGY MASTER FUND MAPLES CORPORATE SERVICES | 8.728 | 0,004% | C | |
| LIMITES | ||||
| MAN NUMERIC ALTERNATIVE RISK PREMIA QUALITY | 102 | 0,000% | C | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 4.390 | 0,002% | C | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC DIVERSIFIED RISK P REMIA PROGRESSIVE |
1.444 | 0,001% | C | |
| MAN NUMERIC EXPLORER MAPLES CORPORATE SERVICES LIMITED | 50 | 0,000% | C | |
| MAN NUMERIC INTERNATIONAL ALPHA (US) LP | 3.050 | 0,001% | C | |
| MAN NUMERIC LONG TERM ALPHA LP MAPLES CORPORATE SERVICES | ||||
| LIMITED | 2.570 | 0,001% | C | |
| MANAGED PENSION FUNDS LIMITED | 107.922 | 0,052% | C | |
| MANULIFE INVESTMENT MANAGEMENT I PLC | 27.279 | 0,013% | C | |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND |
7.719 | 0,004% | C | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 11.035 | 0,005% | C | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,000% | C | |
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,000% | C | |
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR | 39.739 | 0,019% | C | |
| PARTICIPANT DIRECTED ACCOUNTS | ||||
| MARTIN CURRIE GLOBAL LONG-TERM UNCONSTRAINED FUND | 8.750 | 0,004% | C | |
| MARTIN CURRIE GLOBAL PORTFOLIO TRUST PLC MARTIN CURRIE INTERNATIONAL UNCONSTRAINED EQUITY FUND |
303.129 29.721 |
0,147% 0,014% |
C C |
|
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 17.987 | 0,009% | C | |
| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | C | |
| MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN | ||||
| AIRLINES, INC, US AIRW | 12.444 | 0,006% | C | |
| MASTERS I LLC | 879 | 0,000% | C | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | C | |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,001% | C | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | C | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 10.519 | 0,005% | C | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 380.000 | 0,185% | C | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,058% | C | |
| MELCHIOR EURO OPP | 176.178 | 0,086% | C | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | C | |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,002% | C | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | C | |
| MERCER QIF CCF | 57.661 | 0,028% | C | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | C | |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | C | |
| MERCY INVESTMENT SERVICES INC | 951 | 0,000% | C | |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,005% | C | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 |
27.321 30.000 |
0,013% 0,015% |
C C |
|
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | C | |
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,013% | C | |
| MGI FUNDS PLC | 11.427 | 0,006% | C | |
| MI - FONDS K12 | 11.854 | 0,006% | C | |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MI - FONDS K14 | 36.000 | 0,017% | C | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | ||||
| REEVES TTEE PO BOX | 281 | 0,000% | C | |
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | C | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | C | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | C | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 760 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 50 | 730 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 510 | 0,000% | C | |
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | C | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | C | |
| MLC INVESTMENTS, MLC LIMITED | 18.086 | 0,009% | C | |
| MML STRATEGIC EMERGING MARKETS FUND | 595 | 0,000% | C | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | C | |
| MONCEAU ACTIONS EEE | 16.990 | 0,008% | C | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,014% | C | |
| MONETARY AUTHORITY OF SINGAPORE | 44.918 | 0,022% | C | |
| MORAINE MASTER FUND LP CO FALCON EDGE CAPITAL, LP | 421.022 | 0,205% | C | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | C | |
| MORG ST INTERNATIONAL EQUITY PORTFOLIO | 667.639 | 0,324% | C | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | ||||
| PORTFOLIO | 975 | 0,000% | C | |
| MORGAN STANLEY INVESTMENT FUNDS | 32.761 | 0,016% | C | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL | 189 | 0,000% | C | |
| STRATEGI ST PORTFOLIO | ||||
| MOTHER CABRINI HEALTH FOUNDATION, INC. | 2.713 | 0,001% | C | |
| MTAA SUPERANNUATION FUND | 35.090 | 0,017% | C | |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND | 23.490 | 0,011% | C | |
| MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND | 14.900 | 0,007% | C | |
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 45.755 | 0,022% | C | |
| MUGUET VENTURES LLC | 250 | 0,000% | C | |
| MUL- LYX FTSE IT ALL CAP PIR | 4.088 | 0,002% | C | |
| MUL-LYX NET ZERO 2050 SP | 7.035 | 0,003% | C | |
| MUL-LYX NET ZERO 50 | 223.303 | 0,109% | C | |
| MUL-LYXOR MSCI EMU ESG LEADERS | 2.751 | 0,001% | C | |
| MUL-LYXOR MSCI WORLD CLIMATE | 866 | 0,000% | C | |
| MUL-LYXOR MSCI WORLD ESG LEADE | 4.911 | 0,002% | C | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,026% | C | |
| MULTI UNITS LUX-LYXOR CORE MSC | 13.880 | 0,007% | C | |
| MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM | 7.531 | 0,004% | C | |
| MUSASHI SMART PREMIA FUND | 6.244 | 0,003% | C | |
| NATIONAL BANK FINANCIAL INC | 594 | 0,000% | C | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 4.114 | 0,002% | C | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 39.366 | 0,019% | C | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND. | 110.744 | 0,054% | C | |
| NATIONAL ELEVATOR INDUSTRY HEALTH BENEFIT PLAN | 5.202 | 0,003% | C | |
| NATIONAL PENSION INSURANCE FUND | 3.400 | 0,002% | C | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 17.073 | 0,008% | C | |
| NATIONAL TREASURY MANAGEMENT AGCY | 1.457 | 0,001% | C | |
| NATIXIS INTERNATIONAL FUNDS (LUX) I | 92.122 | 0,045% | C | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 321.625 | 0,156% | C | |
| NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT TRUST |
271.608 | 0,132% | C | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
154.869 | 0,075% | C | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF | 6.350 | 0,003% | C | |
| ST. JAMES'S PLACE NAVIGERA AKTIE 2 |
273.738 | 0,133% | C | |
| NBIMC EAFE EQUITY INDEX FUND. | 5.642 | 0,003% | C | |
| NCB CAPITAL COMPANY | 7.104 | 0,003% | C | |
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT | ||||
| GENERATION CONNECTED CONSUMER | 2.907 | 0,001% | C | |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | C | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | C | |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 714 | 0,000% | C | |
| NEW YORK STATE COMMON RETIREMENT FUND | 3.613 | 0,002% | C | |
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 10.081 | 0,005% | C | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 103.513 | 0,050% | C | |
| NEW ZEALAND SUPERANNUATION FUND. | 40.791 | 0,020% | C | |
| NEXTERA ENERGY DUANE ARNOLD LLC NON QUALIFIED | ||||
| DECOMMISSIONI | 179 | 0,000% | C | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED | ||||
| DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR | 32 | 0,000% | C | |
| POW | ||||
| NFS LIMITED | 12.960 | 0,006% | C | |
| NGS SUPER | 279.139 | 0,136% | C | |
| NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 1.400 | 0,001% | C | |
| NINETY ONE GLOBAL STRATEGY FUND | 212.168 | 0,103% | C | |
| NINETY ONE PROFESSIONAL INVESTMENT FUNDS PCC LIMITED - | 274.576 | 0,133% | C | |
| GLOBAL BALANCED (SA) FUND | ||||
| NN (L) SICAV | 6.599 | 0,003% | C | |
| NORDEA 1 SICAV | 8.120 | 0,004% | C | |
| NORDEA 2 SICAV | 47.185 | 0,023% | C | |
| NORDEA DONATIONSMEDELSFOND | 1.620 | 0,001% | C | |
| NORDEA EUROPEAN PASSIVE FUND | 3.431 | 0,002% | C | |
| NORDEA GENERATIONSFOND 50-TAL | 2.188 | 0,001% | C | |
| NORDEA GENERATIONSFOND 60-TAL | 35.983 | 0,017% | C | |
| NORDEA GENERATIONSFOND 70-TAL | 44.137 | 0,021% | C | |
| NORDEA GENERATIONSFOND 80-TAL | 23.147 | 0,011% | C | |
| NORDEA GENERATIONSFOND 90-TAL | 3.153 | 0,002% | C | |
| NORDEA GLOBAL PASSIVE FUND | 9.663 | 0,005% | C | |
| NOTTINGHAMSHIRE COUNTY COUNCIL PENSION FUND | 61.481 | 0,030% | C | |
| NPF TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL | 189 | 0,000% | C | |
| NSP MINNESEOTA RETAIL PRAIRIE II NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST |
657 594 |
0,000% 0,000% |
C C |
|
| NSP MONTICELLO MINNESOTA RETAIL | 1.267 | 0,001% | C | |
| NUVEEN MULTI-ASSET INCOME FUND | 22.808 | 0,011% | C | |
| ODDO APOLLINE DIVERSIFIE POCHE EQU EUR | 22.441 | 0,011% | C | |
| ODDO BHF ALGO TREND EUROZONE | 1.312 | 0,001% | C | |
| ODDO BHF GENERATION | 119.271 | 0,058% | C | |
| OFFSHORE INTERNATIONAL EQUITY FUND | 55.477 | 0,027% | C | |
| OFI RS ALPHA SECTOR | 601 | 0,000% | C | |
| OFP DUPONT EUROPEAN PENSION FUND | 13.027 | 0,006% | C | |
| OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED RETURNS | ||||
| FUND | 101 | 0,000% | C | |
| ONCOR RETIREMENT PLAN TRUST | 5.254 | 0,003% | C | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 19.601 | 0,010% | C | |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | C | |
| OPTIMUM GESTION DE PLACEMENTS INC | 5.630 | 0,003% | C | |
| ORANO DIVERSIFIE EQUILIBRE | 4.412 | 0,002% | C | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 22.106 | 0,011% | C | |
| OSMOSIS UCITS CCF OVERSEAS GROWTH INVESTMENT FUNDS ICVC EUROPEAN GROWTH |
3.495 | 0,002% | C | |
| FUND | 11.312 | 0,005% | C | |
| PACE INTERNATIONAL EQUITY INVESTMENTS | 25.460 | 0,012% | C | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | C | |
| PACIFIC SELECT FUND EMERGING MARKETS PORTFOLIO | 8.791 | 0,004% | C | |
| PALATINE ENTREPRISES FAMILIALES ISR | 27.100 | 0,013% | C | |
| PALATINE FRANCE MIDCAP FCP | 19.000 | 0,009% | C | |
| PANAGORA ASSET MANAGEMENT INC. - DYNAMIC INTERNATIONAL EQUI |
64 | 0,000% | C | |
| PANAGORA GROUP TRUST | 1.758 | 0,001% | C | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | C | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | C | |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER | ||||
| FUND | 428 | 0,000% | C | |
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | C | |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,065% | C | |
| PEOPLE'S BANK OF CHINA | 140.154 | 0,068% | C | |
| PERVALOR - ACTIONS | 1.150 | 0,001% | C | |
| PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 787 | 0,000% | C | |
| PF EMERGING MARKETS FUND | 962 | 0,000% | C | |
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,004% | C | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 370 | 0,000% | C | |
| PICTON MAHONEY LONG SHORT EQUITY FUND C/O PICTON | ||||
| MAHONEY ASSET MANAGEMENT ACTING AS MANAGER | 2.500 | 0,001% | C | |
| PICTON MAHONEY MARKET NEUTRAL EQUITY FUND C/O PICTON | 3.000 | 0,001% | C | |
| MAHONEY ASSET MANAGEMENT ACTING AS FUND MANAGER | ||||
| PIONEER FLEXIBLE OPPORTUNITIES FUND | 22.516 | 0,011% | C | |
| PMPT INKA FONDS | 11.831 | 0,006% | C | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | C | |
| POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT L.P. | 39.650 | 0,019% | C | |
| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | C | |
| POOL REINSURANCE CO LTD | 544 | 0,000% | C | |
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,004% | C | |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,003% | C | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,004% | C | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | C | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | C | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | C | |
| PRESCIENT ICAV. | 11.412 | 0,006% | C | |
| PRIME SUPER | 3.439 | 0,002% | C | |
| PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL ADAPTIVE MULTI-FACTOR ET |
395 | 0,000% | C | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | C | |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | C | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | C | |
| PRIVILEDGE | 30.000 | 0,015% | C | |
| PRUDENTIAL BANK AND TRUST FSB | 19.691 | 0,010% | C | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | ||||
| INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND | 1.957 | 0,001% | C | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | 3.943 | 0,002% | C | |
| NEXTGENERATION GLOBAL OPPORTUNITIES FUND | ||||
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,005% | C | |
| PUBLIC EMPLOYEES' LONG TERM CARE FUND | 421.861 | 0,205% | C | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 102.695 | 0,050% | C | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM 0F OHIO | 112.761 | 0,055% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,050% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 25.744 | 0,013% | C | |
| PUBLIC SCHOOL TEACHERS PENSION & RETIREMENT FUND OF CHICAGO |
217.925 | 0,106% | C | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO |
31.178 | 0,015% | C | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 101.900 | 0,050% | C | |
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,005% | C | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | C | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | C | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | C | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | C | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,003% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,006% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES | 1.572 | 0,001% | C | |
| PORTFOLIO | ||||
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION | 741 | 0,000% | C | |
| FUND QS INVESTORS INTERNATIONAL EQUITY DBI CIT |
264 | 0,000% | C | |
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | C | |
| QUADRATOR SRI | 111.000 | 0,054% | C | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | C | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | C | |
| QUALITY EDUCATION FUND | 385 | 0,000% | C | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | C | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | C | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | C | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | C | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | C | |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | C | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | C | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | C | |
| RDM LIQUID LLC | 9.080 | 0,004% | C | |
| ReAssure Limited | 9.407 | 0,005% | C | |
| REGARD ACT CROISSAN | 5.000 | 0,002% | C | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | C | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 188 | 0,000% | C | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | C | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | C | |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | C | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | C | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | C | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | C | |
| ROPS EURO P | 18.805 | 0,009% | C | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | C | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,015% | C | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | C | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | C | |
| RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND |
48.011 | 0,023% | C | |
| RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND |
20.563 | 0,010% | C | |
| RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL | 7.848 | 0,004% | C | |
| EQUITY FUND | ||||
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | C | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | C | |
| RUSSELL INVESTMENT COMPANY PLC RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL |
19.767 | 0,010% | C | |
| EQUITY FUND | 69.531 | 0,034% | C | |
| RUSSELL INVESTMENT COMPANY V PLC | 32.028 | 0,016% | C | |
| RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED MARKETS FUND |
9.504 | 0,005% | C | |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E | 175.855 | 0,085% | C | |
| PLUS FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI |
16.431 | 0,008% | C | |
| ASSET I-ASSET GROW RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL |
||||
| EQUIT | 8.270 | 0,004% | C | |
| RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND | 25.601 | 0,012% | C | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 3.137 | 0,002% | C | |
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.661 | 0,003% | C | |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 1.906 | 0,001% | C | |
| Russell Investments Sustainable Global Shares Fund | 843 | 0,000% | C | |
| RUSSELL INVESTMENTS SUSTAINABLEGLOBAL SHARES EX FOSSIL FUEL S FUND LVL 3 |
294 | 0,000% | C | |
| RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES FUND | 65.147 | 0,032% | C | |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 4.602 | 0,002% | C | |
| RUSSELL OVERSEAS EQUITY POOL . | 5.355 | 0,003% | C |

| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | C |
|---|---|---|---|
| SIEMENS EMU EQUITIES | 13.972 | 0,007% | C |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,001% | C |
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,016% | C |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | C |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | C |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,001% | C |
| SOGECAP ACTIONS | 110.578 | 0,054% | C |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SOLIDARITES | 1.917 | 0,001% | C | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | C | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | C | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | C | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | C | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | C | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | C | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | C | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | C | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | C | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | C | |
| SPP EUROPA PLUS | 463 | 0,000% | C | |
| SPP GENERATION 50-TAL | 142 | 0,000% | C | |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | C | |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | C | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | C | |
| SPRING 625 SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST |
2.946 | 0,001% | C | |
| FUND | 5.388 | 0,003% | C | |
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST | 7.976 | 0,004% | C | |
| FUND SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND |
170.925 | 0,083% | C | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | C | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | C | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,016% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,389% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,014% | C | |
| STANDARD BANK OF SOUTH AFRICA LTD | 7.338 | 0,004% | C | |
| STAR PASTEUR | 7.107 | 0,003% | C | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS |
61.299 28.473 |
0,030% 0,014% |
C C |
|
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | C | |
| STATE OF MINNESOTA | 78.948 | 0,038% | C | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 116.563 | 0,057% | C | |
| STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST | ||||
| FUNDS | 1.563 | 0,001% | C | |
| STATE OF WISCONSIN INVESTMENT BOARD | 16.802 | 0,008% | C | |
| STATE STREET CCF | 990 | 0,000% | C | |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.302 | 0,002% | C | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 57.073 | 0,028% | C | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 32.334 | 0,016% | C | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 54.037 | 0,026% | C | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 4.522 | 0,002% | C | |
| STATE STREET IRELAND UNIT TRUST | 15.688 | 0,008% | C | |
| STATE STREET TOTAL RETURN VIS FUND | 3.190 | 0,002% | C | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 28.058 | 0,014% | C | |
| STELLAR INSURANCE, LTD. | 1.391 | 0,001% | C | |
| STEWARDSHIP PARA GLB | 158 | 0,000% | C | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 14.061 | 0,007% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 47.701 | 0,023% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 1.412 | 0,001% | C | |
| BEROEPSVERVOER OVER DE WEG STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET |
||||
| LEVENSMIDDELENBEDRIJF | 10.570 | 0,005% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. |
5.817 | 0,003% | C | |
| STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS | 10.919 | 0,005% | C | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 18.637 | 0,009% | C | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,111% | C | |
| STICHTING HEINEKEN PENSIOENFONDS | 8.660 | 0,004% | C | |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD | 26.243 | 0,013% | C | |
| AANDELEN FONDS |

| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | C |
|---|---|---|---|
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | C |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | C |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | C |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,097% | C |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | C |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | C |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,002% | C | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,015% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,099% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 31.304 | 0,015% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 105.926 | 0,051% | C | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 2.050 | 0,001% | C | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 144.020 | 0,070% | C | |
| TELSTRA SUPERANNUATION SCHEME | 5.558 | 0,003% | C | |
| THE ALGER FUNDS - ALGER MID CAP GROWTH FUND | 43.253 | 0,021% | C | |
| THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND | 94.386 | 0,046% | C | |
| THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH INSTITUTIONAL FUND |
14.745 | 0,007% | C | |
| THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO | 27.679 | 0,013% | C | |
| THE AMERICAN UNIVERSITY IN CAIRO | 813 | 0,000% | C | |
| THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 145 | 0,000% | C | |
| THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 18.802 | 0,009% | C | |
| THE BANK OF KOREA | 26.732 | 0,013% | C | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE | 32.799 | 0,016% | C | |
| INV THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE |
||||
| INVESTMENT FUND PLAN | 135.195 | 0,066% | C | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITED | 201.414 | 0,098% | C | |
| THE BANKERS INVESTMENT TRUST PLC | 161.788 | 0,079% | C | |
| THE BARCLAYS BANK UK RETIREMENT FUND | 1.080 | 0,001% | C | |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 5.456 | 0,003% | C | |
| THE CHARLOTTE-MECKLENBURG HOSPITAL AUTHORITY | 10.928 | 0,005% | C | |
| THE CIVIL SERVICE SUPERANNUATION FUND | 47.703 | 0,023% | C | |
| THE COMMONWEALTH FUND | 94 | 0,000% | C | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 1.258 | 0,001% | C | |
| THE DIRECTORS OF THE CHINESE YOUNG MEN'S CHRISTIAN ASSOCIATI | 513 | 0,000% | C | |
| THE ENDEAVOUR II FUND. | 528 | 0,000% | C | |
| THE HARTFORD INTERNATIONAL GROWTH FUND | 171.859 | 0,084% | C | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 109 | 0,000% | C | |
| THE INCUBATION FUND LTD | 254 | 0,000% | C | |
| THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED MONTHLY | ||||
| RATED EMPLOYEES PROVIDENT FUND SCHEME | 2.039 | 0,001% | C | |
| THE LABOUR UNION CO-OPERATIVE RETIREMENT FUND | 794 | 0,000% | C | |
| THE LILLY RETIREMENT PLAN MASTER TRUST ELI LILLY AND COMPANY | 83.062 | 0,040% | C | |
| The Magna Foundation | 1.787 | 0,001% | C | |
| The Marks And Spencer Worldwide Managed Fund | 9.864 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY | ||||
| INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL |
5.621 | 0,003% | C | |
| EQUITY INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY |
466 | 0,000% | C | |
| INDEX MOTHER FUND | 16.410 | 0,008% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL EQUITY ACTIVE FUND FOR QUALIFIED INSTITUTION |
10.232 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR GOVERNMENT PENSION INVESTMENT FUND 400045887 |
15.443 | 0,008% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MTBJ400045829 |
219.258 | 0,107% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MTBJ400045832 |
34.619 | 0,017% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 193.020 | 0,094% | C | |
| MUTB400045795 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
8.182 | 0,004% | C | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY |
||||
| PASSIVE MOTHER FUND (ONLY FOR PENSION THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY |
4.025 | 0,002% | C | |
| HEDGED) (PRIVATELY PLACED INVESTMENT T | 23.472 | 0,011% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | ||||
| (JPY HEDGED) (PRIVATELY PLACED INVEST | 3.034 | 0,001% | C | |
| THE NATURE CONSERVANCY | 1 | 0,000% | C | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | C | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 58.042 | 0,028% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 119.604 | 0,058% | C | |
| THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL UNIVERSITY |
5.369 | 0,003% | C | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | C | |
| THE STATE OF NEVADA | 1.656 | 0,001% | C | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | ||||
| (BERMUDA) LIMITED | 453 | 0,000% | C | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,002% | C | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION | 308.939 | 0,150% | C | |
| MULTIPLE COLLECTIVE INVESTMENT | ||||
| THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & RICHARD WONG TTEES 535 |
199 | 0,000% | C | |
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE | 68.017 | 0,033% | C | |
| THREADNEEDLE (LUX | 21.528 | 0,010% | C | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. | 124.892 | 0,061% | C | |
| THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA THREADNEEDLE INVESTMENTS |
14.497 | 0,007% | C | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | C | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 2.018 | 0,001% | C | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 3.056 | 0,001% | C | |
| TJ-NONQUALIFIED LLC | 15.758 | 0,008% | C | |
| TJ-QUALIFIED LLC | 11.225 | 0,005% | C | |
| TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 461 | 0,000% | C | |
| TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 1.503 | 0,001% | C | |
| TOCQUEVILLE CROISSANCE EURO IS | 270.661 | 0,132% | C | |
| TONI ACTIONS ISR 100 | 10.297 | 0,005% | C | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 925 | 0,000% | C | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 2.638 | 0,001% | C | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 45.023 | 0,022% | C | |
| TRINITY COLLEGE CAMBRIDGE | 3.467 | 0,002% | C | |
| True Potential Investments LLP | 321.471 | 0,156% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 10 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION |
6.735 | 0,003% | C | |
| INVESTMENT FUND TRUST NUMBER 21 | 1.646 | 0,001% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 11.160 | 0,005% | C | |
| INVESTMENT FUND TRUST NUMBER 3 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION |
693 | 0,000% | C | |
| INVESTMENT FUND TRUST NUMBER 8 | ||||
| TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION | 36.008 | 0,017% | C | |
| TRUTH INITIATIVE FOUNDATION | 1.163 | 0,001% | C | |
| TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA ADVISERS LP ACTING AS INVESTMENT ADVISER |
377.000 | 0,183% | C | |
| TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. | 405 | 0,000% | C | |
| TWU Superannuation Fund | 1.687 | 0,001% | C | |
| U.S. GLOBAL INVESTORS FUNDS | 9.000 | 0,004% | C | |
| UBAM | 31.734 | 0,015% | C | |
| UBAM - EUROPE SMALL CAP EQUITY | 13.499 | 0,007% | C | |
| UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY | 32.954 | 0,016% | C | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 13.513 | 0,007% | C | |
| UBS (IRL) INVESTOR SELECTION PLC | 10.309 | 0,005% | C | |
| UBS (LUX) EQUITY SICAV | 103.750 | 0,050% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 47.129 | 0,023% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,042% | C | |
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE | 1.901 | 0,001% | C | |
| UBS (LUX) KEY SELECTION SICAV | 5.631 | 0,003% | C |

| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | C |
|---|---|---|---|
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL | 17.216 | 0,008% | C |
| EURO | |||
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN | |||
| ENHANCE | 228 | 0,000% | C |
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | C |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | C |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | C |
| % su Votanti Voto VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND 19.636 0,010% C VALIC COMPANY I INTERNATIONAL GROWTH FUND 404.019 0,196% C VALORACTIONS 2.500 0,001% C VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF 21.490 0,010% C VANGUARD DEVELOPED MARKETS INDEX FUND 1.551.670 0,754% C VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK 2.626 0,001% C VANGUARD ESG INTERNATIONAL STOCK ETF 36.719 0,018% C VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX 10.454 0,005% C FUND VANGUARD EUROPEAN STOCK INDEX FUND 467.062 0,227% C VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS 6.838 0,003% C INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL 135.516 0,066% C INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL 1.115.258 0,542% C INTERNATIONAL STOCK MARKET INDEX TRUST II VANGUARD FTSE ALL WORLD EX US INDEX FUND 420.620 0,204% C VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF 25.269 0,012% C VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF 2.598 0,001% C VANGUARD FUNDS PUBLIC LIMITED COMPANY 165.716 0,081% C VANGUARD INTERNATIONAL EXPLORER FUND 79.023 0,038% C VANGUARD INTERNATIONAL SHARES INDEX FUND 77.383 0,038% C VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND 4.268 0,002% C VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY 236.750 0,115% C VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE 5.037 0,002% C DEVELOPED WRLD CMMN CONT FD VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE 4.075 0,002% C DVLPD WRLD EX UK CMN CNT FD VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD 23.069 0,011% C FTSE DEV EUR EX UK CCF VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED 56.850 0,028% C WOR LD EX - U.K. EQUITY VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED 5.861 0,003% C WORLD II CCF VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED 8.321 0,004% C EUROPE II CCF VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED 5.218 0,003% C WORLD II CCF VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND 2.772.037 1,347% C VANGUARD TOTAL WORLD STOCK INDEX FUND 100.560 0,049% C VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST 7.768 0,004% C VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX 2.992 0,001% C PORTFOLIO VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS 8.361 0,004% C VERDIPAPIRFONDET DNB EUROPA 3.947 0,002% C VERDIPAPIRFONDET DNB GLOBAL INDEKS 20.768 0,010% C VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 13.855 0,007% C VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 39.762 0,019% C VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS 3.596 0,002% C VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER 838 0,000% C VF (Lux) - Valiant Europe Equities 2.369 0,001% C VGV POOLFONDS PA1 4.722 0,002% C VIA AM SICAV VIA ABSOLUTE RETURN 9.167 0,004% C VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. 1.027 0,000% C VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. 2.873 0,001% C VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX 108.892 0,053% C FUND VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND 6.424 0,003% C VILLIERS ACTIONS EUROPE SYST AGI 36.080 0,018% C VILLIERS ALTO 11.251 0,005% C VILLIERS DIAPASON 1.980 0,001% C VIRGINIA RETIREMENT SYSTEM 881 0,000% C |
||||
|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | ||


| ALLEANZA ASSICURAZIONI SPA | 38.144 | 0,019% | A |
|---|---|---|---|
| ARGENTA DP | 43.850 | 0,021% | A |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA PENSIOENSPAARFONDS |
150.000 | 0,073% | A |
| CHALLENGE FUNDS - CHALLENGE INTERNATIONAL EQUITY FUND | 16.394 | 0,008% | A |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,035% | A |
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,014% | A |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | A |
| E-MARKET SDIR |
|---|
| CERTIFIED |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO | 6.200 | 0,003% | A | |
| FUND | ||||
| DPAM B | 241.864 | 0,118% | A | |
| DPAM DBI RDT | 11.907 | 0,006% | A | |
| DPAM L | 4.150 | 0,002% | A | |
| GENERALI ITALIA SPA | 26.722 | 0,013% | A | |
| GENERALI VIE | 134.803 | 0,066% | A | |
| GID-FONDS ALAET | 40.240 | 0,020% | A | |
| GID-FONDS CEAOT | 68.126 | 0,033% | A | |
| GID-FONDS DLAET | 6.220 | 0,003% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| HUSSMAN STRATEGIC INTERNATIONAL FUND | 1.000 | 0,000% | A | |
| II | 3.800 | 0,002% | A | |
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,001% | A | |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | A | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,012% | A | |
| KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DM PRIVATE EQUITY MASTER INVESTMENT TRUST |
3.454 | 0,002% | A | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A | |
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A | |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A | |
| WEST YORKSHIRE PENSION FUND | 50.000 | 0,024% | A | |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
F - Favorevole

Autorizzazione all'acquisto e alla disposizione di azioni proprie ai sensi e per gli effetti degli Artt. 2357, 2357-ter del Codice Civile, dell'Art. 132 del D. Lgs. 24 febbraio 1998, n. 58 e dell'Art. 144-bis del regolamento CONSOB adottato con delibera n. 11971 del 14 maggio 1999, previa revoca, per la parte rimasta ineseguita, della delibera di autorizzazione assunta dall'Assemblea ordinaria degli Azionisti in data 22 aprile 2021. Deliberazioni inerenti e conseguenti.
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 204.287.268 | 99,27841% | 74,64381% |
| Contrario | 877.514 | 0,42645% | 0,32063% |
| Astenuto | 220.287 | 0,10705% | 0,08049% |
| Non Votante | 387.035 | 0,18809% | 0,14142% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | F | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | F | |
| 1895 FONDS FGR | 16.454 | 0,008% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | F | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | F | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | F | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | 606 | 0,000% | F | |
| LOCATION PORTFOLIO | ||||
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABB PENSION FUND | 500 | 0,000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | 16.513 | 0,008% | F | |
| EQUITY ENHANCED INDEX FUND ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN |
||||
| EQUITY TRACKER FUND | 13.079 | 0,006% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | ||||
| ENHANCED INDEX FUND | 2.032 | 0,001% | F | |
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | F | |
| ABN AMRO FUNDS | 30.141 | 0,015% | F | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | F | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | F | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET | 5.355 | 0,003% | F | |
| ALLOCATION PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | ||||
| PORTFOLIO | 3.330 | 0,002% | F | |
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | F | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | F | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | F | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
852 | 0,000% | F | |
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | F | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | F | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | F | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | F | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | F | |
| Aktien Europa - UI | 6.384 | 0,003% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | F |
Autorizzazione all'acquisto e alla disposizione di azioni proprie ai sensi e per gli effetti degli Artt. 2357, 2357-ter del Codice Civile, dell'Art. 132 del D. Lgs. 24 febbraio 1998, n. 58 e dell'Art. 144-bis del regolamento CONSOB adottato con delibera n. 11971 del 14 maggio 1999, previa revoca, per la parte rimasta ineseguita, della delibera di autorizzazione assunta dall'Assemblea ordinaria degli Azionisti in data 22 aprile 2021. Deliberazioni inerenti e conseguenti.

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani


| AMP INTERNATIONAL EQUITY INDEX FUND | 17.825 | 0,009% | F |
|---|---|---|---|
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | F |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | F |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | F |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,018% | F |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | F |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | F |
| AMUNDI ACTIONS PME | 205.868 | 0,100% | F |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,025% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,056% | F | |
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,005% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,001% | F | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,011% | F | |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 6.076 | 0,003% | F | |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA |
687 | 0,000% | F | |
| AMUNDI INDEX MSCI EUROPE | 74.087 | 0,036% | F | |
| AMUNDI INDEX MSCI WORLD | 12.983 | 0,006% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 489 | 0,000% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 1.881 | 0,001% | F | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 883 | 0,000% | F | |
| AMUNDI MSCI EUROPE | 13.460 | 0,007% | F | |
| AMUNDI MSCI EUROPE CLIMATE PARIS ALIGNED PAB | 196 | 0,000% | F | |
| AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB | 1.318 | 0,001% | F | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 74 | 0,000% | F | |
| AMUNDI MSCI EUROPE EX UK | 139 | 0,000% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS AL.P.UM | 893 | 0,000% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS ALIG PAB | 1.869 | 0,001% | F | |
| AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 11.067 | 0,005% | F | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 16 | 0,000% | F | |
| AMUNDI PRIME EUROZONE | 5.068 | 0,002% | F | |
| AMUNDI RESA ACTIONS FRANCE | 88.100 | 0,043% | F | |
| AMUNDI REVENUS - ACTIONS HIGH DIV | 735 | 0,000% | F | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 76.186 | 0,037% | F | |
| AMUNDI SGR SPA / AMUNDI SVILUP PO ITALIA | 337.000 | 0,164% | F | |
| AMUNDI SIF Global Ethical Equities | 231 | 0,000% | F | |
| AMUNDI STOXX EUROPE 600 | 4.477 | 0,002% | F | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 13.141 | 0,006% | F | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 264 | 0,000% | F | |
| AMUNDI TRANSMISSION PATRIMOINE | 2.384 | 0,001% | F | |
| AMUNDI VALORE ITALIA PIR | 48.700 | 0,024% | F | |
| ANDRA AP-FONDEN | 36.924 | 0,018% | F | |
| ANIMA ALTO POTENZIALE ITALIA | 100.000 | 0,049% | F | |
| ANIMA AZIONARIO PAESI SVILUPPATI LTE | 1.468 | 0,001% | F | |
| ANIMA CRESCITA ITALIA | 27.500 | 0,013% | F | |
| ANIMA CRESCITA ITALIA NEW | 1.009 | 0,000% | F | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 8.356 | 0,004% | F | |
| ANIMA INIZIATIVA ITALIA | 62.995 | 0,031% | F | |
| ANIMA ITALIA | 141.727 | 0,069% | F | |
| ANIMA OBIETTIVO ITALIA | 15.000 | 0,007% | F | |
| ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST | 1.420 | 0,001% | F | |
| AON HEWITT COLLECTIVE INVESTMENT TRUST | 6.380 | 0,003% | F | |
| AON SAVINGS PLAN TRUST | 5.802 | 0,003% | F | |
| AP ACTIONS 1 EURO | 8.665 | 0,004% | F | |
| AP ACTIONS 3 MIN VOL | 2.565 | 0,001% | F | |
| APERTURE INTERNATIONAL EQUITY FUND | 26.452 | 0,013% | F | |
| API RETRAITE DIVERSIFIE | 36.271 | 0,018% | F | |
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | F | |
| AQR INNOVATION FUND, L.P. | 184 | 0,000% | F | |
| AQR STOCK SELECTION II MASTER ACCOUNT L.P. C/O AQR | 264 | 0,000% | F | |
| MANAGEMENT LLC | ||||
| AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC | 71 | 0,000% | F | |
| AQUARIUS INTERNATIONAL FUND | 774 | 0,000% | F | |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | F | |
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,060% | F | |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,010% | F | |
| ARGENTA DP | 43.850 | 0,021% | F | |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | F | |
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 55.292 | 0,027% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | F | |
| ARPEGE ACTIONS ARRCO LONG TERME F |
1.500 47.791 |
0,001% 0,023% |
F F |
|
| ARRCO QUANT 1 | 10.271 | 0,005% | F | |
| ARRCO QUANT 2 | 17.676 | 0,009% | F | |
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,025% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,033% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,014% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 59.945 | 0,029% | F | |
| ARROWSTREET US GROUP TRUST | 9.825 | 0,005% | F | |
| ARTEMIS EUROPEAN OPPORTUNITIES FUND | 46.019 | 0,022% | F | |
| ARTISAN INTERNATIONAL SMALL-MID FUND | 436.900 | 0,212% | F | |
| ARTISAN INTERNATIONAL SMALL-MID TRUST | 8.557 | 0,004% | F | |
| ARUSHA BOURKE SEPARATE PROPERTY TRUST UAD 11/16/09 | 97 | 0,000% | F | |
| ARVEST FOUNDATION | 8 | 0,000% | F | |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA | 150.000 | 0,073% | F | |
| PENSIOENSPAARFONDS | ||||
| AS INTL EQUI - AEF II NON FLIP | 11.806 | 0,006% | F | |
| ASCENSION ALPHA FUND LLC | 624 | 0,000% | F | |
| ASR LEVENSVERZEKERING N.V. | 48.293 | 0,023% | F | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,003% | F | |
| ASSOCIATED BRITISH FOODS PENSION SCHEME | 208.770 | 0,101% | F | |
| ASSURDIX AST QMA INTERNATIONAL CORE EQUITY PORTFOLIO |
21.462 912 |
0,010% 0,000% |
F F |
|
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,006% | F | |
| ATCP-UI-FONDS | 1.905 | 0,001% | F | |
| ATOUT EUROLAND CORE + | 11.106 | 0,005% | F | |
| ATRIUM HEALTH FOUNDATION | 485 | 0,000% | F | |
| AUDIENS A3 | 2.250 | 0,001% | F | |
| AURION GLOBAL EQUITY FUND | 645 | 0,000% | F | |
| AUSTRALIA POST SUPERANNUATION SCHEME | 795 | 0,000% | F | |
| AUSTRALIAN CAPITAL TERRITORY | 6.435 | 0,003% | F | |
| AUSTRALIAN CATHOLIC SUPERANNUATION AND RETIREMENT FUND | 1.933 | 0,001% | F | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,057% | F | |
| AUSTRALIANSUPER | 89.403 | 0,043% | F | |
| Aviva Investors Funds ACS - AI Europe Equity Ex UK Fund | 693.293 | 0,337% | F | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | 3.020 | 0,001% | F | |
| INTERNATIONAL INDEX TRACKING FUND | ||||
| Aviva Investors Passive Funds ACS - AI 30:70 Global Equity (Currency Hedged) Index Fund |
4.609 | 0,002% | F | |
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index Fund |
30.843 | 0,015% | F | |
| Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index | 8.078 | 0,004% | F | |
| Fund Aviva Investors Passive Funds ACS - AI Continental European Equity |
44.931 | 0,022% | F | |
| Index Fund Aviva Investors Passive Funds ACS - AI Developed European ex UK |
58.891 | 0,029% | F | |
| Equity Index Fund Aviva Investors Passive Funds ACS - AI Developed World ex UK |
10.931 | 0,005% | F | |
| Equity Index Fund AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
55 | 0,000% | F | |
| ASSET CORE FUND I AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND II AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
323 | 0,000% | F | |
| ASSET CORE FUND III AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
617 | 0,000% | F | |
| ASSET CORE FUND IV | 461 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND V |
167 | 0,000% | F | |
| AVIVA LIFE & PENSIONS IRELAND DAC | 6.814 | 0,003% | F | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | F | |
| AWARE SUPER | 37.693 | 0,018% | F | |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,006% | F |


| BLACKROCK ADVANTAGE GLOBAL FUN | 282 | 0,000% | F |
|---|---|---|---|
| BLACKROCK ADVANTAGE INTERNATIONAL FUND | 6.583 | 0,003% | F |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 229.060 | 0,111% | F |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 4.800 | 0,002% | F |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 93.391 | 0,045% | F |
| BLACKROCK CDN WORLD INDEX FUND | 10.012 | 0,005% | F |
| BLACKROCK EUROFUND | 27.878 | 0,014% | F |
| BLACKROCK FUND MANAGERS LTD | 11.179 | 0,005% | F |
| BLACKROCK FUNDS I ICAV | 27.166 | 0,013% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BLACKROCK GLOBAL FUNDS | 479.224 | 0,233% | F | |
| BLACKROCK GLOBAL INDEX FUNDS | 11.696 | 0,006% | F | |
| BLACKROCK INDEX SELECTION FUND | 139.296 | 0,068% | F | |
| BLACKROCK INSTITUTIONAL JERSEY FUNDS | 430 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 37.571 | 0,018% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | ||||
| FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 1.746.749 | 0,849% | F | |
| BLACKROCK INTERNATIONAL ALPHA TILTS FUND | 2.598 | 0,001% | F | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK | 2.575 | 0,001% | F | |
| VARIABLE SERIES FUNDS, INC. | ||||
| BLACKROCK LIFE LIMITED | 5.398 | 0,003% | F | |
| BLACKROCK LIFE LTD | 171.323 | 0,083% | F | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 41.254 | 0,020% | F | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | F | |
| BLACKROCK STRATEGIC FUNDS | 1.115 | 0,001% | F | |
| BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY FUND | 118 | 0,000% | F | |
| OF BLACKROCK FUNDS BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND |
||||
| LIMITED | 23.740 | 0,012% | F | |
| BLK MAGI FUND A SERIES TRUST | 45 | 0,000% | F | |
| BLOOMBERG FINANCE L.P. | 148.344 | 0,072% | F | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | F | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | ||||
| ETF | 1.444 | 0,001% | F | |
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,028% | F | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | F | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | F | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | F | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | F | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 1.456 | 0,001% | F | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,003% | F | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | F | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | F | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,002% | F | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | ||||
| AMERICA | 4.893 | 0,002% | F | |
| BOC PENSION INVESTMENT FUND | 45.308 | 0,022% | F | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | F | |
| BP PENSION FUND | 3.370 | 0,002% | F | |
| BRIDGE BUILDER INTERNATIONAL | 9.810 | 0,005% | F | |
| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED | 8.687 | 0,004% | F | |
| RISKPORTFOLIO II | ||||
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | 982 | 0,000% | F | |
| PORTFOLIO | ||||
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET PORTFOLIO |
4.233 | 0,002% | F | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | F | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | F | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR | ||||
| FIDELITY FUNDS - ITALY | 231.446 | 0,112% | F | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | F | |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | F | |
| BT INTERNATIONAL SHARES INDEX FUND | 18.884 | 0,009% | F | |
| BT PENSION SCHEME. | 123.868 | 0,060% | F | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,002% | F | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 884 | 0,000% | F | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 5.207 | 0,003% | F | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 19.498 | 0,009% | F | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,082% | F | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | F | |
| CALCIUM QUANT | 7.645 | 0,004% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 205.374 | 0,100% | F | |
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,044% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,005% | F | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 1.629 | 0,001% | F | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 51.459 | 0,025% | F | |
| CANADIAN BROADCASTING CORPORATION | 9.177 | 0,004% | F | |
| CANADIAN WORLD FUND LIMITED . | 22.000 | 0,011% | F | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | F | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | F | |
| CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST | 64.910 | 0,032% | F | |
| CAPITAL INTERNATIONAL FUND | 7.623 | 0,004% | F | |
| CAPITAL WORLD GROWTH AND INCOME FUND | 2.567.919 | 1,248% | F | |
| CARPIMKO ACTIONS LO | 110.786 | 0,054% | F | |
| CATHAY LIFE INSURANCE CO LTD | 373.015 | 0,181% | F | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 453 | 0,000% | F | |
| CAVOM DIVERSIFIE - POCHE ACT | 3.834 | 0,002% | F | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 1.019 | 0,000% | F | |
| CBIS GLOBAL FUNDS PUBLIC LTD CO | 9.236 | 0,004% | F | |
| CBP GROWTH SMC | 20.212 | 0,010% | F | |
| CC AND L Q 130/30 FUND II | 319 | 0,000% | F | |
| CC AND L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 2.628 | 0,001% | F | |
| CC AND L Q MARKET NEUTRAL FUND | 926 | 0,000% | F | |
| CC AND L Q MARKET NEUTRAL FUND II | 484 | 0,000% | F | |
| CC&L GLOBAL EQUITY FUND | 12 | 0,000% | F | |
| CC&L MULTI-STRATEGY FUND | 308 | 0,000% | F | |
| CC&L Q 130/30 FUND II | 12 | 0,000% | F | |
| CC&L Q EQUITY EXTENSION FUND | 38 | 0,000% | F | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 46 | 0,000% | F | |
| Central Bank of Ireland | 1.525 | 0,001% | F | |
| CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATIN | 12.295 | 0,006% | F | |
| ICIPATING EMPLOYERS | ||||
| CENTRAL PROVIDENT FUND BOARD | 526 | 0,000% | F | |
| CERVURITE INTERNATIONAL LLC | 10.806 | 0,005% | F | |
| CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | 3.274 | 0,002% | F | |
| CHEVRON MASTER PENSION TRUST | 77.866 | 0,038% | F | |
| CHEVRON UK PENSION PLAN. | 1.299 | 0,001% | F | |
| CHRISTIAN SUPER | 561 | 0,000% | F | |
| CHRISTOPHER J MILLERCHIP | 32 | 0,000% | F | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 942 | 0,000% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH INDEX ETF | 5.716 | 0,003% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH | 1.075 | 0,001% | F | |
| VARIABLY HEDG INDEX ETF | ||||
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | F | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | F | |
| CIBC INTERNATIONAL INDEX FUND | 12.163 | 0,006% | F | |
| CIBC POOLED INTERNATIONAL EQUITY INDEX FUND | 330 | 0,000% | F | |
| CINDY SPRINGS LLC | 14.524 | 0,007% | F | |
| CIPAV DIVERSIFIE - POCHE ACTIO | 21.685 | 0,011% | F | |
| CIT_WLDEXUS130 - NON FLIP | 5.291 | 0,003% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) EUROP | 201.667 | 0,098% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) INTER | 13.123 | 0,006% | F | |
| CITITRUST LIMITED | 4.805 | 0,002% | F | |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS BLACKROCK WORLD EQUITY INDEX FUND |
1.702 | 0,001% | F | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 16.338 | 0,008% | F | |
| CITY OF MILWAUKEE EMPLOYEES RETIREMENT SYSTEM | 11.678 | 0,006% | F | |
| CITY OF NEW YORK GROUP TRUST | 368.864 | 0,179% | F | |
| CITY UNIVERSITY OF NEW YORK | 281 | 0,000% | F | |
| Civil Service Employees Pension Fund | 2.500 | 0,001% | F | |
| CLASS N AHL ALPHA 2.5XL EUR TRADING LIMITED. | 9.323 | 0,005% | F | |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,004% | F | |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,009% | F | |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,175% | F | |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | F | |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,029% | F | |
| CM-CIC SICAV | 318.134 | 0,155% | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 1.023 | 0,000% | F | |
| COGEFI ELIXIR ISR | 2.330 | 0,001% | F | |
| COLLEGE RETIREMENT EQUITIES FUND | 1.845.499 | 0,897% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,003% | F | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,005% | F | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE | 378.857 | 0,184% | F | |
| OPPORTUNITIES COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER |
||||
| COMPANIES COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP |
652.667 | 0,317% | F | |
| MORGAN CHASE BANK, N.A. | 95.326 | 0,046% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 3.826 | 0,002% | F | |
| COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC | 12.722 | 0,006% | F | |
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,002% | F | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR | 2.930 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR |
22.588 | 0,011% | F | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,001% | F | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA |
41.653 | 0,020% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | F | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,019% | F | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,048% | F | |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 7.304 | 0,004% | F | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | F | |
| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,012% | F | |
| CORNELL UNIVERSITY | 819 | 0,000% | F | |
| CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND | 7.380 | 0,004% | F | |
| CORONATION GLOBAL OPPORTUNITIES FUND | 10.962 | 0,005% | F | |
| COSMIC INVESTMENT FUND | 48.529 | 0,024% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | F | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES CORPORATE SERVICES LTD |
2.313 | 0,001% | F | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,027% | F | |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | F | |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | F | |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,003% | F | |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,049% | F | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,076% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH | 4.197.287 | 2,040% | F | |
| QUALITY GROWTH EQUITY MOT CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND |
3.855 | 0,002% | F | |
| TECHNOLOGY AGENCY 16619-9962 CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & |
||||
| BANKING CO., LTD. AS TRUSTEE FOR INTERNATI CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO |
23.707 | 0,012% | F | |
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH | 63.515 | 0,031% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT GLOBAL GROWTH EQUITY MOTHE |
25.400 | 0,012% | F | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER FUND II |
632 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | 2.435 | 0,001% | F | |
| MOTHER FUND(CURRENCY HEDGED) |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES | 9.878 | 0,005% | F | |
| (BVI) LIMITED | ||||
| CYSTIC FIBROSIS FOUNDATION | 7.321 | 0,004% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND L |
81 | 0,000% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | F | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | F | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | F | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | F | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | F | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | F | |
| DBI-FONDS EBB | 2.399 | 0,001% | F | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | F | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | F | |
| DEAM FONDS ZDV | 3.329 | 0,002% | F | |
| DEAM-FONDS CPT | 1.596 | 0,001% | F | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO FUND |
6.200 | 0,003% | F | |
| DEKA-MASTER HAEK I | 12.525 | 0,006% | F | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | F | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | F | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | F | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | F | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | F | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O KESWICK MANAGEMENT |
779 | 0,000% | F | |
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | F | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | F | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | F | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
| DPAM B | 241.864 | 0,118% | F | |
| DPAM DBI RDT | 11.907 | 0,006% | F | |
| DPAM L | 4.150 | 0,002% | F | |
| DT EQUITY | 7.407 | 0,004% | F | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | F | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | F | |
| DUPONT PENSION TRUST DUPONT PENSION TRUST |
23.663 42.808 |
0,011% 0,021% |
F F |
|
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN | 2.079 | 0,001% | F | |
| EQUITY FUND) DWS GLOBAL SMALL CAP FUND |
26.722 | 0,013% | F | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | F | |
| DWS INVEST | 900 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | F | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | F | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT |
1.750 30.476 |
0,001% 0,015% |
F F |
|
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | F |


| FUND | 544.610 | 0,265% | F |
|---|---|---|---|
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | F |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | F |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | F |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | F |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | F |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,005% | F |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,084% | F | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,006% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,033% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,040% | F | |
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 7.817 | 0,004% | F | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,005% | F | |
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | F | |
| EUROPEAN CENTRAL BANK | 22.272 | 0,011% | F | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | ||||
| MASTER TRUST | 45.984 | 0,022% | F | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,068% | F | |
| EXELON FITZPATRICK QUALIFIED FUND | 872 | 0,000% | F | |
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | F | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | F | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL | 154.615 | 0,075% | F | |
| LP | ||||
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,023% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 5.627 | 0,003% | F | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND |
3.442 | 0,002% | F | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | F | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | F | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | F | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | F | |
| FCP BOURBON 7 | 20.180 | 0,010% | F | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | F | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,008% | F | |
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,005% | F | |
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,003% | F | |
| FCP SODIUM I | 17.051 | 0,008% | F | |
| FDC A2 TITRES | 5.962 | 0,003% | F | |
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,002% | F | |
| FDF2 ALL IN ONE | 800 | 0,000% | F | |
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | F | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | F | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | F | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | F | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED | 58.400 | 0,028% | F | |
| POOL | ||||
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 342.300 | 0,166% | F | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | F | |
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX | 495.003 | 0,241% | F | |
| FUND FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL |
||||
| INDEX FUND | 3.716 | 0,002% | F | |
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND | 58.667 | 0,029% | F | |
| FIDELITY FOUNDERS INVESTMENT TRUST | 33.300 | 0,016% | F | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | F | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,033% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,022% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,012% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,040% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,007% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,008% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 0,826% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F | |
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,231% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,006% | F | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 198.038 | 0,096% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,033% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,035% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX | 59.913 | 0,029% | F | |
| FUND FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX |
24.219 | 0,012% | F | |
| FUND FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND |
419.702 | 0,204% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | F | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | F | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF BALTIMORE |
12.966 | 0,006% | F | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | F | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,001% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | F | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | F | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,001% | F | |
| FJARDE AP-FONDEN. | 27.645 | 0,013% | F | |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND |
1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
3.696 | 0,002% | F | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 1.300 | 0,001% | F | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | F | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | F | |
| FLOURISH INVESTMENT CORPORATION | 366.913 | 0,178% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F | |
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,000% | F | |
| FONDITALIA | 201.000 | 0,098% | F | |
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,029% | F | |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,001% | F | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | F | |
| FONSOLBANK FP | 201 | 0,000% | F | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,002% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 503 | 0,000% | F | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | F | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,004% | F | |
| FOREST FOUNDATION | 94 | 0,000% | F | |
| FORSTA AP - FONDEN | 45.427 | 0,022% | F | |
| FOVERUKA PENSION UNIVERSAL | 6.566 | 0,003% | F | |
| FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES FND |
130.000 | 0,063% | F | |
| FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND | 9.341 | 0,005% | F | |
| FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL | 710 | 0,000% | F |


| E | 851 | 0,000% | F |
|---|---|---|---|
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT |
109.577 | 0,053% | F |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN SACHS AND CO |
5.568 | 0,003% | F |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
4.735 | 0,002% | F |
| GOLDMAN SACHS FUNDS | 1.024.289 | 0,498% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA | 1.919 | 0,001% | F | |
| FUND | ||||
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | F | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | F | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | F | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,057% | F | |
| GR-AVENIR GRAYHAWK GLOBAL GROWTH POOL |
1.000 15.958 |
0,000% 0,008% |
F F |
|
| GRD 12 ACTIONS | 35.360 | 0,017% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | F | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | F | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | F | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | F | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | F | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | F | |
| HALEVY A1 | 35.923 | 0,017% | F | |
| HALEVY A2 | 36.004 | 0,017% | F | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | F | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | F | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | F | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | F | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | F | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
11.101 | 0,005% | F | |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | F | |
| Helium Alpha | 3.829 | 0,002% | F | |
| Henderson Eurotrust plc | 137.894 | 0,067% | F | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | F | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | F | |
| HESTA | 506.496 | 0,246% | F | |
| HI-172915-Fonds | 1.508 | 0,001% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund | 58.991 | 0,029% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE |
200.034 | 0,097% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION | 4.426 | 0,002% | F | |
| GOVERNMENTEXCHANGE FUND HOSTPLUS POOLED SUPERANNUATION TRUST |
17.065 | 0,008% | F | |
| HRW TESTAMENTARY TRUST NO 2 | 855 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO 3. | 1.326 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO. 11. | 995 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 1.853 | 0,001% | F | |
| HRW TRUST NO 1 UAD 01/17/03. | 2.051 | 0,001% | F | |
| HRW TRUST NO 2 UAD 01/17/03. | 2.184 | 0,001% | F | |
| HRW TRUST NO 3 UAD 01/17/03. | 652 | 0,000% | F | |
| HRW TRUST NO 4 UAD 01/17/03 | 1.367 | 0,001% | F | |
| HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ FND |
130.788 | 0,064% | F | |
| HSBC ETFS PLC | 3.185 | 0,002% | F | |
| HSBC ETF'S PLC | 348 | 0,000% | F | |
| HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS ETF |
507 | 0,000% | F | |
| HSBC ETFS PUBLIC LIMITED COMPANY | 478 | 0,000% | F | |
| HSBC EUROPEAN INDEX FUND | 100.074 | 0,049% | F | |
| HSBC Global Funds ICAV | 37.129 | 0,018% | F | |
| HSBC INDEX TRACKER INVESTMENT FUNDS ICVC | 12.285 | 0,006% | F | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 3.479 | 0,002% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| HSBC Life (International) Limited | 12.817 | 0,006% | F | |
| HSBC Managed Balanced Fund | 637 | 0,000% | F | |
| HSBC Managed Growth Fund | 1.023 | 0,000% | F | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY | 3.231 | 0,002% | F | |
| INDEX TRACKING FUND | ||||
| HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund | 17.572 | 0,009% | F | |
| HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY | ||||
| FUND | 10.759 | 0,005% | F | |
| HYMNOS | 13.980 | 0,007% | F | |
| IA CLARINGTON GLOBAL VALUE FUND | 2.162 | 0,001% | F | |
| IBM 401(K) PLUS PLAN TRUST | 33.731 | 0,016% | F | |
| IBM 401(K) PLUS PLAN TRUST | 7.788 | 0,004% | F | |
| IBM DIVERSIFIED GLOBAL EQUITY FUND | 3.443 | 0,002% | F | |
| IBM PERSONAL PENSION PLAN TRUST | 11.214 | 0,005% | F | |
| IBM RETIREMENT PLAN | 854 | 0,000% | F | |
| ICARE | 3.918 | 0,002% | F | |
| ICBCCS GLOBAL SELECTIVE EQUITY FUND | 11.445 | 0,006% | F | |
| IF IST - GLOBE INDEX | 7.442 | 0,004% | F | |
| IFM GLOBAL INDEXED EQUITIES FUND | 468 | 0,000% | F | |
| IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND | 225.983 | 0,110% | F | |
| II | 3.800 | 0,002% | F | |
| ILA - RAFIMF | 2.531 | 0,001% | F | |
| ILA-LA WORLD ESG SCREENED FUND | 3.306 | 0,002% | F | |
| ILLINOIS MUNICIPAL RETIREMENT FUND | 43.301 | 0,021% | F | |
| IMCO GLOBAL PUBLIC EQUITY LP | 626 | 0,000% | F | |
| IMCO GLOBAL PUBLIC EQUITY LP ACCT 17 | 16.815 | 0,008% | F | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 7.521 | 0,004% | F | |
| IN EQ ACWI EX US AETF NON FLIP | 20.864 | 0,010% | F | |
| INDEP'AM | 139.100 | 0,068% | F | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 13.804 | 0,007% | F | |
| INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES INC | 16.583 | 0,008% | F | |
| ING DIRECT SICAV | 11.919 | 0,006% | F | |
| INKA PBEAKK | 2.090 | 0,001% | F | |
| INSTITUTIONAL RETIREMENT TRUST | 9.092 | 0,004% | F | |
| INSTITUTIONELLA AKTIEFONDEN VARLDEN | 31.285 | 0,015% | F | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND | ||||
| EQUITIES | 25.561 | 0,012% | F | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | F | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | F | |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN |
18.885 | 0,009% | F | |
| INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 44.059 | 0,021% | F | |
| INTERFUND SICAV | 15.000 | 0,007% | F | |
| INTERNATIONAL ALPHA TILTS FUND B (INTLTB) | 1.149 | 0,001% | F | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | F | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | F | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | F | |
| INTERNATIONAL EQUITY FUND LLC | 1.343 | 0,001% | F | |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | F | |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | F | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 789 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND | 12.591 | 0,006% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS | 214 | 0,000% | F | |
| INVESTMENT ACCOUNT INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN |
828 | 0,000% | F | |
| INTERNATIONAL OPPORTUNITY FUND I | 66.547 | 0,032% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND | ||||
| (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | 3.936 | 0,002% | F | |
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT | 1.363 | 0,001% | F | |
| PORTFO | ||||
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | F | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | F | |
| INV. DANSKE INVEST EUROPA INDEKS BNP INV. DANSKE INVEST EUROPA INDEKS KL |
2.266 4.153 |
0,001% 0,002% |
F F |
|
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | F | |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | F | |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | F | |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | F | |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | F | |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | F | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | F | |
| INVESCO FUNDS | 1.680 | 0,001% | F | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | F | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | F | |
| INVESCO MARKETS III PLC | 41 | 0,000% | F | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | F | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | F | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,002% | F | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER AKK KL |
1.741 | 0,001% | F | |
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE | 1.947 | 0,001% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER - ETISK TILVALG |
3.898 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS | 1.225 | 0,001% | F | |
| KL INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL |
6.696 | 0,003% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 4.232 | 0,002% | F | |
| INVESTITORI EUROPA | 3.300 | 0,002% | F | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | F | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | F | |
| IP ACTIONS EURO | 3.877 | 0,002% | F | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE STRATEGY NO.1 |
469 | 0,000% | F | |
| IPROFILE INTERNATIONAL EQUITY PRIVATE POOL | 6.337 | 0,003% | F | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,002% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 3.453 | 0,002% | F | |
| IQ HEALTHY HEARTS ETF | 559 | 0,000% | F | |
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,009% | F | |
| IRISH LIFE ASSURANCE PLC | 94.732 | 0,046% | F | |
| IRISH LIFE ASSURANCE. | 22.012 | 0,011% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.100.037 | 0,535% | F | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 48.266 | 0,023% | F | |
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,044% | F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF |
73.910 214.092 |
0,036% 0,104% |
F F |
|
| ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS ETF | 17.245 | 0,008% | F | |
| DE | ||||
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF ISHARES EDGE MSCI INTL QUALITY FACTOR ETF |
22.359 143.992 |
0,011% 0,070% |
F F |
|
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,005% | F | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 1.618 | 0,001% | F | |
| ISHARES EURO STOXX UCITS ETF (DE) | 88.412 | 0,043% | F | |
| ISHARES EUROPE ETF | 40.489 | 0,020% | F | |
| ISHARES GLOBAL CONSUMER DISCRETIONARY ETF | 12.789 | 0,006% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ISHARES II PUBLIC LIMITED COMPANY | 91.277 | 0,044% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,122% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,153% | F | |
| ISHARES MSCI ACWI ETF | 42.539 | 0,021% | F | |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,018% | F | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,003% | F | |
| ISHARES MSCI EAFE ETF | 676.406 | 0,329% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,124% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,052% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 4.787 | 0,002% | F | |
| ISHARES MSCI EUROZONE ETF | 243.059 | 0,118% | F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 267 | 0,000% | F | |
| ISHARES MSCI ITALY ETF | 219.619 | 0,107% | F | |
| ISHARES MSCI KOKUSAI ETF | 615 | 0,000% | F | |
| ISHARES MSCI WORLD ETF | 7.193 | 0,003% | F | |
| ISHARES PUBLIC LIMITED COMPANY | 182.059 | 0,088% | F | |
| ISHARES STOXX EUROPE 600 PERSONALHOUSEHOLD GOODS UCITS ETF | ||||
| DE | 24.310 | 0,012% | F | |
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 141.793 | 0,069% | F | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 52.632 | 0,026% | F | |
| ISHARES V PUBLIC LIMITED COMPANY | 39.924 | 0,019% | F | |
| ISHARES VI PUBLIC LIMITED COMPANY | 72.641 | 0,035% | F | |
| ISHARES VII PLC | 192.179 | 0,093% | F | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 18.950 | 0,009% | F | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 1.497 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 2.211 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND ESG EQUITY INDEX FUND (CH) | 4.360 | 0,002% | F | |
| Islamic Development Bank | 913 | 0,000% | F | |
| IVY PROSHARES MSCI ACWI INDEX FUND | 166 | 0,000% | F | |
| JAMES B. HAWKES | 997 | 0,000% | F | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | F | |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 287 | 0,000% | F | |
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,001% | F | |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | F | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES | 1.501 | 0,001% | F | |
| FUND JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO |
24.841 | 0,012% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES | ||||
| LLC | 97 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 | 0,000% | F | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,014% | F | |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND | 333 | 0,000% | F | |
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 1.189 | 0,001% | F | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 476 | 0,000% | F | |
| JNL/MELLON MSCI WORLD INDEX FUND | 1.306 | 0,001% | F | |
| JNL/TROWE PRICE BALANCED FUND | 8.869 | 0,004% | F | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY | 12.252 | 0,006% | F | |
| ALLOCATION FUND | ||||
| JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND | 36.431 | 0,018% | F | |
| JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. | 2.383.446 | 1,158% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 474 | 0,000% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,005% | F | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,006% | F | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,000% | F | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY | 7.601 | 0,004% | F | |
| INDEX TRUST. JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION |
33.254 | 0,016% | F | |
| TRUST |



| 9.499 | 0,005% | F |
|---|---|---|
| 1.413 | 0,001% | F |
| 71.955 | 0,035% | F |
| 19.163 | 0,009% | F |
| 82 | 0,000% | F |
| 29.340 | 0,014% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) | ||||
| LIMITED | 197.353 | 0,096% | F | |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | F | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | F | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,018% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,057% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | F | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | F | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | F | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | F | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE | 196.807 | 0,096% | F | |
| EUROPEA LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE GLOBAL |
||||
| EQUITY INCOME FUND | 40.520 | 0,020% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE | ||||
| EUROPEAN UNCONSTRAINED FUND | 284.585 | 0,138% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE | ||||
| GLOBAL RAINED FUND | 110.445 | 0,054% | F | |
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS | 267.025 | 0,130% | F | |
| UMBRELLA | ||||
| LGIASUPER | 10.474 | 0,005% | F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,016% | F | |
| LGT SELECT FUNDS | 375 | 0,000% | F | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,004% | F | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | F | |
| LIONTRUST INVESTMENT FUNDS I | 70.000 | 0,034% | F | |
| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,007% | F | |
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | F | |
| LO Funds - All Roads | 9.683 | 0,005% | F | |
| LO Funds - All Roads Conservative | 655 | 0,000% | F | |
| LO Funds - All Roads Growth | 3.757 | 0,002% | F | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,029% | F | |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS | 42.392 | 0,021% | F | |
| MASTER TR | ||||
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.855 | 0,044% | F | |
| LOF TargetNetZero Europe Equity | 1.005 | 0,000% | F | |
| LOF WORLD BRANDS | 173.000 | 0,084% | F | |
| LOIS (CH) GLOBAL EQUITIES TRACKER+ ESG | 303 | 0,000% | F | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 7.148 | 0,003% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 188 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 19.238 | 0,009% | F | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 39.933 | 0,019% | F | |
| LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 6.985 | 0,003% | F | |
| LTW INVESTMENTS LLC | 13.669 | 0,007% | F | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 4.986 | 0,002% | F | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 35.950 | 0,017% | F | |
| LVUI EQUITY EUROPE | 15.960 | 0,008% | F | |
| LVUI EQUITY WORLD EX EUROPE | 1.500 | 0,001% | F | |
| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,015% | F | |
| LYX IND FD-LYXOR CORE STOXX EU | 96.735 | 0,047% | F | |
| LYX INV FDS - GARI EUROPEAN EQ | 35.026 | 0,017% | F | |
| LYXINDX FUND - LYXOR MSCI EMU | 5.605 | 0,003% | F | |
| LYXOR CORE MSCI WORLD (DR) UCI | 6.748 | 0,003% | F | |
| LYXOR FTSE MIB UCITS ETF | 281.217 | 0,137% | F | |
| LYXOR MSCI EUROPE UCITS ETF | 17.943 | 0,009% | F | |
| M & G Securities Limited | 5.213 | 0,003% | F | |
| M INTERNATIONAL EQUITY FUND | 1.242 | 0,001% | F | |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK INDEX | 34.007 | 0,017% | F | |
| Fund |

| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | F |
|---|---|---|---|
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,020% | F |
| MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN | |||
| AIRLINES, INC, US AIRW | 12.444 | 0,006% | F |
| MASTERS I LLC | 879 | 0,000% | F |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | F |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,001% | F |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | F |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 10.519 | 0,005% | F |

| MOTHER CABRINI HEALTH FOUNDATION, INC. | 2.713 | 0,001% | F |
|---|---|---|---|
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,005% | F |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | F |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,045% | F |
| MTAA SUPERANNUATION FUND | 35.090 | 0,017% | F |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND | 23.490 | 0,011% | F |
| MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND | 14.900 | 0,007% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 45.755 | 0,022% | F | |
| MUGUET VENTURES LLC | 250 | 0,000% | F | |
| MUL- LYX FTSE IT ALL CAP PIR | 4.088 | 0,002% | F | |
| MUL-LYX NET ZERO 2050 SP | 7.035 | 0,003% | F | |
| MUL-LYX NET ZERO 50 | 223.303 | 0,109% | F | |
| MUL-LYXOR MSCI EMU ESG LEADERS | 2.751 | 0,001% | F | |
| MUL-LYXOR MSCI WORLD CLIMATE | 866 | 0,000% | F | |
| MUL-LYXOR MSCI WORLD ESG LEADE | 4.911 | 0,002% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,026% | F | |
| MULTI UNITS LUX-LYXOR CORE MSC | 13.880 | 0,007% | F | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | F | |
| MUNICIPAL EMPLOYEES PENSION PLAN | 72.164 | 0,035% | F | |
| MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM | 7.531 | 0,004% | F | |
| MUSASHI SMART PREMIA FUND | 6.244 | 0,003% | F | |
| NATIONAL BANK FINANCIAL INC | 594 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 4.114 | 0,002% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 53.403 | 0,026% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND. | 110.744 | 0,054% | F | |
| NATIONAL PENSION INSURANCE FUND | 3.400 | 0,002% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 70.569 | 0,034% | F | |
| NATIONAL TREASURY MANAGEMENT AGCY | 1.457 | 0,001% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 15.524 | 0,008% | F | |
| NATIXIS INTERNATIONAL FUNDS (LUX) I | 92.122 | 0,045% | F | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 321.625 | 0,156% | F | |
| NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT | 271.608 | 0,132% | F | |
| TRUST | ||||
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF | 154.869 | 0,075% | F | |
| ST. JAMES'S PLACE NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF |
6.350 | 0,003% | F | |
| ST. JAMES'S PLACE NAV CANADA PENSION PLAN |
2.980 | 0,001% | F | |
| NAVIGERA AKTIE 2 | 273.738 | 0,133% | F | |
| NBIMC EAFE EQUITY INDEX FUND. | 5.642 | 0,003% | F | |
| NCB CAPITAL COMPANY | 7.104 | 0,003% | F | |
| NEF EURO EQUITY | 159.607 | 0,078% | F | |
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | F | |
| NEMOURS FOUNDATION | 184 | 0,000% | F | |
| NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT | ||||
| GENERATION CONNECTED CONSUMER | 2.907 | 0,001% | F | |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F | |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | F | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | F | |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 714 | 0,000% | F | |
| NEW YORK STATE COMMON RETIREMENT FUND | 3.613 | 0,002% | F | |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | F | |
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 10.081 | 0,005% | F | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 103.513 | 0,050% | F | |
| NEW ZEALAND SUPERANNUATION FUND. | 40.791 | 0,020% | F | |
| NEWBURG NOMINEES LIMITED INVESTORSWHOLESALE GLOBAL EQUITY (INDEX) TRUST |
15.678 | 0,008% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC NON QUALIFIED DECOMMISSIONI |
179 | 0,000% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR |
32 | 0,000% | F | |
| POW | ||||
| NFS LIMITED | 12.960 | 0,006% | F | |
| NGS SUPER | 279.139 | 0,136% | F | |
| NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 1.400 | 0,001% | F | |
| NINETY ONE GLOBAL STRATEGY FUND | 212.168 | 0,103% | F | |
| NINETY ONE PROFESSIONAL INVESTMENT FUNDS PCC LIMITED - GLOBAL BALANCED (SA) FUND |
274.576 | 0,133% | F | |
| NISSAN NORTH AMERICA INC. EMPLOYEE RETIREMENT PLAN MASTER TRUST |
35.126 | 0,017% | F | |
| NN (L) SICAV | 6.599 | 0,003% | F |

| PANAGORA GROUP TRUST | 1.758 | 0,001% | F |
|---|---|---|---|
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | F |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | F |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER | |||
| FUND | 428 | 0,000% | F |
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | F |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,065% | F |


| 25.744 | 0,013% | F |
|---|---|---|
| F | ||
| F | ||
| 101.900 | 0,050% | F |
| F | ||
| 9.878 | 0,005% | F |
| 217.925 31.178 146.256 |
0,106% 0,015% 0,071% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | F | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | F | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,003% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,006% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES PORTFOLIO |
1.572 | 0,001% | F | |
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION FUND |
741 | 0,000% | F | |
| QS INVESTORS INTERNATIONAL EQUITY DBI CIT | 264 | 0,000% | F | |
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | F | |
| QUADRATOR SRI | 111.000 | 0,054% | F | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | F | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | F | |
| QUALITY EDUCATION FUND | 385 | 0,000% | F | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | F | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | F | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | F | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | F | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | F | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | F | |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT | 3.584 | 0,002% | F | |
| TRUST | ||||
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | F | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | F | |
| RDM LIQUID LLC | 9.080 | 0,004% | F | |
| ReAssure Limited | 9.407 | 0,005% | F | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | F | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | F | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | F | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | F | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | F | |
| ROPS EURO P | 18.805 | 0,009% | F | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,015% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | F | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B (REMGEOB) |
2.713 | 0,001% | F | |
| RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND |
48.011 | 0,023% | F | |
| RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY | 20.563 | 0,010% | F | |
| FUND RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL |
7.848 | 0,004% | F | |
| EQUITY FUND | ||||
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL EQUITY FUND |
69.531 | 0,034% | F | |
| RUSSELL INVESTMENT COMPANY V PLC | 32.028 | 0,016% | F |


| SEB ACTIVE 55 | 653 | 0,000% | F |
|---|---|---|---|
| SEB ACTIVE 80 | 446 | 0,000% | F |
| SEI GLOBAL MASTER FUND PLC | 2.321 | 0,001% | F |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
1.664 | 0,001% | F |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 127 | 0,000% | F |
| SEMPRA ENERGY PENSION MASTER TRUST | 3.701 | 0,002% | F |
| SENTINEL INTERNATIONAL TRUST | 1.212 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SG ACTIONS EURO | 6.991 | 0,003% | F | |
| SG ACTIONS FRANCE LARGECAP | 1.345 | 0,001% | F | |
| SG ACTIONS LUXE | 135.089 | 0,066% | F | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | F | |
| SG DIVERSIFIE FRANCE | 2.204 | 0,001% | F | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | F | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | F | |
| SHELL NEDERLAND PENSIOENFONDS STICHTING | 538 | 0,000% | F | |
| SHELL PENSION TRUST | 4.014 | 0,002% | F | |
| SHELL PENSIONS TRUST LIMITED AS TRUSTEE OF SHELL CONTRIBUTORY | ||||
| PENSION FUND | 16.585 | 0,008% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | ||||
| INTERNATIONAL PENSION FUND | 5.913 | 0,003% | F | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 25.959 | 0,013% | F | |
| CONTRIBUTORY PENSION FUND | ||||
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | F | |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | F | |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL |
255.356 | 0,124% | F | |
| UNCONSTRAINED FUND | 179.400 | 0,087% | F | |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,001% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| SOGECAP ACTIONS | 110.578 | 0,054% | F | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | F | |
| SOLIDARITES | 1.917 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | F | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | F | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | F | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | F | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | F | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | F | |
| SPP EUROPA PLUS | 463 | 0,000% | F | |
| SPP GENERATION 50-TAL | 142 | 0,000% | F | |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | F | |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | F | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | F | |
| SPRING 625 | 2.946 | 0,001% | F | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST | 5.388 | 0,003% | F | |
| FUND SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST |
7.976 | 0,004% | F | |
| FUND SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND |
170.925 | 0,083% | F | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,016% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,389% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,014% | F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 28.109 | 0,014% | F | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | F | |
| STAR PASTEUR | 7.107 | 0,003% | F | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,030% | F | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,014% | F | |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | F | |
| STATE OF MINNESOTA | 78.948 | 0,038% | F | |
| STATE OF MINNESOTA | 241.152 | 0,117% | F |

| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | F |
|---|---|---|---|
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,004% | F |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET | 229 | 0,000% | F |
| PORT | |||
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED | 489 | 0,000% | F |
| PORTFOLIO | |||
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL | 140.429 | 0,068% | F |
| EQUITIES |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | 1.613 | 0,001% | F | |
| ALLOCATION PORT | ||||
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED | 25.178 | 0,012% | F | |
| PORTFOLIO | ||||
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION GROWTHPORTF |
9.070 | 0,004% | F | |
| SUNSUPER SUPERANNUATION FUND | 31.443 | 0,015% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | ||||
| AUSTRAL | 1.135 | 0,001% | F | |
| Swiss National Bank | 747.726 | 0,363% | F | |
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,009% | F | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,003% | F | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,042% | F | |
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | F | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,002% | F | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,474% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,004% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,003% | F | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | F | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 0,925% | F | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,039% | F | |
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,009% | F | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,015% | F | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,028% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 0,996% | F |
| TANGERINE BALANCED GROWTH PORTFOLIO | 3.712 | 0,002% | F | |
| TANGERINE BALANCED INCOME PORTFOLIO | 509 | 0,000% | F | |
| TANGERINE BALANCED PORTFOLIO | 3.238 | 0,002% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 4.363 | 0,002% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 4.853 | 0,002% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - | ||||
| HEDGED) FUND | 18.297 | 0,009% | F | |
| TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF | 45.923 | 0,022% | F | |
| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | F | |
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | F | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | F | |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | F | |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,097% | F | |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | F | |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | F | |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | F | |
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,002% | F | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,015% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,099% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 31.304 | 0,015% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 105.926 | 0,051% | F | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 2.050 | 0,001% | F | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 144.020 | 0,070% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 19.162 | 0,009% | F | |
| TELSTRA SUPERANNUATION SCHEME | 5.558 | 0,003% | F | |
| TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 527.412 | 0,256% | F | |
| TEXAS EDUCATION AGCY | 57.379 | 0,028% | F | |
| TEXAS EDUCATION AGENCY | 8.056 | 0,004% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 512 | 0,000% | F | |
| THE ALGER FUNDS - ALGER MID CAP GROWTH FUND | 43.253 | 0,021% | F | |
| THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND | 94.386 | 0,046% | F | |
| THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH INSTITUTIONAL FUND |
14.745 | 0,007% | F | |
| THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO | 27.679 | 0,013% | F | |
| THE AMERICAN UNIVERSITY IN CAIRO | 813 | 0,000% | F | |
| THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 145 | 0,000% | F |


| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 1.672 | 0,001% | F |
|---|---|---|---|
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | |||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 8.182 | 0,004% | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | 4.025 | ||
| PASSIVE MOTHER FUND (ONLY FOR PENSION | 0,002% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | 23.472 | 0,011% | F | |
| HEDGED) (PRIVATELY PLACED INVESTMENT T | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | 3.034 | 0,001% | F | |
| (JPY HEDGED) (PRIVATELY PLACED INVEST THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK |
||||
| ESG INSIGHTS EUROPE | 5.242 | 0,003% | F | |
| THE NATURE CONSERVANCY | 1 | 0,000% | F | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | F | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 61.856 | 0,030% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 119.604 | 0,058% | F | |
| THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL UNIVERSITY |
5.369 | 0,003% | F | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | F | |
| THE STATE OF NEVADA | 1.656 | 0,001% | F | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | 453 | 0,000% | F | |
| (BERMUDA) LIMITED THE TRUSTEES OF THE HENRY SMITH CHARITY |
5.401 | 0,003% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,002% | F | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION | ||||
| MULTIPLE COLLECTIVE INVESTMENT THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & |
308.939 | 0,150% | F | |
| RICHARD WONG TTEES 535 | 199 | 0,000% | F | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 | 1.891 | 0,001% | F | |
| THREADNEEDLE (LUX | 21.528 | 0,010% | F | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. | 124.892 | 0,061% | F | |
| THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA | ||||
| THREADNEEDLE INVESTMENTS | 14.497 | 0,007% | F | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | F | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | F | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 2.018 | 0,001% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP | 157 | 0,000% | F | |
| TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND | 445.951 | 0,217% | F | |
| TIAACREF INTERNATIONAL EQUITY FUND | 1.307.128 | 0,635% | F | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 232.530 | 0,113% | F | |
| TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND | 28.282 | 0,014% | F | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 3.056 | 0,001% | F | |
| TJ-NONQUALIFIED LLC | 15.758 | 0,008% | F | |
| TJ-QUALIFIED LLC | 11.225 | 0,005% | F | |
| TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST |
461 1.503 |
0,000% 0,001% |
F F |
|
| TOCQUEVILLE CROISSANCE EURO IS | 270.661 | 0,132% | F | |
| TONI ACTIONS ISR 100 TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER |
10.297 11.041 |
0,005% 0,005% |
F F |
|
| INV TRANSAMERICA INTERNATIONAL EQUITY INDEX VP |
925 | 0,000% | F | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 2.638 | 0,001% | F | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 45.023 | 0,022% | F | |
| TRINITY COLLEGE CAMBRIDGE | 3.467 | 0,002% | F | |
| True Potential Investments LLP | 321.471 | 0,156% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 10 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION |
6.735 | 0,003% | F | |
| INVESTMENT FUND TRUST NUMBER 21 | 1.646 | 0,001% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 |
11.160 | 0,005% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
693 | 0,000% | F | |
| TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION | 36.008 | 0,017% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | F | |
| TRUTH INITIATIVE FOUNDATION | 1.163 | 0,001% | F | |
| TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA | ||||
| ADVISERS LP ACTING AS INVESTMENT ADVISER | 377.000 | 0,183% | F | |
| TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. | 405 | 0,000% | F | |
| TWU Superannuation Fund | 1.687 | 0,001% | F | |
| U.S. GLOBAL INVESTORS FUNDS | 9.000 | 0,004% | F | |
| UBAM | 31.734 | 0,015% | F | |
| UBAM - EUROPE SMALL CAP EQUITY | 13.499 | 0,007% | F | |
| UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY | 32.954 | 0,016% | F | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 13.513 | 0,007% | F | |
| UBS (IRL) INVESTOR SELECTION PLC | 10.309 | 0,005% | F | |
| UBS (LUX) EQUITY SICAV | 103.750 | 0,050% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 47.129 | 0,023% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,042% | F | |
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE | 1.901 | 0,001% | F | |
| UBS (LUX) KEY SELECTION SICAV | 5.631 | 0,003% | F | |
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY | ||||
| (USD) | 1.641 | 0,001% | F | |
| UBS (LUX) SICAV 1 | 133 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 824 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE | 540 | 0,000% | F | |
| (USD) | ||||
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM | 2.156 | 0,001% | F | |
| (USD) UBS (US) GROUP TRUST |
13.145 | 0,006% | F | |
| UBS AM (D) GMBH / UBS412 | 13.300 | 0,006% | F | |
| UBS ASSET MANAGEMENT LIFE LTD | 39.500 | 0,019% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH | ||||
| INVESTINSTITUTIONAL FUN | 9.869 | 0,005% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 24.069 | 0,012% | F | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 182.621 | 0,089% | F | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 281 | 0,000% | F | |
| UBS LUX FUND SOLUTIONS | 175.192 | 0,085% | F | |
| UF 6 | 4.278 | 0,002% | F | |
| UFF VALEUR PME | 206.481 | 0,100% | F | |
| UI-E | 5.465 | 0,003% | F | |
| UI-FONDS BAV RBI AKTIEN | 17.551 | 0,009% | F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 5.970 | 0,003% | F | |
| UNI-GLOBAL SICAV | 2.886 | 0,001% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 9.708 | 0,005% | F | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE | 1.095 | 0,001% | F | |
| REFUGEE | ||||
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN MASTER TRU |
50.244 | 0,024% | F | |
| UNITY FUND | 20.474 | 0,010% | F | |
| UNIVERSAL INVEST SICAV | 223.368 | 0,109% | F | |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL | ||||
| FONDS | 9.009 | 0,004% | F | |
| Universal Investment GmbH | 94.420 | 0,046% | F | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG AKTIEN GLOBAL PLUS |
67.000 | 0,033% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG MULTI | 10.000 | 0,005% | F | |
| ASSETDEFENSIVE UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
224.924 | 0,109% | F | |
| A1-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
||||
| A4-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF |
19.415 | 0,009% | F | |
| BROCKEN-UI-FONDS | 2.945 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | 1.100 | 0,001% | F | |
| COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO | 13.441 | 0,007% | F | |
| UNIVERSAL-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT | 5.980 | 0,003% | F | |
| EURO AKTIEN SOLVENCY UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT |
||||
| EURO AKTIEN VOLCONTROL | 6.000 | 0,003% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US | 77.354 | 0,038% | F | |
| UNIVERSAL-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | 2.004 | 0,001% | F | |
| UNIVERSAL-CA V UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB |
||||
| UNIVERSAL-FONDS | 375 | 0,000% | F | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 17.328 | 0,008% | F | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL | ||||
| EURO | 17.216 | 0,008% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN | 228 | 0,000% | F | |
| ENHANCE | ||||
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | F | |
| UPS GROUP TRUST | 58.308 | 0,028% | F | |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | F | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | F | |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | F | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | F | |
| VALORACTIONS | 2.500 | 0,001% | F | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.551.670 | 0,754% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 2.626 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX | 10.454 | 0,005% | F | |
| FUND VANGUARD EUROPEAN STOCK INDEX FUND |
467.062 | 0,227% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS | ||||
| INDEX TRUST | 6.838 | 0,003% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | ||||
| INTERNATIONAL STOCK MARKET INDEX TRUST | 135.516 | 0,066% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 1.115.258 | 0,542% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II | ||||
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 420.620 | 0,204% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.269 | 0,012% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 2.598 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 165.716 | 0,081% | F | |
| VANGUARD INTERNATIONAL EXPLORER FUND | 79.023 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 77.383 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 4.268 | 0,002% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 236.750 | 0,115% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD |
5.037 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | ||||
| DVLPD WRLD EX UK CMN CNT FD | 4.075 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD | ||||
| FTSE DEV EUR EX UK CCF | 23.069 | 0,011% | F | |
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED | 56.850 | 0,028% | F | |
| WOR LD EX - U.K. EQUITY | ||||
| VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED WORLD II CCF |
5.861 | 0,003% | F | |
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED | ||||
| EUROPE II CCF | 8.321 | 0,004% | F | |
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED | 5.218 | 0,003% | F | |
| WORLD II CCF | ||||
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.772.037 | 1,347% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 100.560 | 0,049% | F | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 7.768 | 0,004% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | ||||
| PORTFOLIO | 2.992 | 0,001% | F | |
| VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS | 8.361 | 0,004% | F | |
| VENEZIO INVESTMENTS PTE. LTD. | 1.409.998 | 0,685% | F | |
| VERDIPAPIRFONDET DNB EUROPA | 3.947 | 0,002% | F | |
| VERDIPAPIRFONDET DNB GLOBAL INDEKS | 20.768 | 0,010% | F | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 13.855 | 0,007% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 39.762 | 0,019% | F | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 3.596 | 0,002% | F | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER VF (Lux) - Valiant Europe Equities |
838 2.369 |
0,000% 0,001% |
F F |
|
| VGV POOLFONDS PA1 | 4.722 | 0,002% | F | |
| VIA AM SICAV VIA ABSOLUTE RETURN | 9.167 | 0,004% | F | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 1.027 | 0,000% | F | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX |
2.873 | 0,001% | F | |
| FUND | 108.892 | 0,053% | F | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 6.424 | 0,003% | F | |
| VILLIERS ALTO | 11.251 | 0,005% | F | |
| VILLIERS DIAPASON | 1.980 | 0,001% | F | |
| VIRGINIA RETIREMENT SYSTEM | 881 | 0,000% | F | |
| VIRGINIA TECH FOUNDATION INC | 972 | 0,000% | F | |
| VIVACCIO ISR ACTIONS | 40.040 | 0,019% | F | |
| VONTOBEL FUND - VESCORE GLOBAL EQUITY MULTI FACTOR | 456 | 0,000% | F | |
| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | 252 | 0,000% | F | |
| C/O VONTOBEL FONDS SERVICES AG VONTOBEL NON US EQUITY OFFSHORE MASTER LP |
143.508 | 0,070% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | F | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND | 7.884 | 0,004% | F | |
| VWINKA SONDERVERMGEN | 8.000 | 0,004% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 145.588 | 0,071% | F | |
| WCM FOCUSED INTERNATIONAL OPPO | 8.390 | 0,004% | F | |
| WCM INTERNATIONAL LONG-TERM | 755 | 0,000% | F | |
| WCM INVESTMENT MANAGEMENT | 908 | 0,000% | F | |
| WELLINGTON COMPOUND GROWTH, L.P. | 16.777 | 0,008% | F | |
| WELLINGTON GLOBAL QUALITY GROWTH FUND (AUSTRALIA) | 125.318 | 0,061% | F | |
| WELLINGTON MASTER EMERGING ALTERNATIVES FUND CAYMAN L P C | 269 | 0,000% | F | |
| O WELLINGTON ALTERNATIVE INVESTMENTS LLC | ||||
| WELLS FARGO INTERNATIONAL GROWTH PORTFOLIO | 4.700 | 0,002% | F | |
| WHEELS COMMON INVESTMENT FUND. | 1.612 | 0,001% | F | |
| WHOLESALE INTERNATIONAL CORE EQUITIES | 316 | 0,000% | F | |
| WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED | 496 | 0,000% | F | |
| WHOLESALE UNIT TRUST MSCI GLOBAL INDEX SHARE FUND | 732 | 0,000% | F | |
| WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND |
40.400 48.062 |
0,020% 0,023% |
F F |
|
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,039% | F | |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | F | |
| WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST - WILSHIRE MULT | 1.084 | 0,001% | F | |
| WILSHIRE MUTUAL FUNDS, INC. - WILSHIRE INTERNATIONAL EQUITY | 2.615 | 0,001% | F | |
| FUND WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. |
7.925 | 0,004% | F | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,048% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
36.694 | 0,018% | F | |
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,006% | F | |
| WISDOMTREE ISSUER ICAV | 15.102 | 0,007% | F | |
| WISDOMTREE WORLD EX-US GROWTH FUND | 20.724 | 0,010% | F | |
| WORLD EQUITIES | 479 | 0,000% | F |

| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,035% | A |
|---|---|---|---|
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,014% | A |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 12.387 | 0,006% | A |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 0,000% |
A | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A |
| NATIONAL ELEVATOR INDUSTRY HEALTH BENEFIT PLAN | 5.202 | 0,003% | A |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV | |
| KAIROS INTERNATIONAL SICAV ITALIA | 74.000 | 0,036% | NV | |
| KAIROS INTERNATIONAL SICAV ITALIA PIR | 5.000 | 0,002% | NV | |
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | NV |
Totale votanti 205.772.104 100%
NE - Non espresso
F - Favorevole C - Contrario Legenda
A - Astenuto Lx - Lista x
NV - Non votante
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,005% | F | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,004% | F | |
| 1895 FONDS FGR | 16.454 | 0,011% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | F | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,043% | F | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,218% | F | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABB PENSION FUND | 500 | 0,000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | 16.513 | 0,011% | F | |
| EQUITY ENHANCED INDEX FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN | 13.079 | 0,009% | F | |
| EQUITY TRACKER FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD | 2.032 | 0,001% | F | |
| EQUITY ENHANCED INDEX FUND ABERDEEN STANDARD SICAV I |
38.073 | 0,025% | F | |
| ABN AMRO FUNDS | 30.141 | 0,020% | F | |
| ABU DHABI PENSION FUND | 29.056 | 0,019% | F | |
| ADVANCE PLANNING LIMITED | 895 | 0,001% | F | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET | ||||
| ALLOCATION PORTFOLIO | 5.355 | 0,004% | F | |
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,001% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | 3.330 | 0,002% | F | |
| PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,142% | F | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | F | |
| AEGON CUSTODY B.V. | 58.811 | 0,039% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,003% | F | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,008% | F | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE | 852 | 0,001% | F | |
| SERVICES LIMITED AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) |
||||
| LIMITED | 11.017 | 0,007% | F | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,104% | F | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | F | |
| AHL GENESIS LIMITED | 8.529 | 0,006% | F | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,007% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,004% | F | |
| Aktien Europa - UI | 6.384 | 0,004% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,004% | F | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,005% | F |

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani
Autorizzazione all'acquisto e alla disposizione di azioni proprie ai sensi e per gli effetti degli Artt. 2357, 2357-ter del Codice Civile, dell'Art. 132 del D. Lgs. 24 febbraio 1998, n. 58 e dell'Art. 144-bis del regolamento CONSOB adottato con delibera n. 11971 del 14 maggio 1999, previa revoca, per la parte rimasta ineseguita, della delibera di autorizzazione assunta dall'Assemblea ordinaria degli Azionisti in data 22 aprile 2021. Deliberazioni inerenti e conseguenti.
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,002% | F | |
| ALGEBRIS UCITS FUNDS PLC ALGEBRIS CORE ITALY FUND | 40.000 | 0,026% | F | |
| ALGER GLOBAL FOCUS FUND | 14.053 | 0,009% | F | |
| ALICE A PROIETTI FAMILY TRUST UAD 09/27/13 | 684 | 0,000% | F | |
| ALIGHT SOLUTIONS LLC 401(K) PLAN TRUST | 3.660 | 0,002% | F | |
| ALLEANZA ASSICURAZIONI SPA | 38.144 | 0,025% | F | |
| ALLEANZA OBBLIGAZIONARIO | 25.134 | 0,017% | F | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 84.000 | 0,056% | F | |
| ALLIANZ CHOICE BEST STYLES EUROPE | 16.980 | 0,011% | F | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 128.320 | 0,085% | F | |
| ALLIANZ GLOBAL INVESTORS FUND | 107.277 | 0,071% | F | |
| Allianz Global Investors GmbH | 49.200 | 0,033% | F | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 19.391 | 0,013% | F | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT | ||||
| MASTER | 2.155 | 0,001% | F | |
| ALLIANZ GLOBAL INVESTORS GMBH RE ALLIANZGI-FONDS AOKNW-AR | 704 | 0,000% | F | |
| ALLIANZ ITALIA 50 SPECIAL | 2.500 | 0,002% | F | |
| Allianz PV-WS RCM SysPro Value Europe | 4.270 | 0,003% | F | |
| ALLIANZGI FONDS LUNA A | 53.791 | 0,036% | F | |
| ALLIANZGI S AKTIEN | 6.191 | 0,004% | F | |
| ALLIANZGI-FONDS AFE SEGMENT AFE-AA3 | 17.830 | 0,012% | F | |
| ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO | 8.500 | 0,006% | F | |
| ALLIANZGI-FONDS DSPT | 29.365 | 0,019% | F | |
| ALLIANZGI-FONDS DUNHILL | 1.820 | 0,001% | F | |
| ALLIANZGI-FONDS GANO 2 | 1.366 | 0,001% | F | |
| ALLIANZGI-FONDS MAF5 | 4.350 | 0,003% | F | |
| ALLIANZGI-FONDS PF1 SEGMENT PF1-GM1-G_MA | 9.274 | 0,006% | F | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-AA1-E_EUA | 10.561 | 0,007% | F | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-GM1-G_MA (MERITEN IM) | 6.986 | 0,005% | F | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-AA1-E_EUA | 30.087 | 0,020% | F | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-GM1-G_MA | 8.677 | 0,006% | F | |
| ALLIANZGI-FONDS SHL | 1.200 | 0,001% | F | |
| ALLIANZGI-SUBFONDS HNE AKTIEN A | 50.000 | 0,033% | F | |
| ALLSTATE INSURANCE COMPANY | 13.511 | 0,009% | F | |
| ALPS GLOBAL TRAVEL BENEFICIARIES ETF | 499 | 0,000% | F | |
| ALTE LEIPZIGER TRUST INVESTMENT GESELLSCHAFT MBH | 2.537 | 0,002% | F | |
| AMCETF QUALITY DIVERSIFIED INTERNATIONAL ETF | 3.677 | 0,002% | F | |
| AMERICAN BUREAU OF SHIPPING | 97 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 8.725 | 0,006% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY | 821 | 0,001% | F | |
| FUND AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE |
29 | 0,000% | F | |
| INTERNATIONAL EQUITY ETF AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH AND |
44.828 | 0,030% | F | |
| INCOME FUND | ||||
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH FUND | 217.370 | 0,144% | F | |
| AMERICAN HEART ASSOCIATION, INC. | 166 | 0,000% | F | |
| AMG GW AND K EMERGING WEALTH EQUITY FUND | 13.283 | 0,009% | F | |
| AMG GW AND K GLOBAL ALLOCATION FUND | 25.206 | 0,017% | F | |
| AMO UCITS FUND | 95.702 | 0,063% | F | |
| AMONIS NV | 15.346 | 0,010% | F | |
| AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND | 5.248 | 0,003% | F | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 17.825 | 0,012% | F |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | F |
|---|---|---|---|
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,002% | F |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,017% | F |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,024% | F |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,002% | F |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,038% | F |
| AMUNDI ACTIONS PME | 205.868 | 0,136% | F |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,034% | F |
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,077% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,007% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,002% | F | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,015% | F | |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 6.076 | 0,004% | F | |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA |
687 | 0,000% | F | |
| AMUNDI INDEX MSCI EUROPE | 74.087 | 0,049% | F | |
| AMUNDI INDEX MSCI WORLD | 12.983 | 0,009% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 489 | 0,000% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 1.881 | 0,001% | F | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 883 | 0,001% | F | |
| AMUNDI MSCI EUROPE | 13.460 | 0,009% | F | |
| AMUNDI MSCI EUROPE CLIMATE PARIS ALIGNED PAB | 196 | 0,000% | F | |
| AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB | 1.318 | 0,001% | F | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 74 | 0,000% | F | |
| AMUNDI MSCI EUROPE EX UK | 139 | 0,000% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS AL.P.UM | 893 | 0,001% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS ALIG PAB | 1.869 | 0,001% | F | |
| AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 11.067 | 0,007% | F | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 16 | 0,000% | F | |
| AMUNDI PRIME EUROZONE | 5.068 | 0,003% | F | |
| AMUNDI RESA ACTIONS FRANCE | 88.100 | 0,058% | F | |
| AMUNDI REVENUS - ACTIONS HIGH DIV | 735 | 0,000% | F | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 76.186 | 0,050% | F | |
| AMUNDI SGR SPA / AMUNDI SVILUP PO ITALIA | 337.000 | 0,223% | F | |
| AMUNDI SIF Global Ethical Equities | 231 | 0,000% | F | |
| AMUNDI STOXX EUROPE 600 | 4.477 | 0,003% | F | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 13.141 | 0,009% | F | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 264 | 0,000% | F | |
| AMUNDI TRANSMISSION PATRIMOINE | 2.384 | 0,002% | F | |
| AMUNDI VALORE ITALIA PIR | 48.700 | 0,032% | F | |
| ANDRA AP-FONDEN | 36.924 | 0,024% | F | |
| ANIMA ALTO POTENZIALE ITALIA | 100.000 | 0,066% | F | |
| ANIMA AZIONARIO PAESI SVILUPPATI LTE | 1.468 | 0,001% | F | |
| ANIMA CRESCITA ITALIA | 27.500 | 0,018% | F | |
| ANIMA CRESCITA ITALIA NEW | 1.009 | 0,001% | F | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 8.356 | 0,006% | F | |
| ANIMA INIZIATIVA ITALIA | 62.995 | 0,042% | F | |
| ANIMA ITALIA | 141.727 | 0,094% | F | |
| ANIMA OBIETTIVO ITALIA | 15.000 | 0,010% | F | |
| ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST | 1.420 | 0,001% | F | |
| AON HEWITT COLLECTIVE INVESTMENT TRUST | 6.380 | 0,004% | F | |
| AON SAVINGS PLAN TRUST | 5.802 | 0,004% | F | |
| AP ACTIONS 1 EURO | 8.665 | 0,006% | F | |
| AP ACTIONS 3 MIN VOL | 2.565 | 0,002% | F | |
| APERTURE INTERNATIONAL EQUITY FUND | 26.452 | 0,017% | F | |
| API RETRAITE DIVERSIFIE | 36.271 | 0,024% | F | |
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | F | |
| AQR INNOVATION FUND, L.P. | 184 | 0,000% | F | |
| AQR STOCK SELECTION II MASTER ACCOUNT L.P. C/O AQR | 264 | 0,000% | F | |
| MANAGEMENT LLC AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC |
71 | 0,000% | F | |
| AQUARIUS INTERNATIONAL FUND | 774 | 0,001% | F | |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | F | |
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,081% | F | |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,014% | F | |
| ARGENTA DP | 43.850 | 0,029% | F | |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,017% | F | |
| ARIZONA PSPRS TRUST | 20.274 | 0,013% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 55.292 | 0,037% | F | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,005% | F | |
| ARPEGE ACTIONS | 1.500 | 0,001% | F |
<-- PDF CHUNK SEPARATOR -->
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| ARRCO LONG TERME F | 47.791 | 0,032% | F | |
| ARRCO QUANT 1 | 10.271 | 0,007% | F | |
| ARRCO QUANT 2 | 17.676 | 0,012% | F | |
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,034% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,045% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,019% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 59.945 | 0,040% | F | |
| ARROWSTREET US GROUP TRUST | 9.825 | 0,006% | F | |
| ARTEMIS EUROPEAN OPPORTUNITIES FUND | 46.019 | 0,030% | F | |
| ARTISAN INTERNATIONAL SMALL-MID FUND | 436.900 | 0,289% | F | |
| ARTISAN INTERNATIONAL SMALL-MID TRUST | 8.557 | 0,006% | F | |
| ARUSHA BOURKE SEPARATE PROPERTY TRUST UAD 11/16/09 | 97 | 0,000% | F | |
| ARVEST FOUNDATION | 8 | 0,000% | F | |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA | 150.000 | 0,099% | F | |
| PENSIOENSPAARFONDS | ||||
| AS INTL EQUI - AEF II NON FLIP | 11.806 | 0,008% | F | |
| ASCENSION ALPHA FUND LLC | 624 | 0,000% | F | |
| ASR LEVENSVERZEKERING N.V. | 48.293 | 0,032% | F | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,004% | F | |
| ASSOCIATED BRITISH FOODS PENSION SCHEME | 208.770 | 0,138% | F | |
| ASSURDIX | 21.462 | 0,014% | F | |
| AST QMA INTERNATIONAL CORE EQUITY PORTFOLIO | 912 | 0,001% | F | |
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,008% | F | |
| ATCP-UI-FONDS | 1.905 | 0,001% | F | |
| ATOUT EUROLAND CORE + | 11.106 | 0,007% | F | |
| ATRIUM HEALTH FOUNDATION | 485 | 0,000% | F | |
| AUDIENS A3 | 2.250 | 0,001% | F | |
| AURION GLOBAL EQUITY FUND | 645 | 0,000% | F | |
| AUSTRALIA POST SUPERANNUATION SCHEME AUSTRALIAN CAPITAL TERRITORY |
795 6.435 |
0,001% 0,004% |
F F |
|
| AUSTRALIAN CATHOLIC SUPERANNUATION AND RETIREMENT FUND | 1.933 | 0,001% | F | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,078% | F | |
| AUSTRALIANSUPER | 89.403 | 0,059% | F | |
| Aviva Investors Funds ACS - AI Europe Equity Ex UK Fund | 693.293 | 0,459% | F | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | ||||
| INTERNATIONAL INDEX TRACKING FUND | 3.020 | 0,002% | F | |
| Aviva Investors Passive Funds ACS - AI 30:70 Global Equity | 4.609 | 0,003% | F | |
| (Currency Hedged) Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index Fund |
30.843 | 0,020% | F | |
| Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index | ||||
| Fund | 8.078 | 0,005% | F | |
| Aviva Investors Passive Funds ACS - AI Continental European Equity | ||||
| Index Fund | 44.931 | 0,030% | F | |
| Aviva Investors Passive Funds ACS - AI Developed European ex UK | 58.891 | 0,039% | F | |
| Equity Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI Developed World ex UK | 10.931 | 0,007% | F | |
| Equity Index Fund AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND I | 55 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | ||||
| ASSET CORE FUND II | 323 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 617 | 0,000% | F | |
| ASSET CORE FUND III | ||||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 461 | 0,000% | F | |
| ASSET CORE FUND IV AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND V | 167 | 0,000% | F | |
| AVIVA LIFE & PENSIONS IRELAND DAC | 6.814 | 0,005% | F | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,128% | F | |
| AWARE SUPER | 37.693 | 0,025% | F | |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,009% | F | |
| AXA ROSENBERG EQUITY ALPHA TRUST | 1.910 | 0,001% | F | |
| AZ FUND 1 AZ ALLOCATION EUROPEAN DYNAMIC | 7.800 | 0,005% | F | |
| AZ FUND 1 AZ ALLOCATION GLOBAL | 1.250 | 0,001% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| AZ FUND 1 AZ ALLOCATION GLOBAL INCOME | 100.000 | 0,066% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 87.500 | 0,058% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 2.000 | 0,001% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 38.500 | 0,025% | F | |
| AZ FUND 1 AZ ALTERNATIVE CORE BRANDS | 90.000 | 0,060% | F | |
| AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE | 5.000 | 0,003% | F | |
| AZ FUND 1 AZ EQUITY BORLETTI GLOBAL LIFESTYLE | 150.000 | 0,099% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR S.P.A AZIMUT STRATEGIC TREND |
7.625 220 |
0,005% 0,000% |
F F |
|
| AZIMUT TRADING | 220 | 0,000% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 1.945 | 0,001% | F | |
| AZL INTERNATIONAL INDEX FUND | 20.158 | 0,013% | F | |
| AZL MSCI GLOBAL EQUITY INDEX FUND | 1.545 | 0,001% | F | |
| BANCO BILBAO VIZCAYA ARGENTARIA SA | 10.666 | 0,007% | F | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 12.768 | 0,008% | F | |
| BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE | ||||
| FIDEICOMISO DE FOND O DE AHORRO DE PANAMA | 1.448 | 0,001% | F | |
| BANCOPOSTA EQUITY DEVELOPED COUNTRIES | 1.604 | 0,001% | F | |
| BANCOPOSTA GLOBAL EQUITY HEDGED LTE | 321 | 0,000% | F | |
| BANCOPOSTA GLOBAL EQUITY LTE | 473 | 0,000% | F | |
| BANCOPOSTA RINASCIMENTO | 14.536 | 0,010% | F | |
| BANK OF BOTSWANA. | 1.396 | 0,001% | F | |
| BANK OF KOREA | 112.603 | 0,074% | F | |
| BANSABADELL 18 FP | 365 | 0,000% | F | |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY | 1.883 | 0,001% | F | |
| FUND | ||||
| BEAR CREEK INC | 2.075 | 0,001% | F | |
| BEAT DRUGS FUND ASSOCIATION | 359 | 0,000% | F | |
| BEL EQUITY EUROPE ESG | 22.163 | 0,015% | F | |
| BELFIUS EQUITIES NV | 8.701 | 0,006% | F | |
| BELFIUS PENSION FUND BALANCED PLUS | 25.281 | 0,017% | F | |
| BELFIUS PENSION FUND HIGH | 79.211 | 0,052% | F | |
| BELFIUS PENSION FUND LOW EQUITIES | 10.754 | 0,007% | F | |
| BELL ATLANTIC MASTER TRUST | 691 | 0,000% | F | |
| BELL GLOBAL TRUST | 25.474 | 0,017% | F | |
| BELLEVUE FUNDS (LUX) - BB ENTREPRENEUR EUROPE SMALL | 10.552 | 0,007% | F | |
| BELLSOUTH CORP RFA VEBA TRUST BERENBERG ABSOLUTE RETURN EUROPEAN |
2.800 12.554 |
0,002% 0,008% |
F F |
|
| BERENBERG AKTIEN | 21.674 | 0,014% | F | |
| BERENBERG EUROPEAN FOCUS FUND | 665.492 | 0,440% | F | |
| BERENBERG EUROZONE FOCUS FUND | 94.350 | 0,062% | F | |
| BESSEMER TRUST CO CLEARING ACCT | 1.955 | 0,001% | F | |
| BEST BUSINESS MODELS SRI | 460.000 | 0,304% | F | |
| Best Investment Corporation | 2.311 | 0,002% | F | |
| BETURN | 10.374 | 0,007% | F | |
| BEWAARSTICHTING NNIP I | 2.983 | 0,002% | F | |
| BFT EURO FUTUR ISR | 7.250 | 0,005% | F | |
| BFT PARTNERS VIA EQUITY EUROPE SRI | 24.227 | 0,016% | F | |
| BI Aktienfonds | 3.196 | 0,002% | F | |
| BIMCOR OVERSEAS POOLED FUND | 21.207 | 0,014% | F | |
| BLACKROCK - IG INTERNATIONALEQUITY POOL | 500 | 0,000% | F | |
| BLACKROCK ADVANTAGE GLOBAL FUN | 282 | 0,000% | F | |
| BLACKROCK ADVANTAGE INTERNATIONAL FUND | 6.583 | 0,004% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 229.060 | 0,152% | F | |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 4.800 | 0,003% | F | |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 93.391 | 0,062% | F | |
| BLACKROCK CDN WORLD INDEX FUND | 10.012 | 0,007% | F | |
| BLACKROCK EUROFUND | 27.878 | 0,018% | F | |
| BLACKROCK FUND MANAGERS LTD | 11.179 | 0,007% | F | |
| BLACKROCK FUNDS I ICAV | 27.166 | 0,018% | F | |
| BLACKROCK GLOBAL FUNDS | 479.224 | 0,317% | F | |
| BLACKROCK GLOBAL INDEX FUNDS | 11.696 | 0,008% | F | |
| BLACKROCK INDEX SELECTION FUND | 139.296 | 0,092% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| BLACKROCK INSTITUTIONAL JERSEY FUNDS | 430 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 37.571 | 0,025% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | 1.746.749 | 1,155% | F | |
| FUNDS FOR EMPLOYEE BENEFIT TRUSTS | ||||
| BLACKROCK INTERNATIONAL ALPHA TILTS FUND | 2.598 | 0,002% | F | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK | 2.575 | 0,002% | F | |
| VARIABLE SERIES FUNDS, INC. BLACKROCK LIFE LIMITED |
5.398 | 0,004% | F | |
| BLACKROCK LIFE LTD | 171.323 | 0,113% | F | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 41.254 | 0,027% | F | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,010% | F | |
| BLACKROCK STRATEGIC FUNDS | 1.115 | 0,001% | F | |
| BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY | ||||
| FUND OF BLACKROCK FUNDS | 118 | 0,000% | F | |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND | ||||
| LIMITED | 23.740 | 0,016% | F | |
| BLK MAGI FUND A SERIES TRUST | 45 | 0,000% | F | |
| BLOOMBERG FINANCE L.P. | 148.344 | 0,098% | F | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,002% | F | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | ||||
| ETF | 1.444 | 0,001% | F | |
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,037% | F | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,002% | F | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,035% | F | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,021% | F | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | F | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 1.456 | 0,001% | F | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,004% | F | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,009% | F | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,006% | F | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,003% | F | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | ||||
| AMERICA | 4.893 | 0,003% | F | |
| BOC PENSION INVESTMENT FUND | 45.308 | 0,030% | F | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,007% | F | |
| BP PENSION FUND | 3.370 | 0,002% | F | |
| BRIDGE BUILDER INTERNATIONAL | 9.810 | 0,006% | F | |
| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED | 8.687 | 0,006% | F | |
| RISKPORTFOLIO II | ||||
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | 982 | 0,001% | F | |
| PORTFOLIO | ||||
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET | 4.233 | 0,003% | F | |
| PORTFOLIO | ||||
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,009% | F | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,004% | F | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR | ||||
| FIDELITY FUNDS - ITALY | 231.446 | 0,153% | F | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,003% | F | |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | F | |
| BT INTERNATIONAL SHARES INDEX FUND | 18.884 | 0,012% | F | |
| BT PENSION SCHEME. | 123.868 | 0,082% | F | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,003% | F | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 884 | 0,001% | F | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 5.207 | 0,003% | F | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 19.498 | 0,013% | F | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,111% | F | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,054% | F | |
| CALCIUM QUANT | 7.645 | 0,005% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 205.374 | 0,136% | F | |
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,001% | F | |
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,059% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,007% | F | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 1.629 | 0,001% | F | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 51.459 | 0,034% | F |

| Civil Service Employees Pension Fund | 2.500 | 0,002% | F |
|---|---|---|---|
| CLASS N AHL ALPHA 2.5XL EUR TRADING LIMITED. | 9.323 | 0,006% | F |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,005% | F |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,013% | F |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | F |
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,238% | F |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | F |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,040% | F |
| CM-CIC SICAV | 318.134 | 0,210% | F |
| CMLA INDEXED GLOBAL SHARE FUND | 1.023 | 0,001% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| COGEFI ELIXIR ISR COLLEGE RETIREMENT EQUITIES FUND |
2.330 1.845.499 |
0,002% 1,221% |
F F |
|
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,004% | F | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,006% | F | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE | 378.857 | 0,251% | F | |
| OPPORTUNITIES COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER |
652.667 | 0,432% | F | |
| COMPANIES COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP |
||||
| MORGAN CHASE BANK, N.A. | 95.326 | 0,063% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC |
3.826 12.722 |
0,003% 0,008% |
F F |
|
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,003% | F | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES |
2.930 | 0,002% | F | |
| RETIR | 22.588 | 0,015% | F | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,002% | F | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE | ||||
| FOR ARIA | 41.653 | 0,028% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,006% | F | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,026% | F | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,066% | F | |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 7.304 | 0,005% | F | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | F | |
| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,017% | F | |
| CORNELL UNIVERSITY | 819 | 0,001% | F | |
| CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND | 7.380 | 0,005% | F | |
| CORONATION GLOBAL OPPORTUNITIES FUND | 10.962 | 0,007% | F | |
| COSMIC INVESTMENT FUND | 48.529 | 0,032% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,001% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY |
5.928 | 0,004% | F | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES CORPORATE SERVICES LTD |
2.313 | 0,002% | F | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,036% | F | |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,018% | F | |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,222% | F | |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,004% | F | |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,066% | F | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,103% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH QUALITY GROWTH EQUITY MOT |
4.197.287 | 2,777% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE | 3.855 | 0,003% | F | |
| AND TECHNOLOGY AGENCY 16619-9962 CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & |
23.707 | 0,016% | F | |
| BANKING CO., LTD. AS TRUSTEE FOR INTERNATI CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO |
63.515 | 0,042% | F | |
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT |
||||
| GLOBAL GROWTH EQUITY MOTHE CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER |
25.400 | 0,017% | F | |
| FUND II | 632 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) |
2.435 | 0,002% | F | |
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES (BVI) LIMITED |
9.878 | 0,007% | F | |
| CYSTIC FIBROSIS FOUNDATION | 7.321 | 0,005% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND L |
81 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | F | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | F | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,008% | F | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,007% | F | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | F | |
| DAVY FUNDS PLC. | 8.478 | 0,006% | F | |
| DBI-FONDS EBB | 2.399 | 0,002% | F | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | F | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | F | |
| DEAM FONDS ZDV | 3.329 | 0,002% | F | |
| DEAM-FONDS CPT DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO |
1.596 | 0,001% | F | |
| FUND | 6.200 | 0,004% | F | |
| DEKA-MASTER HAEK I | 12.525 | 0,008% | F | |
| DELEN PRIVATE BANK NV | 93.164 | 0,062% | F | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | F | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,001% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,002% | F | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | F | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,001% | F | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O | 779 | 0,001% | F | |
| KESWICK MANAGEMENT DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI |
896 | 0,001% | F | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | F | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,036% | F | |
| DPAM B | 241.864 | 0,160% | F | |
| DPAM DBI RDT | 11.907 | 0,008% | F | |
| DPAM L | 4.150 | 0,003% | F | |
| DT EQUITY | 7.407 | 0,005% | F | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,075% | F | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,007% | F | |
| DUPONT PENSION TRUST | 23.663 | 0,016% | F | |
| DUPONT PENSION TRUST | 42.808 | 0,028% | F | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN EQUITY FUND) |
2.079 | 0,001% | F | |
| DWS GLOBAL SMALL CAP FUND | 26.722 | 0,018% | F | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,007% | F | |
| DWS INVEST | 900 | 0,001% | F | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,007% | F | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,008% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,002% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,003% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,005% | F | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | F |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | F |
|---|---|---|---|
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,020% | F |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,003% | F |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,026% | F |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,002% | F |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,026% | F |
| DYNASTY INVEST LTD | 361 | 0,000% | F |
| EAST RIDING PENSION FUND | 117.283 | 0,078% | F |
| EASTSPRING INVESTMENTS | 302 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | F | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,006% | F | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | F | |
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP | 3.515 | 0,002% | F | |
| COMMON TR EBK-AKTIEN-UNIVERSAL-FONDS |
18.173 | 0,012% | F | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,170% | F | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,059% | F | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,900% | F | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,135% | F | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,004% | F | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,013% | F | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | F | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,051% | F | |
| EMBO-FONDS | 5.813 | 0,004% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,001% | F | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,015% | F | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,018% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | F | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | F | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,017% | F | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,056% | F | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | F | |
| EPS | 2.669 | 0,002% | F | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO |
946 | 0,001% | F | |
| 2022 | 1.236 | 0,001% | F | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
4.988 | 0,003% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH | 1.187 | 0,001% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
5.002 | 0,003% | F | |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY | 6.291 | 0,004% | F | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED |
||||
| VOLATILITY PORTFOLIO | 9.008 | 0,006% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
24.816 | 0,016% | F | |
| EQUIPSUPER | 16.691 | 0,011% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 1.952 | 0,001% | F | |
| ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER FUND |
544.610 | 0,360% | F | |
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,005% | F | |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,026% | F | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,019% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,007% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,003% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,005% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,005% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,114% | F | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,009% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,045% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,054% | F | |
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 7.817 | 0,005% | F | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,007% | F | |
| Europe Restricted - Accumulating KL | 23.427 | 0,015% | F | |
| EUROPEAN CENTRAL BANK EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS |
22.272 | 0,015% | F | |
| MASTER TRUST | 45.984 | 0,030% | F | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,092% | F | |
| EXELON FITZPATRICK QUALIFIED FUND | 872 | 0,001% | F | |
| EXPERT DIVERSIFIE -A- | 5.879 | 0,004% | F | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | F | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE | ||||
| CAPITAL LP | 154.615 | 0,102% | F | |
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,032% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 5.627 | 0,004% | F | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | 3.442 | 0,002% | F | |
| INTERNATIONALFUND | ||||
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,013% | F | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,005% | F | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,053% | F | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | F | |
| FCP BOURBON 7 | 20.180 | 0,013% | F | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,030% | F | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,010% | F | |
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,007% | F | |
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,004% | F | |
| FCP SODIUM I | 17.051 | 0,011% | F | |
| FDC A2 TITRES | 5.962 | 0,004% | F | |
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,003% | F | |
| FDF2 ALL IN ONE FDF2 GLOBAL JEAMBRUN |
800 2.500 |
0,001% 0,002% |
F F |
|
| FEDERATED KAUFMANN FUND | 480.000 | 0,318% | F | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,008% | F | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,179% | F | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED | ||||
| POOL | 58.400 | 0,039% | F | |
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 342.300 | 0,226% | F | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | F | |
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX | 495.003 | 0,327% | F | |
| FUND | ||||
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL | 3.716 | 0,002% | F | |
| INDEX FUND | ||||
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND | 58.667 | 0,039% | F | |
| FIDELITY FOUNDERS INVESTMENT TRUST | 33.300 | 0,022% | F | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,071% | F | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,045% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,005% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,005% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,030% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,017% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,054% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,010% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,011% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 1,125% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F | |
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,315% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,008% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 198.038 | 0,131% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,045% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,047% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX | ||||
| FUND | 59.913 | 0,040% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
24.219 | 0,016% | F | |
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 419.702 | 0,278% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,034% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,446% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,122% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,003% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,066% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,012% | F | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,016% | F | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF | 12.966 | 0,009% | F | |
| BALTIMORE FIRE AND POLICE PENSION ASSOCIATION OF COLORADO |
2.669 | 0,002% | F | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,002% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | F | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,002% | F | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,002% | F | |
| FJARDE AP-FONDEN. | 27.645 | 0,018% | F | |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND |
1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | 3.696 | 0,002% | F | |
| INDEX FUND FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND |
1.300 | 0,001% | F | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | F | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,403% | F | |
| FLOURISH INVESTMENT CORPORATION | 366.913 | 0,243% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F | |
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,005% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,001% | F | |
| FONDITALIA | 201.000 | 0,133% | F | |
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,039% | F | |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,002% | F | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,008% | F | |
| FONSOLBANK FP | 201 | 0,000% | F | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,111% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,003% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 503 | 0,000% | F | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | F | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,005% | F | |
| FOREST FOUNDATION | 94 | 0,000% | F | |
| FORSTA AP - FONDEN | 45.427 | 0,030% | F | |
| FOVERUKA PENSION UNIVERSAL | 6.566 | 0,004% | F | |
| FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES | 130.000 | 0,086% | F | |
| FND FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND |
9.341 | 0,006% | F | |
| FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL | 710 | 0,000% | F | |
| FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 2.332 | 0,002% | F | |
| FRANK RUSSELL INVESTMENT CO II PLC | 6.218 | 0,004% | F | |
| FRANKLIN FTSE EUROPE EX U.K. INDEX ETF | 1.771 | 0,001% | F | |
| FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF | 165 | 0,000% | F | |
| FRANKLIN LIBERTYSHARES ICAV | 1.212 | 0,001% | F | |
| FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND | 99.148 | 0,066% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 3.672 | 0,002% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED | ||||
| ETF | 432 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 2.037 | 0,001% | F | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY | ||||
| ETF | 208 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY | 864 | 0,001% | F | |
| HEDG | ||||
| FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 74 | 0,000% | F | |
| FULCRUM UCITS SICAV | 1.638 | 0,001% | F | |
| FUNDACAO CALOUSTE GULBENKIAN | 1.279 | 0,001% | F | |
| FUNDO DE PENSOES. | 1.850 | 0,001% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR | 24.261 | 0,016% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF | 48.223 | 0,032% | F | |
| FUTURE F. FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE |
||||
| MEDI | 5.578 | 0,004% | F | |
| GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY | 8.632 | 0,006% | F | |
| GAM MULTISTOCK | 345.315 | 0,228% | F | |
| GAM STAR FUND PLC | 552.141 | 0,365% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 196.190 | 0,130% | F | |
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA | 10.222 | 0,007% | F | |
| GENERALI INVESTMENTS SICAV | 1.830 | 0,001% | F | |
| GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS | 34.000 | 0,022% | F | |
| GENERALI ITALIA SPA | 26.722 | 0,018% | F | |
| GENERALI SMART FUNDS | 15.413 | 0,010% | F | |
| GENERALI VIE | 134.803 | 0,089% | F | |
| GERANA SICAV-SIF, S.A. | 53.252 | 0,035% | F | |
| GIC PRIVATE LIMITED | 18.988 | 0,013% | F | |
| GID-FONDS ALAET | 40.240 | 0,027% | F | |
| GID-FONDS CEAOT | 68.126 | 0,045% | F | |
| GID-FONDS DLAET | 6.220 | 0,004% | F | |
| GIN S.R.L. | 11666950966 | 779.732 | 0,516% | F |
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,004% | F | |
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES | 5.009 | 0,003% | F | |
| LIMIT | ||||
| GLG PARTNERS LP | 8.509 | 0,006% | F | |
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | F | |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | 650 | 0,000% | F | |
| PORTFOLIO GLOBAL BOND FUND WAYCROSSE INC |
6.277 | 0,004% | F | |
| Global Equities Enhanced Index fund | 10.439 | 0,007% | F | |
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 3,319% | F | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,001% | F | |
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | F | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,094% | F | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,048% | F | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | F | |
| GMI INVESTMENT TRUST | 7.967 | 0,005% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA | ||||
| EUROPE E | 851 | 0,001% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA | 109.577 | 0,072% | F | |
| INTERNAT | ||||
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN | 5.568 | 0,004% | F | |
| SACHS AND CO | ||||
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
4.735 | 0,003% | F | |
| GOLDMAN SACHS FUNDS | 1.024.289 | 0,678% | F | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED | ||||
| BETA FUND | 1.919 | 0,001% | F | |
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | F | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,027% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,023% | F | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,880% | F | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,967% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,077% | F | |
| GR-AVENIR | 1.000 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,011% | F | |
| GRD 12 ACTIONS | 35.360 | 0,023% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,012% | F | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | F | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | F | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,002% | F | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,013% | F | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | F | |
| HALEVY A1 | 35.923 | 0,024% | F | |
| HALEVY A2 | 36.004 | 0,024% | F | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,024% | F | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | F | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | F | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,044% | F | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,003% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | F | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY | 11.101 | 0,007% | F | |
| PORTFOL HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
7.356 | 0,005% | F | |
| Helium Alpha | 3.829 | 0,003% | F | |
| Henderson Eurotrust plc | 137.894 | 0,091% | F | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,114% | F | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,013% | F | |
| HESTA | 506.496 | 0,335% | F | |
| HI-172915-Fonds | 1.508 | 0,001% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund | 58.991 | 0,039% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT | ||||
| EXCHANGE | 200.034 | 0,132% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENTEXCHANGE FUND |
4.426 | 0,003% | F | |
| HOSTPLUS POOLED SUPERANNUATION TRUST | 17.065 | 0,011% | F | |
| HRW TESTAMENTARY TRUST NO 2 | 855 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO 3. | 1.326 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO. 11. | 995 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 1.853 | 0,001% | F | |
| HRW TRUST NO 1 UAD 01/17/03. | 2.051 | 0,001% | F | |
| HRW TRUST NO 2 UAD 01/17/03. | 2.184 | 0,001% | F | |
| HRW TRUST NO 3 UAD 01/17/03. | 652 | 0,000% | F | |
| HRW TRUST NO 4 UAD 01/17/03 | 1.367 | 0,001% | F | |
| HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ | 130.788 | 0,087% | F | |
| FND HSBC ETFS PLC |
3.185 | 0,002% | F | |
| HSBC ETF'S PLC | 348 | 0,000% | F | |
| HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS | 507 | 0,000% | F | |
| ETF HSBC ETFS PUBLIC LIMITED COMPANY |
478 | 0,000% | F | |
| HSBC EUROPEAN INDEX FUND | 100.074 | 0,066% | F | |
| HSBC Global Funds ICAV | 37.129 | 0,025% | F | |
| HSBC INDEX TRACKER INVESTMENT FUNDS ICVC | 12.285 | 0,008% | F | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 3.479 | 0,002% | F | |
| HSBC Life (International) Limited | 12.817 | 0,008% | F | |
| HSBC Managed Balanced Fund | 637 | 0,000% | F | |
| HSBC Managed Growth Fund | 1.023 | 0,001% | F | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY | 3.231 | 0,002% | F | |
| INDEX TRACKING FUND HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund |
17.572 | 0,012% | F | |
| HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY | 10.759 | 0,007% | F | |
| FUND HYMNOS |
13.980 | 0,009% | F |

| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,173% | F |
|---|---|---|---|
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,004% | F |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | F |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,003% | F |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,005% | F |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | F |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,256% | F |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,012% | F |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,006% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | F | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | F | |
| INVESCO FUNDS | 1.680 | 0,001% | F | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,001% | F | |
| INVESCO MARKETS II PLC | 5.542 | 0,004% | F | |
| INVESCO MARKETS III PLC | 41 | 0,000% | F | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,001% | F | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | F | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,003% | F | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER | 1.741 | 0,001% | F | |
| AKK KL | ||||
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE | 1.947 | 0,001% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER - ETISK TILVALG |
3.898 | 0,003% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,003% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS | 1.225 | 0,001% | F | |
| KL INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL |
6.696 | 0,004% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 4.232 | 0,003% | F | |
| INVESTITORI EUROPA | 3.300 | 0,002% | F | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,010% | F | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,007% | F | |
| IP ACTIONS EURO | 3.877 | 0,003% | F | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE | 469 | 0,000% | F | |
| STRATEGY NO.1 IPROFILE INTERNATIONAL EQUITY PRIVATE POOL |
6.337 | 0,004% | F | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,003% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 3.453 | 0,002% | F | |
| IQ HEALTHY HEARTS ETF | 559 | 0,000% | F | |
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,012% | F | |
| IRISH LIFE ASSURANCE PLC | 94.732 | 0,063% | F | |
| IRISH LIFE ASSURANCE. | 22.012 | 0,015% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.100.037 | 0,728% | F | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 48.266 | 0,032% | F | |
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,059% | F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,049% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 214.092 | 0,142% | F | |
| ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS | ||||
| ETF DE | 17.245 | 0,011% | F | |
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF | 22.359 | 0,015% | F | |
| ISHARES EDGE MSCI INTL QUALITY FACTOR ETF | 143.992 | 0,095% | F | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,006% | F | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 1.618 | 0,001% | F | |
| ISHARES EURO STOXX UCITS ETF (DE) | 88.412 | 0,058% | F | |
| ISHARES EUROPE ETF | 40.489 | 0,027% | F | |
| ISHARES GLOBAL CONSUMER DISCRETIONARY ETF | 12.789 | 0,008% | F | |
| ISHARES II PUBLIC LIMITED COMPANY | 91.277 | 0,060% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,166% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,209% | F | |
| ISHARES MSCI ACWI ETF | 42.539 | 0,028% | F | |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,024% | F | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,004% | F | |
| ISHARES MSCI EAFE ETF | 676.406 | 0,447% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,168% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,071% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 4.787 | 0,003% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| ISHARES MSCI EUROZONE ETF | 243.059 | 0,161% | F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 267 | 0,000% | F | |
| ISHARES MSCI ITALY ETF | 219.619 | 0,145% | F | |
| ISHARES MSCI KOKUSAI ETF | 615 | 0,000% | F | |
| ISHARES MSCI WORLD ETF | 7.193 | 0,005% | F | |
| ISHARES PUBLIC LIMITED COMPANY | 182.059 | 0,120% | F | |
| ISHARES STOXX EUROPE 600 PERSONALHOUSEHOLD GOODS UCITS | 24.310 | 0,016% | F | |
| ETF DE | ||||
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 141.793 | 0,094% | F | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 52.632 | 0,035% | F | |
| ISHARES V PUBLIC LIMITED COMPANY | 39.924 | 0,026% | F | |
| ISHARES VI PUBLIC LIMITED COMPANY | 72.641 | 0,048% | F | |
| ISHARES VII PLC | 192.179 | 0,127% | F | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 18.950 | 0,013% | F | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 1.497 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 2.211 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND ESG EQUITY INDEX FUND (CH) | 4.360 | 0,003% | F | |
| Islamic Development Bank | 913 | 0,001% | F | |
| IVY PROSHARES MSCI ACWI INDEX FUND | 166 | 0,000% | F | |
| JAMES B. HAWKES | 997 | 0,001% | F | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | F | |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 287 | 0,000% | F | |
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,002% | F | |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | F | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND |
1.501 | 0,001% | F | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,016% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES LLC |
97 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 | 0,000% | F | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,020% | F | |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND | 333 | 0,000% | F | |
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 1.189 | 0,001% | F | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 476 | 0,000% | F | |
| JNL/MELLON MSCI WORLD INDEX FUND | 1.306 | 0,001% | F | |
| JNL/TROWE PRICE BALANCED FUND | 8.869 | 0,006% | F | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY | 12.252 | 0,008% | F | |
| ALLOCATION FUND JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND |
36.431 | 0,024% | F | |
| JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. | 2.383.446 | 1,577% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 474 | 0,000% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,007% | F | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,009% | F | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,001% | F | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. |
7.601 | 0,005% | F | |
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION | 33.254 | 0,022% | F | |
| TRUST JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN |
57.962 | 0,038% | F | |
| JPMORGAN ACCESS BALANCED FUND | 514 | 0,000% | F | |
| JPMORGAN ACCESS GROWTH FUND | 670 | 0,000% | F | |
| JPMORGAN BETABUILDERS EUROPE ETF | 221.051 | 0,146% | F | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 39.332 | 0,026% | F | |
| JPMORGAN GLOBAL ALLOCATION FUND | 1.489 | 0,001% | F | |
| JTW TRUST NO. 1 UAD 9/19/02. | 696 | 0,000% | F | |
| JTW TRUST NO. 2 UAD 9/19/02. | 1.167 | 0,001% | F | |
| JTW TRUST NO. 3 UAD 9/19/02. | 1.188 | 0,001% | F | |
| JTW TRUST NO. 4 UAD 9/19/02. | 1.385 | 0,001% | F | |
| JTW TRUST NO. 5 UAD 9/19/02. | 732 | 0,000% | F | |
| K INVESTMENTS SH LIMITED. | 19.004 | 0,013% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| KAISER FOUNDATION HOSPITALS | 6.067 | 0,004% | F | |
| KAISER PERMANENTE GROUP TRUST | 9.965 | 0,007% | F | |
| KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER |
1.623 | 0,001% | F | |
| KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 13.054 | 0,009% | F | |
| KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE | ||||
| INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 7.928 | 0,005% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 2 GLOBALE AKTIER 2 | 29.386 | 0,019% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 11.644 | 0,008% | F | |
| KAPITALFORENINGEN SPARINVEST VERDENS INDEKS ETISK | 2.728 | 0,002% | F | |
| KIEGER UCITS FUND | 14.982 | 0,010% | F | |
| KINSTED GLOBAL EQUITY POOL | 59.251 | 0,039% | F | |
| Kiwi Investment Management Screened Global Equity Index Fund | 517 | 0,000% | F | |
| KNOWLEDGE LEADERS DEVELOPED WO | 13.578 | 0,009% | F | |
| KOKUSAI EQUITY INDEX FUND | 6.832 | 0,005% | F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL | 145.559 | 0,096% | F | |
| EQUITY MASTER INVESTMENT TRUST 3 | ||||
| KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DM PRIVATE | 3.454 | 0,002% | F | |
| EQUITY MASTER INVESTMENT TRUST | ||||
| KUTXABANK GESTION SGIIC, S.A. LABORFONDS - FONDO PENSIONE COMPLEMENTARE LAVORATORI |
210.135 | 0,139% | F | |
| DIPENDENTIOPERANTI IN TRENT | 18.222 | 0,012% | F | |
| LACM GLOBAL EQUITY FUND LP | 6.195 | 0,004% | F | |
| LACM WORLD EQUITY - DIVIDEND GROWTH CIT | 5 | 0,000% | F | |
| LACM WORLD EQUITY - WEALTH BUILDER CIT | 13 | 0,000% | F | |
| LATVIJAS BANKA | 2.798 | 0,002% | F | |
| LAUDUS INTERNATIONAL MARKETMASTERS FUND | 4.685 | 0,003% | F | |
| Law Debenture Corporation PLC(The) | 38.874 | 0,026% | F | |
| LBPAM DIVERSIFIE FOCUS OBLIG 3 5 | 2.627 | 0,002% | F | |
| LBPAM IRC ACTIONS ISR | 23.836 | 0,016% | F | |
| LBPAM ISR ACTIONS 80 | 7.852 | 0,005% | F | |
| LBPAM ISR ACTIONS EUR FO EMER | 49.441 | 0,033% | F | |
| LBPAM ISR ACTIONS EURO LARGE CAP | 9.660 | 0,006% | F | |
| LBPAM ISR ACTIONS EUROPE MONDE | 6.465 | 0,004% | F | |
| LBPAM ISR ACTIONS MONDE | 21.030 | 0,014% | F | |
| LBPAM ISR AVENIR EURO | 782 | 0,001% | F | |
| LBPAM ISR STRATEGIE PEA 1 | 1.405 | 0,001% | F | |
| LBPAM ISR STRATEGIE PEA 2 | 2.024 | 0,001% | F | |
| LCL ACTIONS EURO CORE+ | 7.185 | 0,005% | F | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 4.476 | 0,003% | F | |
| LCL ACTIONS MONDE HORS EUROPE EURO | 16.975 | 0,011% | F | |
| LEFEVI S.R.L. | 11656180962 | 711.507 | 0,471% | F |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,006% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | F | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY FOC |
71.955 | 0,048% | F | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES | 19.163 | 0,013% | F | |
| FUND | ||||
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 82 | 0,000% | F | |
| LEGAL & GENERAL REAL CAPITAL BUILDER FUND | 29.340 | 0,019% | F | |
| LEGAL & GENERAL SICAV. LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) |
50.463 197.353 |
0,033% 0,131% |
F F |
|
| LIMITED | ||||
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,399% | F | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | F | |
| LEGAL AND GENERAL CCF | 6.139 | 0,004% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,024% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,077% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,001% | F | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,003% | F | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,012% | F | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,011% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,010% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,004% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE EUROPEA |
196.807 | 0,130% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE | ||||
| GLOBAL EQUITY INCOME FUND | 40.520 | 0,027% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE | ||||
| EUROPEAN UNCONSTRAINED FUND | 284.585 | 0,188% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE | 110.445 | 0,073% | F | |
| GLOBAL RAINED FUND | ||||
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS | 267.025 | 0,177% | F | |
| UMBRELLA LGIASUPER |
10.474 | 0,007% | F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,022% | F | |
| LGT SELECT FUNDS | 375 | 0,000% | F | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,005% | F | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | F | |
| LIONTRUST INVESTMENT FUNDS I | 70.000 | 0,046% | F | |
| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,010% | F | |
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | F | |
| LO Funds - All Roads | 9.683 | 0,006% | F | |
| LO Funds - All Roads Conservative | 655 | 0,000% | F | |
| LO Funds - All Roads Growth | 3.757 | 0,002% | F | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,040% | F | |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS | ||||
| MASTER TR | 42.392 | 0,028% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.855 | 0,060% | F | |
| LOF TargetNetZero Europe Equity | 1.005 | 0,001% | F | |
| LOF WORLD BRANDS | 173.000 | 0,114% | F | |
| LOIS (CH) GLOBAL EQUITIES TRACKER+ ESG | 303 | 0,000% | F | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 7.148 | 0,005% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 188 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 19.238 | 0,013% | F | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 39.933 | 0,026% | F | |
| LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 6.985 | 0,005% | F | |
| LTW INVESTMENTS LLC | 13.669 | 0,009% | F | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 4.986 | 0,003% | F | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 35.950 | 0,024% | F | |
| LVUI EQUITY EUROPE | 15.960 | 0,011% | F | |
| LVUI EQUITY WORLD EX EUROPE | 1.500 | 0,001% | F | |
| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,020% | F | |
| LYX IND FD-LYXOR CORE STOXX EU | 96.735 | 0,064% | F | |
| LYX INV FDS - GARI EUROPEAN EQ | 35.026 | 0,023% | F | |
| LYXINDX FUND - LYXOR MSCI EMU | 5.605 | 0,004% | F | |
| LYXOR CORE MSCI WORLD (DR) UCI | 6.748 | 0,004% | F | |
| LYXOR FTSE MIB UCITS ETF | 281.217 | 0,186% | F | |
| LYXOR MSCI EUROPE UCITS ETF | 17.943 | 0,012% | F | |
| M & G Securities Limited | 5.213 | 0,003% | F | |
| M INTERNATIONAL EQUITY FUND | 1.242 | 0,001% | F | |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK | 34.007 | 0,022% | F | |
| INDEX Fund | ||||
| MACKENZIE EUROPEAN SMALL-MIDCAPFUND | 36.813 | 0,024% | F | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT ETF | 165 | 0,000% | F | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT FUND | 225 | 0,000% | F | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 3.958 | 0,003% | F | |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.410 | 0,003% | F | |
| MACQUARIE MULTI-FACTOR FUND | 1.315 | 0,001% | F | |
| MAIN I - UNIVERSAL - FONDS | 32.574 | 0,022% | F | |
| MAIN VI-UNIVERSAL-FONDS | 461 | 0,000% | F | |
| MAN AHL DIVERSIFIED MARKETS EU BEUR- WORLD TRADE CENTER | 126 | 0,000% | F | |
| MAN DESERTWOOD FUND LIMITED C/O CITCO TRUSTEES (CAYMAN | 18.728 | 0,012% | F | |
| LIMITED) MAN FUNDS PLC MAN GLG PAN EUROPEAN EQUITY GROWTH |
260.406 | 0,172% | F | |
| MAN FUNDS PLC MAN GLG RI GLOBAL SUSTAINABLE GROWTH | 93.065 | 0,062% | F | |
| MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | 6.810 | 0,005% | F | |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| MAN FUNDS PLC MAN NUMERIC RI GLOBAL EQUITY | 3.140 | 0,002% | F | |
| MAN FUNDS VI PLC | 3.997 | 0,003% | F | |
| MAN FUNDS VIII ICAV-MAN AHL DIVERSIFIED. | 1.280 | 0,001% | F | |
| MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES | ||||
| (CAYMAN) LIMITED | 3.905 | 0,003% | F | |
| MAN FUNDS XII SPC-MAN 1783 III SP | 25 | 0,000% | F | |
| MAN GLG CONTINENTAL EUROPEAN GROWTH FUND | 1.269.306 | 0,840% | F | |
| MAN GLG EUROPEAN EQUITY ALTERNATIVE | 29.560 | 0,020% | F | |
| MAN INSIGHT LIMITED | 91 | 0,000% | F | |
| MAN INTERNATIONAL ICVC MAN DYNAMIC ALLOCATION FUND | 961 | 0,001% | F | |
| MAN MULTI-STRATEGY MASTER FUND MAPLES CORPORATE SERVICES LIMITES |
8.728 | 0,006% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA QUALITY | 102 | 0,000% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 4.390 | 0,003% | F | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC DIVERSIFIED RISK P REMIA PROGRESSIVE |
1.444 | 0,001% | F | |
| MAN NUMERIC EXPLORER MAPLES CORPORATE SERVICES LIMITED | 50 | 0,000% | F | |
| MAN NUMERIC INTERNATIONAL ALPHA (US) LP | 3.050 | 0,002% | F | |
| MAN NUMERIC LONG TERM ALPHA LP MAPLES CORPORATE | ||||
| SERVICES LIMITED | 2.570 | 0,002% | F | |
| MANAGED INVESTMENT FUNDS ICVCINTERNATIONAL EQUITY TRACKER FUND |
738 | 0,000% | F | |
| MANAGED PENSION FUNDS LIMITED | 107.922 | 0,071% | F | |
| MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 4.415 | 0,003% | F | |
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,007% | F | |
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,127% | F | |
| MANULIFE INVESTMENT MANAGEMENT I PLC | 27.279 | 0,018% | F | |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND |
7.719 | 0,005% | F | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 11.035 | 0,007% | F | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,001% | F | |
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,001% | F | |
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR | 39.739 | 0,026% | F | |
| PARTICIPANT DIRECTED ACCOUNTS | ||||
| MARS S.R.L. MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O |
11666960965 | 779.732 | 0,516% | F |
| MARSHALL WACE IRELAND LTD | 1.802.175 | 1,192% | F | |
| MARTIN CURRIE GLOBAL LONG-TERM UNCONSTRAINED FUND | 8.750 | 0,006% | F | |
| MARTIN CURRIE GLOBAL PORTFOLIO TRUST PLC | 303.129 | 0,201% | F | |
| MARTIN CURRIE INTERNATIONAL UNCONSTRAINED EQUITY FUND | 29.721 | 0,020% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 17.987 | 0,012% | F | |
| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | F | |
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,027% | F | |
| MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN AIRLINES, INC, US AIRW |
12.444 | 0,008% | F | |
| MASTERS I LLC | 879 | 0,001% | F | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | F | |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,002% | F | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,021% | F | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 10.519 | 0,007% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 380.000 | 0,251% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,079% | F | |
| MELCHIOR EURO OPP | 176.178 | 0,117% | F | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,007% | F | |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,003% | F | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | F | |
| MERCER QIF CCF | 57.661 | 0,038% | F | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,003% | F | |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | F | |
| MERCY INVESTMENT SERVICES INC | 951 | 0,001% | F | |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,006% | F | |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,020% | F | |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,029% | F | |
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,018% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,002% | F | |
| MGI FUNDS PLC | 11.427 | 0,008% | F | |
| MI - FONDS K12 | 11.854 | 0,008% | F | |
| MI - FONDS K14 | 36.000 | 0,024% | F | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H REEVES TTEE PO BOX |
281 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | F | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,036% | F | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,001% | F | |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 760 | 0,001% | F | |
| MIGROS BANK (LUX) FONDS 50 | 730 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 510 | 0,000% | F | |
| MINE SUPERANNUATION FUND | 7.726 | 0,005% | F | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,080% | F | |
| MLC INVESTMENTS, MLC LIMITED | 18.086 | 0,012% | F | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | F | |
| MML STRATEGIC EMERGING MARKETS FUND | 595 | 0,000% | F | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,002% | F | |
| MONCEAU ACTIONS EEE | 16.990 | 0,011% | F | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,020% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,253% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 54.012 | 0,036% | F | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,232% | F | |
| MORAINE MASTER FUND LP CO FALCON EDGE CAPITAL, LP | 421.022 | 0,279% | F | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | F | |
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,874% | F | |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO | 4.361.926 | 2,885% | F | |
| MORG ST INTERNATIONAL EQUITY PORTFOLIO | 667.639 | 0,442% | F | |
| MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO | 1.942.734 | 1,285% | F | |
| MORGAN STANLEY EUROPE OPPORTUNITY FUND INC | 264.491 | 0,175% | F | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | ||||
| PORTFOLIO | 975 | 0,001% | F | |
| MORGAN STANLEY INVESTMENT FUNDS | 32.761 | 0,022% | F | |
| MORGAN STANLEY PATHWAY FUNDS | 4.198 | 0,003% | F | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL | 189 | 0,000% | F | |
| STRATEGI ST PORTFOLIO | ||||
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 1.804 | 0,001% | F | |
| MOTHER CABRINI HEALTH FOUNDATION, INC. | 2.713 | 0,002% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,006% | F | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | F | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,061% | F | |
| MTAA SUPERANNUATION FUND | 35.090 | 0,023% | F | |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND | 23.490 | 0,016% | F | |
| MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND | 14.900 | 0,010% | F | |
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 45.755 | 0,030% | F | |
| MUGUET VENTURES LLC | 250 | 0,000% | F | |
| MUL- LYX FTSE IT ALL CAP PIR | 4.088 | 0,003% | F | |
| MUL-LYX NET ZERO 2050 SP | 7.035 | 0,005% | F | |
| MUL-LYX NET ZERO 50 | 223.303 | 0,148% | F | |
| MUL-LYXOR MSCI EMU ESG LEADERS | 2.751 | 0,002% | F | |
| MUL-LYXOR MSCI WORLD CLIMATE | 866 | 0,001% | F | |
| MUL-LYXOR MSCI WORLD ESG LEADE | 4.911 | 0,003% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,035% | F | |
| MULTI UNITS LUX-LYXOR CORE MSC | 13.880 | 0,009% | F | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | F | |
| MUNICIPAL EMPLOYEES PENSION PLAN | 72.164 | 0,048% | F | |
| MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM | 7.531 | 0,005% | F | |
| MUSASHI SMART PREMIA FUND | 6.244 | 0,004% | F |


| NORDEA GENERATIONSFOND 70-TAL | 44.137 | 0,029% | F |
|---|---|---|---|
| NORDEA GENERATIONSFOND 80-TAL | 23.147 | 0,015% | F |
| NORDEA GENERATIONSFOND 90-TAL | 3.153 | 0,002% | F |
| NORDEA GLOBAL PASSIVE FUND | 9.663 | 0,006% | F |
| NORGES BANK | 49.639 | 0,033% | F |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 60.221 | 0,040% | F |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 438.128 | 0,290% | F |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 119.059 | 0,079% | F |
| NORTHERN TRUST UCITS FGR FUND | 30.088 | 0,020% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| NOTTINGHAMSHIRE COUNTY COUNCIL PENSION FUND | 61.481 | 0,041% | F | |
| NPF TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL | 189 | 0,000% | F | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 657 | 0,000% | F | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 594 | 0,000% | F | |
| NSP MONTICELLO MINNESOTA RETAIL | 1.267 | 0,001% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND | 168 | 0,000% | F | |
| NTGI - QM COMMON DAILY ALL COUNTRY WORLD EX-US EQUITY INDEX |
9.906 | 0,007% | F | |
| NTGI-QM COMMON DAILY ALL COUNTRY WORLD EX-US INVESTABLE MARKET INDEX FUND - NON LENDING |
7.437 | 0,005% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - LENDING | 10.139 | 0,007% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - NON LENDING | 30.497 | 0,020% | F | |
| NUVEEN MULTI-ASSET INCOME FUND | 22.808 | 0,015% | F | |
| NVIT INTERNATIONAL INDEX FUND | 23.688 | 0,016% | F | |
| ODDO APOLLINE DIVERSIFIE POCHE EQU EUR | 22.441 | 0,015% | F | |
| ODDO BHF ALGO TREND EUROZONE | 1.312 | 0,001% | F | |
| ODDO BHF GENERATION | 119.271 | 0,079% | F | |
| OFFSHORE INTERNATIONAL EQUITY FUND | 55.477 | 0,037% | F | |
| OFI RS ALPHA SECTOR | 601 | 0,000% | F | |
| OFP DUPONT EUROPEAN PENSION FUND | 13.027 | 0,009% | F | |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,003% | F | |
| OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED RETURNS FUND |
101 | 0,000% | F | |
| ONCOR RETIREMENT PLAN TRUST | 5.254 | 0,003% | F | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 19.601 | 0,013% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | F | |
| OPTIMUM GESTION DE PLACEMENTS INC | 5.630 | 0,004% | F | |
| ORANO DIVERSIFIE EQUILIBRE | 4.412 | 0,003% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 22.106 | 0,015% | F | |
| OSMOSIS UCITS CCF | 3.495 | 0,002% | F | |
| OVERSEAS GROWTH INVESTMENT FUNDS ICVC EUROPEAN GROWTH | 11.312 | 0,007% | F | |
| FUND | ||||
| PACE INTERNATIONAL EQUITY INVESTMENTS | 25.460 | 0,017% | F | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | F | |
| PACIFIC SELECT FUND EMERGING MARKETS PORTFOLIO | 8.791 | 0,006% | F | |
| PALATINE ENTREPRISES FAMILIALES ISR | 27.100 | 0,018% | F | |
| PALATINE FRANCE MIDCAP FCP | 19.000 | 0,013% | F | |
| PANAGORA ASSET MANAGEMENT INC. - DYNAMIC INTERNATIONAL EQUI |
64 | 0,000% | F | |
| PANAGORA GROUP TRUST | 1.758 | 0,001% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,005% | F | |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,005% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F | |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER FUND |
428 | 0,000% | F | |
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,041% | F | |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,088% | F | |
| PEOPLE'S BANK OF CHINA | 190.071 | 0,126% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PERVALOR - ACTIONS PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY |
1.150 | 0,001% | F | |
| ETF | 787 | 0,001% | F | |
| PF EMERGING MARKETS FUND | 962 | 0,001% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F |
|---|---|---|---|
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,005% | F |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,001% | F |
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | F |
| PHILADELPHIA GAS WORKS PENSION PLAN | 370 | 0,000% | F |
| PICTON MAHONEY LONG SHORT EQUITY FUND C/O PICTON | 0,002% | F | |
| MAHONEY ASSET MANAGEMENT ACTING AS MANAGER | 2.500 | ||
| PICTON MAHONEY MARKET NEUTRAL EQUITY FUND C/O PICTON | 0,002% | F | |
| MAHONEY ASSET MANAGEMENT ACTING AS FUND MANAGER | 3.000 |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| PINEBRIDGE FUND SERIES - PINEBRIDGEEUROPE EQUITY FUND | 15.958 | 0,011% | F | |
| PINEBRIDGE GLOBAL FUNDS PIONEER FLEXIBLE OPPORTUNITIES FUND |
7.685 22.516 |
0,005% 0,015% |
F F |
|
| PIT S.R.L. | 11666970964 | 779.732 | 0,516% | F |
| PMPT INKA FONDS | 11.831 | 0,008% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | F | |
| POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT L.P. | 39.650 | 0,026% | F | |
| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | F | |
| POOL REINSURANCE CO LTD | 544 | 0,000% | F | |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,005% | F | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,006% | F | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,004% | F | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,065% | F | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | F | |
| PRESCIENT ICAV. | 11.412 | 0,008% | F | |
| PRIME SUPER | 3.439 | 0,002% | F | |
| PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL | 395 | 0,000% | F | |
| ADAPTIVE MULTI-FACTOR ET | ||||
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,009% | F | |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,047% | F | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,002% | F | |
| PRIVILEDGE | 30.000 | 0,020% | F | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | F | |
| PRUDENTIAL BANK AND TRUST FSB | 19.691 | 0,013% | F | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | 1.957 | 0,001% | F | |
| INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON |
||||
| NEXTGENERATION GLOBAL OPPORTUNITIES FUND | 3.943 | 0,003% | F | |
| Prudential Pensions Limited | 3.218 | 0,002% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,005% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,006% | F | |
| PUBLIC EMPLOYEES' LONG TERM CARE FUND | 421.861 | 0,279% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,194% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 102.695 | 0,068% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM 0F OHIO | 112.761 | 0,075% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,020% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,068% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 25.744 | 0,017% | F | |
| PUBLIC SCHOOL TEACHERS PENSION & RETIREMENT FUND OF | 217.925 | 0,144% | F | |
| CHICAGO PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF |
||||
| CHICAGO | 31.178 | 0,021% | F | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 101.900 | 0,067% | F | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK | ||||
| Fund | 146.256 | 0,097% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,007% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,002% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,011% | F | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | F | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,004% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,008% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES PORTFOLIO |
1.572 | 0,001% | F | |
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION FUND |
741 | 0,000% | F | |
| QS INVESTORS INTERNATIONAL EQUITY DBI CIT | 264 | 0,000% | F | |
| QTRON GLOBAL EQUITY | 6.228 | 0,004% | F | |
| QUADRATOR SRI | 111.000 | 0,073% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,018% | F | |
| QUADRIGE PATRIMOINE | 6.000 | 0,004% | F | |
| QUALITY EDUCATION FUND | 385 | 0,000% | F | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,003% | F | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | F | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,004% | F | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,002% | F | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,074% | F | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,005% | F | |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,017% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT | ||||
| TRUST | 3.584 | 0,002% | F | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,125% | F | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,286% | F | |
| RDM LIQUID LLC | 9.080 | 0,006% | F | |
| ReAssure Limited | 9.407 | 0,006% | F | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | F | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,001% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,004% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,003% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 5,081% | F |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | F | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | F | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,001% | F | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | F | |
| ROPS EURO P | 18.805 | 0,012% | F | |
| ROPS-SMART INDEX EURO | 33.319 | 0,022% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,020% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,014% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,039% | F | |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B | 2.713 | 0,002% | F | |
| (REMGEOB) RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED |
||||
| MARKETS FUND RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY |
48.011 | 0,032% | F | |
| FUND | 20.563 | 0,014% | F | |
| RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND |
7.848 | 0,005% | F | |
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,005% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,012% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,013% | F | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL | ||||
| EQUITY FUND | 69.531 | 0,046% | F | |
| RUSSELL INVESTMENT COMPANY V PLC | 32.028 | 0,021% | F | |
| RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED MARKETS FUND |
9.504 | 0,006% | F | |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E | 175.855 | 0,116% | F | |
| PLUS FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI |
16.431 | 0,011% | F | |
| ASSET I-ASSET GROW RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL |
||||
| EQUIT | 8.270 | 0,005% | F | |
| RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND | 25.601 | 0,017% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 3.137 | 0,002% | F | |
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.661 | 0,004% | F | |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 1.906 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 843 | 0,001% | F | |
| RUSSELL INVESTMENTS SUSTAINABLEGLOBAL SHARES EX FOSSIL FUEL S FUND LVL 3 |
294 | 0,000% | F | |
| RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES FUND | 65.147 | 0,043% | F | |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 4.602 | 0,003% | F | |
| RUSSELL OVERSEAS EQUITY POOL . | 5.355 | 0,004% | F | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | F | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,001% | F |

| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | |||
|---|---|---|---|
| INTERNATIONAL PENSION FUND | 5.913 | 0,004% | F |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | |||
| CONTRIBUTORY PENSION FUND | 25.959 | 0,017% | F |
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | F |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,030% | F |
| SINGLE SELECT PLATFORM | 27.441 | 0,018% | F |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 255.356 | 0,169% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL | ||||
| UNCONSTRAINED FUND | 179.400 | 0,119% | F | |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,002% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 1,333% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 1,348% | F | |
| SMITHSON LP | 92.000 | 0,061% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,045% | F | |
| SOGECAP ACTIONS | 110.578 | 0,073% | F | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,008% | F | |
| SOLIDARITES | 1.917 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,086% | F | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF SPDR MSCI EAFE STRATEGICFACTORSETF |
3.508 13.110 |
0,002% 0,009% |
F F |
|
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,060% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,003% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | F | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,015% | F | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,005% | F | |
| SPP EUROPA PLUS | 463 | 0,000% | F | |
| SPP GENERATION 50-TAL | 142 | 0,000% | F | |
| SPP GENERATION 60-TAL | 2.855 | 0,002% | F | |
| SPP GENERATION 70-TAL | 2.569 | 0,002% | F | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | F | |
| SPRING 625 | 2.946 | 0,002% | F | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON | 5.388 | 0,004% | F | |
| TRUST FUND | ||||
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST | 7.976 | 0,005% | F | |
| FUND | ||||
| SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST |
170.925 1.128 |
0,113% 0,001% |
F F |
|
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,015% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,022% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,529% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,020% | F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 28.109 | 0,019% | F | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | F | |
| STAR PASTEUR | 7.107 | 0,005% | F | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,041% | F | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,019% | F | |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,233% | F | |
| STATE OF MINNESOTA | 78.948 | 0,052% | F | |
| STATE OF MINNESOTA | 241.152 | 0,160% | F | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 116.563 | 0,077% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 93.124 | 0,062% | F | |
| STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST | 1.563 | 0,001% | F | |
| FUNDS | ||||
| STATE OF WISCONSIN INVESTMENT BOARD | 16.802 | 0,011% | F | |
| STATE OF WYOMING STATE STREET CCF |
9.297 990 |
0,006% 0,001% |
F F |
|
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.302 | 0,003% | F | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 57.073 | 0,038% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 32.334 | 0,021% | F | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 54.037 | 0,036% | F | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 4.522 | 0,003% | F | |
| STATE STREET IRELAND UNIT TRUST | 15.688 | 0,010% | F | |
| STATE STREET TOTAL RETURN VIS FUND | 3.190 | 0,002% | F | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 28.058 | 0,019% | F | |
| STELLAR INSURANCE, LTD. | 1.391 | 0,001% | F | |
| STEUART L. WALTON FAMILY TRUST UAD 3/19/13 | 2.739 | 0,002% | F | |
| STEWARDSHIP PARA GLB | 158 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| STICHTING AHOLD DELHAIZE PENSIOEN | 14.061 | 0,009% | F | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 47.701 | 0,032% | F | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 1.412 | 0,001% | F | |
| BEROEPSVERVOER OVER DE WEG | ||||
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 10.570 | 0,007% | F | |
| LEVENSMIDDELENBEDRIJF STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK |
||||
| EN GL. | 5.817 | 0,004% | F | |
| STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS | 10.919 | 0,007% | F | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 18.637 | 0,012% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,152% | F | |
| STICHTING HEINEKEN PENSIOENFONDS | 8.660 | 0,006% | F | |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD | 26.243 | 0,017% | F | |
| AANDELEN FONDS | ||||
| STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE | 359 | 0,000% | F | |
| KANK | ||||
| STICHTING PENSIOENFONDS APF. STICHTING PENSIOENFONDS HORECA AND CATERING |
24.213 15.746 |
0,016% 0,010% |
F F |
|
| STICHTING PENSIOENFONDS ING | 10.633 | 0,007% | F | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 88.980 | 0,059% | F | |
| STICHTING PENSIOENFONDS NOTARIAAT | 915 | 0,001% | F | |
| STICHTING PENSIOENFONDS PGB | 124.625 | 0,082% | F | |
| STICHTING PENSIOENFONDS PROVISUM | 1.850 | 0,001% | F | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 5.640 | 0,004% | F | |
| STICHTING PGGM DEPOSITARY | 123.225 | 0,082% | F | |
| STICHTING PHILIPS PENSIOENFONDS | 3.901 | 0,003% | F | |
| STICHTING RABOBANK PENSIOENFONDS | 31.214 | 0,021% | F | |
| STICHTING SHELL PENSIOENFONDS | 45.698 | 0,030% | F | |
| STICHTING SPOORWEGPENSIOENFONDS | 9.340 | 0,006% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 2.596 | 0,002% | F | |
| STRATEGIE CONSOMMA LUXE ET LOW COST | 8.699 | 0,006% | F | |
| STRATEGY SICAV | 1.750 | 0,001% | F | |
| STYRAX EQUITIES LTD. | 150.000 | 0,099% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.810 | 0,001% | F | |
| SUE ANN ARNALL | 3.312 | 0,002% | F | |
| SUEBIA-FONDS | 16.399 | 0,011% | F | |
| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,028% | F | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,006% | F | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT |
229 | 0,000% | F | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED | ||||
| PORTFOLIO | 489 | 0,000% | F | |
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL | ||||
| EQUITIES | 140.429 | 0,093% | F | |
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | 1.613 | 0,001% | F | |
| ALLOCATION PORT | ||||
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED PORTFOLIO |
25.178 | 0,017% | F | |
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION | ||||
| GROWTHPORTF | 9.070 | 0,006% | F | |
| SUNSUPER SUPERANNUATION FUND | 31.443 | 0,021% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | ||||
| AUSTRAL | 1.135 | 0,001% | F | |
| Swiss National Bank | 747.726 | 0,495% | F | |
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,012% | F | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,004% | F | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,057% | F | |
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | F | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,003% | F | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,645% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,006% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,005% | F | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | F | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 1,259% | F | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,053% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,013% | F | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,020% | F | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,038% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 1,356% | F |
| TANGERINE BALANCED GROWTH PORTFOLIO | 3.712 | 0,002% | F | |
| TANGERINE BALANCED INCOME PORTFOLIO | 509 | 0,000% | F | |
| TANGERINE BALANCED PORTFOLIO | 3.238 | 0,002% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 4.363 | 0,003% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 4.853 | 0,003% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - | 18.297 | 0,012% | F | |
| HEDGED) FUND TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF |
45.923 | 0,030% | F | |
| TD BALANCED GROWTH FUND . | 60.160 | 0,040% | F | |
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,019% | F | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,031% | F | |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | F | |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,132% | F | |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,057% | F | |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,006% | F | |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | F | |
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,003% | F | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,020% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,135% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 31.304 | 0,021% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 105.926 | 0,070% | F | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 2.050 | 0,001% | F | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 144.020 | 0,095% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 19.162 | 0,013% | F | |
| TELSTRA SUPERANNUATION SCHEME | 5.558 | 0,004% | F | |
| TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 527.412 | 0,349% | F | |
| TEXAS EDUCATION AGCY | 57.379 | 0,038% | F | |
| TEXAS EDUCATION AGENCY | 8.056 | 0,005% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 512 | 0,000% | F | |
| THE ALGER FUNDS - ALGER MID CAP GROWTH FUND | 43.253 | 0,029% | F | |
| THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND | 94.386 | 0,062% | F | |
| THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH | 14.745 | 0,010% | F | |
| INSTITUTIONAL FUND | ||||
| THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO | 27.679 | 0,018% | F | |
| THE AMERICAN UNIVERSITY IN CAIRO THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST |
813 145 |
0,001% 0,000% |
F F |
|
| THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 18.802 | 0,012% | F | |
| THE BANK OF KOREA | 35.154 | 0,023% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV |
32.799 | 0,022% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE | 135.195 | 0,089% | F | |
| INVESTMENT FUND PLAN | ||||
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 771 | 0,001% | F | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITED | 201.414 | 0,133% | F | |
| THE BANKERS INVESTMENT TRUST PLC | 161.788 | 0,107% | F | |
| THE BARCLAYS BANK UK RETIREMENT FUND | 1.080 | 0,001% | F | |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 5.456 | 0,004% | F | |
| THE CHARLOTTE-MECKLENBURG HOSPITAL AUTHORITY | 10.928 | 0,007% | F | |
| THE CIVIL SERVICE SUPERANNUATION FUND | 47.703 | 0,032% | F | |
| THE COMMONWEALTH FUND | 94 | 0,000% | F | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 1.258 | 0,001% | F | |
| THE DIRECTORS OF THE CHINESE YOUNG MEN'S CHRISTIAN ASSOCIATI |
513 | 0,000% | F | |
| THE ENDEAVOUR II FUND. | 528 | 0,000% | F | |
| THE GLENCORE CANADIAN PENSION FUNDS TRUST-FOREIGN EQUITY | 52.245 | 0,035% | F | |
| FUND THE GROWTH FUND OF AMERICA |
5.358.544 | 3,545% | F | |
| THE HARTFORD INTERNATIONAL GROWTH FUND | 171.859 | 0,114% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 109 | 0,000% | F | |
| THE INCUBATION FUND LTD | 254 | 0,000% | F | |
| THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED MONTHLY | 2.039 | 0,001% | F | |
| RATED EMPLOYEES PROVIDENT FUND SCHEME | ||||
| THE LABOUR UNION CO-OPERATIVE RETIREMENT FUND | 794 | 0,001% | F | |
| THE LILLY RETIREMENT PLAN MASTER TRUST ELI LILLY AND COMPANY | 83.062 | 0,055% | F | |
| The Magna Foundation | 1.787 | 0,001% | F | |
| The Marks And Spencer Worldwide Managed Fund | 9.864 | 0,007% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY | ||||
| INDEX MOTHER FUND | 5.621 | 0,004% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE | ||||
| INTERNATIONAL EQUITY INDEX MOTHER FUND | 466 | 0,000% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY | 16.410 | 0,011% | F | |
| INDEX MOTHER FUND | ||||
| THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL | 10.232 | 0,007% | F | |
| EQUITY ACTIVE FUND FOR QUALIFIED INSTITUTION | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
10.408 | 0,007% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| GOVERNMENT PENSION INVESTMENT FUND 400045887 | 15.443 | 0,010% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MTBJ400045828 | 113.633 | 0,075% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 219.258 | 0,145% | F | |
| MTBJ400045829 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 34.619 | 0,023% | F | |
| MTBJ400045832 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 233.264 | 0,154% | F | |
| MUTB400045792 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MUTB400045794 | 273.582 | 0,181% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MUTB400045795 | 193.020 | 0,128% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL | 4.530 | 0,003% | F | |
| PENSION FUND ASSOCIATION 400037061 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 1.672 | 0,001% | F | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 8.182 | 0,005% | F | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 |
5.694 | 0,004% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,012% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | ||||
| PASSIVE MOTHER FUND (ONLY FOR PENSION | 4.025 | 0,003% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | ||||
| HEDGED) (PRIVATELY PLACED INVESTMENT T | 23.472 | 0,016% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG | 3.034 | 0,002% | F | |
| X (JPY HEDGED) (PRIVATELY PLACED INVEST | ||||
| THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK | 5.242 | 0,003% | F | |
| ESG INSIGHTS EUROPE | ||||
| THE NATURE CONSERVANCY | 1 | 0,000% | F | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,006% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,005% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | F | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 61.856 | 0,041% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,019% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 119.604 | 0,079% | F | |
| THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL | ||||
| UNIVERSITY | 5.369 | 0,004% | F | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,158% | F | |
| THE STATE OF NEVADA | 1.656 | 0,001% | F | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | 453 | 0,000% | F | |
| (BERMUDA) LIMITED | ||||
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 5.401 | 0,004% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,003% | F |


| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,058% | F |
|---|---|---|---|
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE | 1.901 | 0,001% | F |
| UBS (LUX) KEY SELECTION SICAV | 5.631 | 0,004% | F |
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
1.641 | 0,001% | F |
| UBS (LUX) SICAV 1 | 133 | 0,000% | F |
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 824 | 0,001% | F |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
540 | 0,000% | F |

| ENHANCE | 228 | 0,000% | F |
|---|---|---|---|
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,052% | F |
| UPS GROUP TRUST | 58.308 | 0,039% | F |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,018% | F |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,006% | F |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,013% | F |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,267% | F |
| VALORACTIONS | 2.500 | 0,002% | F |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF 21.490 0,014% F VANGUARD DEVELOPED MARKETS INDEX FUND 1.551.670 1,026% F VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK 2.626 0,002% F VANGUARD ESG INTERNATIONAL STOCK ETF 36.719 0,024% F VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX 10.454 0,007% F FUND VANGUARD EUROPEAN STOCK INDEX FUND 467.062 0,309% F VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS 6.838 0,005% F INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL 135.516 0,090% F INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL 1.115.258 0,738% F INTERNATIONAL STOCK MARKET INDEX TRUST II VANGUARD FTSE ALL WORLD EX US INDEX FUND 420.620 0,278% F VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF 25.269 0,017% F VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF 2.598 0,002% F VANGUARD FUNDS PUBLIC LIMITED COMPANY 165.716 0,110% F VANGUARD INTERNATIONAL EXPLORER FUND 79.023 0,052% F VANGUARD INTERNATIONAL SHARES INDEX FUND 77.383 0,051% F VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX 4.268 0,003% F FUND VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY 236.750 0,157% F VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE 5.037 0,003% F DEVELOPED WRLD CMMN CONT FD VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE 4.075 0,003% F DVLPD WRLD EX UK CMN CNT FD VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD 23.069 0,015% F FTSE DEV EUR EX UK CCF VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED 56.850 0,038% F WOR LD EX - U.K. EQUITY VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED 5.861 0,004% F WORLD II CCF VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED 8.321 0,006% F EUROPE II CCF VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED 5.218 0,003% F WORLD II CCF VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND 2.772.037 1,834% F VANGUARD TOTAL WORLD STOCK INDEX FUND 100.560 0,067% F VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST 7.768 0,005% F VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX 2.992 0,002% F PORTFOLIO VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS 8.361 0,006% F VENEZIO INVESTMENTS PTE. LTD. 1.409.998 0,933% F VERDIPAPIRFONDET DNB EUROPA 3.947 0,003% F VERDIPAPIRFONDET DNB GLOBAL INDEKS 20.768 0,014% F VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 13.855 0,009% F VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 39.762 0,026% F VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS 3.596 0,002% F VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER 838 0,001% F VF (Lux) - Valiant Europe Equities 2.369 0,002% F VGV POOLFONDS PA1 4.722 0,003% F VIA AM SICAV VIA ABSOLUTE RETURN 9.167 0,006% F VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. 1.027 0,001% F VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. 2.873 0,002% F VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX 108.892 0,072% F FUND VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND 6.424 0,004% F VILLIERS ALTO 11.251 0,007% F VILLIERS DIAPASON 1.980 0,001% F VIRGINIA RETIREMENT SYSTEM 881 0,001% F VIRGINIA TECH FOUNDATION INC 972 0,001% F VIVACCIO ISR ACTIONS 40.040 0,026% F |
|||||
|---|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto | |
| VONTOBEL FUND - VESCORE GLOBAL EQUITY MULTI FACTOR | 456 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | ||||
| C/O VONTOBEL FONDS SERVICES AG | 252 | 0,000% | F | |
| VONTOBEL NON US EQUITY OFFSHORE MASTER LP | 143.508 | 0,095% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,019% | F | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND | 7.884 | 0,005% | F | |
| VWINKA SONDERVERMGEN | 8.000 | 0,005% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 145.588 | 0,096% | F | |
| WCM FOCUSED INTERNATIONAL OPPO | 8.390 | 0,006% | F | |
| WCM INTERNATIONAL LONG-TERM | 755 | 0,000% | F | |
| WCM INVESTMENT MANAGEMENT | 908 | 0,001% | F | |
| WELLINGTON COMPOUND GROWTH, L.P. | 16.777 | 0,011% | F | |
| WELLINGTON GLOBAL QUALITY GROWTH FUND (AUSTRALIA) | 125.318 | 0,083% | F | |
| WELLINGTON MASTER EMERGING ALTERNATIVES FUND CAYMAN L P | ||||
| C O WELLINGTON ALTERNATIVE INVESTMENTS LLC | 269 | 0,000% | F | |
| WELLS FARGO INTERNATIONAL GROWTH PORTFOLIO | 4.700 | 0,003% | F | |
| WHEELS COMMON INVESTMENT FUND. | 1.612 | 0,001% | F | |
| WHOLESALE INTERNATIONAL CORE EQUITIES | 316 | 0,000% | F | |
| WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED | 496 | 0,000% | F | |
| WHOLESALE UNIT TRUST MSCI GLOBAL INDEX SHARE FUND | 732 | 0,000% | F | |
| WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST | 40.400 | 0,027% | F | |
| WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND | 48.062 | 0,032% | F | |
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,053% | F | |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | F | |
| WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST - WILSHIRE MULT | 1.084 | 0,001% | F | |
| WILSHIRE MUTUAL FUNDS, INC. - WILSHIRE INTERNATIONAL EQUITY | ||||
| FUND WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT |
2.615 | 0,002% | F | |
| ORG. | 7.925 | 0,005% | F | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,065% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
36.694 | 0,024% | F | |
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,008% | F | |
| WISDOMTREE ISSUER ICAV | 15.102 | 0,010% | F | |
| WISDOMTREE WORLD EX-US GROWTH FUND | 20.724 | 0,014% | F | |
| WORLD EQUITIES | 479 | 0,000% | F | |
| WTCN MULTIPLE COLLECTIVE INVESTMENT FUNDS TRUST II | 96.539 | 0,064% | F | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,004% | F | |
| XTRACKERS | 208.841 | 0,138% | F | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 98.205 | 0,065% | F | |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 966 | 0,001% | F | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 1.244 | 0,001% | F | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 54.610 | 0,036% | F | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 9.949 | 0,007% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 473 | 0,000% | F | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 1.376 | 0,001% | F | |
| YORKTOWN GROWTH FUND | 7.700 | 0,005% | F | |
| ZURICH ASSURANCE LTD | 263.686 | 0,174% | F | |
| ZURICH FINANCIAL SERVICES UK PENSION SCHEME. | 39.461 | 0,026% | F | |
| ZURICH INVEST ICAV | 32.795 | 0,022% | F | |
| ZURICH LIFE ASSURANCE PLC | 69.257 | 0,046% | F | |
| ZURICH VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 470 | 0,000% | F | |
| ZVK KVS FONDS | 6.000 | 0,004% | F | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,007% | C | |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,009% | C | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,042% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,066% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,012% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,004% | C | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,008% | C | |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 | 100.000 | 0,066% | C | |
| CAPPED |
| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | C | |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,006% | C | |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,011% | C | |
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,020% | C | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,016% | C | |
| CARDIF BNPP IP SMID CAP EURO | 106.666 | 0,071% | C | |
| CARDIF BNPP IP SMID CAP EUROPE | 40.970 | 0,027% | C | |
| CNP ASSUR SMID CAP EUROPE | 10.779 | 0,007% | C | |
| FCP CARPIMKO EUROPE | 11.386 | 0,008% | C | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 6.195 | 0,004% | C | |
| G.A.-FUND-B - WORLD EQUITIES | 2.169 | 0,001% | C | |
| HC RENTE | 1.558 | 0,001% | C | |
| HUSSMAN STRATEGIC INTERNATIONAL FUND | 1.000 | 0,001% | C | |
| MERSEYSIDE PENSION FUND | 36.979 | 0,024% | C | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,018% | C | |
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,006% | C | |
| REGARD ACT CROISSAN | 5.000 | 0,003% | C | |
| SIEMENS ABSOLUTE RETURN | 1.739 | 0,001% | C | |
| SIEMENS BALANCED | 3.629 | 0,002% | C | |
| SIEMENS DC BALANCED | 445 | 0,000% | C | |
| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | C | |
| SIEMENS EMU EQUITIES | 13.972 | 0,009% | C | |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,002% | C | |
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,021% | C | |
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE | 68.017 | 0,045% | C | |
| VILLIERS ACTIONS EUROPE SYST AGI | 36.080 | 0,024% | C | |
| WEST YORKSHIRE PENSION FUND | 50.000 | 0,033% | C | |
| CHALLENGE FUNDS - CHALLENGE INTERNATIONAL EQUITY FUND | 16.394 | 0,011% | A | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,048% | A | |
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,019% | A | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 12.387 | 0,008% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,026% | A | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,007% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,023% | A | |
| NATIONAL ELEVATOR INDUSTRY HEALTH BENEFIT PLAN | 5.202 | 0,003% | A | |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,033% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,003% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,018% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,003% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,077% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,008% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,008% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,043% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,003% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,002% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
|---|---|---|---|
| KAIROS INTERNATIONAL SICAV ITALIA | 74.000 | 0,049% | NV |
| KAIROS INTERNATIONAL SICAV ITALIA PIR | 5.000 | 0,003% | NV |
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | NV |
151.170.152 100,000%
| Azioni | % su presenti | |
|---|---|---|
| -- | -------- | --------------- |
Totale votanti (esclusa partecipazione di maggioranza relativa)

| Anagrafica | CF/PI | Azioni | % su Votanti | Voto |
|---|---|---|---|---|
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | |
| 54.601.952 | 26,535% |
Totale presenti 205.772.104 100%
F - Favorevole C - Contrario
NE - Non espresso NV - Non votante
A - Astenuto Lx - Lista x

Nomina del Consiglio di Amministrazione: Determinazione del numero dei componenti il Consiglio di Amministrazione;
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 205.042.267 | 99,64531% | 74,91967% |
| Contrario | 216.063 | 0,10500% | 0,07895% |
| Astenuto | 207.739 | 0,10096% | 0,07591% |
| Non Votante | 306.035 | 0,14873% | 0,11182% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | F | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | F | |
| 1895 FONDS FGR | 16.454 | 0,008% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | F | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | F | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | F | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABB PENSION FUND | 500 | 0,000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | ||||
| EQUITY ENHANCED INDEX FUND | 16.513 | 0,008% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN | 13.079 | 0,006% | F | |
| EQUITY TRACKER FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | 2.032 | 0,001% | F | |
| ENHANCED INDEX FUND ABERDEEN STANDARD SICAV I |
38.073 | 0,019% | F | |
| ABN AMRO FUNDS | 30.141 | 0,015% | F | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | F | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | F | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET | ||||
| ALLOCATION PORTFOLIO | 5.355 | 0,003% | F | |
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | 3.330 | 0,002% | F | |
| PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | F | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | F | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | F | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | F | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
852 | 0,000% | F | |
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | F | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | F | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | F | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | F | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | F | |
| Aktien Europa - UI | 6.384 | 0,003% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | F | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,004% | F | |
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,001% | F |
Nomina del Consiglio di Amministrazione: Determinazione del numero dei componenti il Consiglio di Amministrazione;

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani

| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | F |
|---|---|---|---|
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | F |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | F |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,018% | F |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | F |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | F |
| AMUNDI ACTIONS PME | 205.868 | 0,100% | F |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,025% | F |
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,056% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,005% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,001% | F | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,011% | F | |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 6.076 | 0,003% | F | |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION | ||||
| SCIENTIFIC BETA | 687 | 0,000% | F | |
| AMUNDI INDEX MSCI EUROPE | 74.087 | 0,036% | F | |
| AMUNDI INDEX MSCI WORLD | 12.983 | 0,006% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 489 | 0,000% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 1.881 | 0,001% | F | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 883 | 0,000% | F | |
| AMUNDI MSCI EUROPE | 13.460 | 0,007% | F | |
| AMUNDI MSCI EUROPE CLIMATE PARIS ALIGNED PAB | 196 | 0,000% | F | |
| AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB | 1.318 | 0,001% | F | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 74 | 0,000% | F | |
| AMUNDI MSCI EUROPE EX UK | 139 | 0,000% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS AL.P.UM | 893 | 0,000% | F | |
| AMUNDI MSCI WORLD CLIMATE PARIS ALIG PAB | 1.869 | 0,001% | F | |
| AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 11.067 | 0,005% | F | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 16 | 0,000% | F | |
| AMUNDI PRIME EUROZONE | 5.068 | 0,002% | F | |
| AMUNDI RESA ACTIONS FRANCE | 88.100 | 0,043% | F | |
| AMUNDI REVENUS - ACTIONS HIGH DIV | 735 | 0,000% | F | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 76.186 | 0,037% | F | |
| AMUNDI SGR SPA / AMUNDI SVILUP PO ITALIA | 337.000 | 0,164% | F | |
| AMUNDI SIF Global Ethical Equities | 231 | 0,000% | F | |
| AMUNDI STOXX EUROPE 600 | 4.477 | 0,002% | F | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 13.141 | 0,006% | F | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 264 | 0,000% | F | |
| AMUNDI TRANSMISSION PATRIMOINE | 2.384 | 0,001% | F | |
| AMUNDI VALORE ITALIA PIR | 48.700 | 0,024% | F | |
| ANDRA AP-FONDEN | 36.924 | 0,018% | F | |
| ANIMA ALTO POTENZIALE ITALIA | 100.000 | 0,049% | F | |
| ANIMA AZIONARIO PAESI SVILUPPATI LTE | 1.468 | 0,001% | F | |
| ANIMA CRESCITA ITALIA | 27.500 | 0,013% | F | |
| ANIMA CRESCITA ITALIA NEW | 1.009 | 0,000% | F | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 8.356 | 0,004% | F | |
| ANIMA INIZIATIVA ITALIA | 62.995 | 0,031% | F | |
| ANIMA ITALIA | 141.727 | 0,069% | F | |
| ANIMA OBIETTIVO ITALIA | 15.000 | 0,007% | F | |
| ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST | 1.420 | 0,001% | F | |
| AON HEWITT COLLECTIVE INVESTMENT TRUST | 6.380 | 0,003% | F | |
| AON SAVINGS PLAN TRUST | 5.802 | 0,003% | F | |
| AP ACTIONS 1 EURO | 8.665 | 0,004% | F | |
| AP ACTIONS 3 MIN VOL | 2.565 | 0,001% | F | |
| APERTURE INTERNATIONAL EQUITY FUND API RETRAITE DIVERSIFIE |
26.452 36.271 |
0,013% 0,018% |
F F |
|
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | F | |
| AQR INNOVATION FUND, L.P. | 184 | 0,000% | F | |
| AQR STOCK SELECTION II MASTER ACCOUNT L.P. C/O AQR | ||||
| MANAGEMENT LLC | 264 | 0,000% | F | |
| AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC | 71 | 0,000% | F | |
| AQUARIUS INTERNATIONAL FUND | 774 | 0,000% | F | |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | F | |
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,060% | F | |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,010% | F | |
| ARGENTA DP | 43.850 | 0,021% | F | |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | F | |
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 55.292 | 0,027% | F | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | F |


| 167 | 0,000% | F |
|---|---|---|
| 6.814 | 0,003% | F |
| 193.089 | 0,094% | F |
| 37.693 | 0,018% | F |
| 12.875 | 0,006% | F |
| 1.910 | 0,001% | F |
| 7.800 | 0,004% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AZ FUND 1 AZ ALLOCATION GLOBAL | 1.250 | 0,001% | F | |
| AZ FUND 1 AZ ALLOCATION GLOBAL INCOME | 100.000 | 0,049% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 87.500 | 0,043% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 2.000 | 0,001% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 38.500 | 0,019% | F | |
| AZ FUND 1 AZ ALTERNATIVE CORE BRANDS | 90.000 | 0,044% | F | |
| AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE | 5.000 | 0,002% | F | |
| AZ FUND 1 AZ EQUITY BORLETTI GLOBAL LIFESTYLE | 150.000 | 0,073% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 7.625 | 0,004% | F | |
| AZIMUT STRATEGIC TREND | 220 | 0,000% | F | |
| AZIMUT TRADING | 220 | 0,000% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 1.945 | 0,001% | F | |
| AZL INTERNATIONAL INDEX FUND | 20.158 | 0,010% | F | |
| AZL MSCI GLOBAL EQUITY INDEX FUND | 1.545 | 0,001% | F | |
| BANCO BILBAO VIZCAYA ARGENTARIA SA | 10.666 | 0,005% | F | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 12.768 | 0,006% | F | |
| BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE | ||||
| FIDEICOMISO DE FOND O DE AHORRO DE PANAMA | 1.448 | 0,001% | F | |
| BANCOPOSTA EQUITY DEVELOPED COUNTRIES | 1.604 | 0,001% | F | |
| BANCOPOSTA GLOBAL EQUITY HEDGED LTE | 321 | 0,000% | F | |
| BANCOPOSTA GLOBAL EQUITY LTE | 473 | 0,000% | F | |
| BANCOPOSTA RINASCIMENTO | 14.536 | 0,007% | F | |
| BANK OF BOTSWANA. | 1.396 | 0,001% | F | |
| BANK OF KOREA | 112.603 | 0,055% | F | |
| BANSABADELL 18 FP | 365 | 0,000% | F | |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY | 1.883 | 0,001% | F | |
| FUND | ||||
| BEAR CREEK INC | 2.075 | 0,001% | F | |
| BEAT DRUGS FUND ASSOCIATION | 359 | 0,000% | F | |
| BEL EQUITY EUROPE ESG | 22.163 | 0,011% | F | |
| BELFIUS EQUITIES NV | 8.701 | 0,004% | F | |
| BELFIUS PENSION FUND BALANCED PLUS | 25.281 | 0,012% | F | |
| BELFIUS PENSION FUND HIGH | 79.211 | 0,038% | F | |
| BELFIUS PENSION FUND LOW EQUITIES BELL ATLANTIC MASTER TRUST |
10.754 691 |
0,005% 0,000% |
F F |
|
| BELL GLOBAL TRUST | 25.474 | 0,012% | F | |
| BELLEVUE FUNDS (LUX) - BB ENTREPRENEUR EUROPE SMALL | 10.552 | 0,005% | F | |
| BELLSOUTH CORP RFA VEBA TRUST | 2.800 | 0,001% | F | |
| BERENBERG ABSOLUTE RETURN EUROPEAN | 12.554 | 0,006% | F | |
| BERENBERG AKTIEN | 21.674 | 0,011% | F | |
| BERENBERG EUROPEAN FOCUS FUND | 665.492 | 0,323% | F | |
| BERENBERG EUROZONE FOCUS FUND | 94.350 | 0,046% | F | |
| BESSEMER TRUST CO CLEARING ACCT | 1.955 | 0,001% | F | |
| BEST BUSINESS MODELS SRI | 460.000 | 0,224% | F | |
| Best Investment Corporation | 2.311 | 0,001% | F | |
| BETURN | 10.374 | 0,005% | F | |
| BEWAARSTICHTING NNIP I | 2.983 | 0,001% | F | |
| BFT EURO FUTUR ISR | 7.250 | 0,004% | F | |
| BFT PARTNERS VIA EQUITY EUROPE SRI | 24.227 | 0,012% | F | |
| BI Aktienfonds | 3.196 | 0,002% | F | |
| BIMCOR OVERSEAS POOLED FUND | 21.207 | 0,010% | F | |
| BLACKROCK - IG INTERNATIONALEQUITY POOL | 500 | 0,000% | F | |
| BLACKROCK ADVANTAGE GLOBAL FUN | 282 | 0,000% | F | |
| BLACKROCK ADVANTAGE INTERNATIONAL FUND | 6.583 | 0,003% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 229.060 | 0,111% | F | |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 4.800 | 0,002% | F | |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 93.391 | 0,045% | F | |
| BLACKROCK CDN WORLD INDEX FUND | 10.012 | 0,005% | F | |
| BLACKROCK EUROFUND | 27.878 | 0,014% | F | |
| BLACKROCK FUND MANAGERS LTD | 11.179 | 0,005% | F | |
| BLACKROCK FUNDS I ICAV | 27.166 | 0,013% | F | |
| BLACKROCK GLOBAL FUNDS | 479.224 | 0,233% | F | |
| BLACKROCK GLOBAL INDEX FUNDS | 11.696 | 0,006% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BLACKROCK INDEX SELECTION FUND | 139.296 | 0,068% | F | |
| BLACKROCK INSTITUTIONAL JERSEY FUNDS | 430 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 37.571 | 0,018% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | ||||
| FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 1.746.749 | 0,849% | F | |
| BLACKROCK INTERNATIONAL ALPHA TILTS FUND | 2.598 | 0,001% | F | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK | 2.575 | 0,001% | F | |
| VARIABLE SERIES FUNDS, INC. | ||||
| BLACKROCK LIFE LIMITED | 5.398 | 0,003% | F | |
| BLACKROCK LIFE LTD | 171.323 | 0,083% | F | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 41.254 | 0,020% | F | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | F | |
| BLACKROCK STRATEGIC FUNDS | 1.115 | 0,001% | F | |
| BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY FUND | 118 | 0,000% | F | |
| OF BLACKROCK FUNDS | ||||
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND | 23.740 | 0,012% | F | |
| LIMITED | ||||
| BLK MAGI FUND A SERIES TRUST | 45 | 0,000% | F | |
| BLOOMBERG FINANCE L.P. | 148.344 | 0,072% | F | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | F | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | 1.444 | 0,001% | F | |
| ETF BMO LOW VOLATILITY INTERNATIONALEQUITY ETF |
56.611 | 0,028% | F | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | F | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | F | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | F | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | F | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,031% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,048% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,009% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,003% | F | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,006% | F | |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 CAPPED | 100.000 | 0,049% | F | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | F | |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,005% | F | |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,008% | F | |
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,015% | F | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,012% | F | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 1.456 | 0,001% | F | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,003% | F | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | F | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | F | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,002% | F | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | ||||
| AMERICA | 4.893 | 0,002% | F | |
| BOC PENSION INVESTMENT FUND | 45.308 | 0,022% | F | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | F | |
| BP PENSION FUND | 3.370 | 0,002% | F | |
| BRIDGE BUILDER INTERNATIONAL | 9.810 | 0,005% | F | |
| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED | ||||
| RISKPORTFOLIO II | 8.687 | 0,004% | F | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | 982 | 0,000% | F | |
| PORTFOLIO BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET |
||||
| PORTFOLIO | 4.233 | 0,002% | F |

| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | F |
|---|---|---|---|
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | F |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR FIDELITY FUNDS - ITALY |
231.446 | 0,112% | F |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | F |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | F |
| BT INTERNATIONAL SHARES INDEX FUND | 18.884 | 0,009% | F |
| BT PENSION SCHEME. | 123.868 | 0,060% | F |

| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | F |
|---|---|---|---|
| CIBC INTERNATIONAL INDEX FUND | 12.163 | 0,006% | F |
| CIBC POOLED INTERNATIONAL EQUITY INDEX FUND | 330 | 0,000% | F |
| CINDY SPRINGS LLC | 14.524 | 0,007% | F |
| CIPAV DIVERSIFIE - POCHE ACTIO | 21.685 | 0,011% | F |
| CIT_WLDEXUS130 - NON FLIP | 5.291 | 0,003% | F |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) EUROP | 201.667 | 0,098% | F |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) INTER | 13.123 | 0,006% | F |


| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES | 2.313 | 0,001% | F |
|---|---|---|---|
| CORPORATE SERVICES LTD | |||
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,027% | F |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | F |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | F |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,003% | F |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,049% | F |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,076% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH | 4.197.287 | 2,040% | F | |
| QUALITY GROWTH EQUITY MOT | ||||
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND | 3.855 | 0,002% | F | |
| TECHNOLOGY AGENCY 16619-9962 | ||||
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & | 23.707 | 0,012% | F | |
| BANKING CO., LTD. AS TRUSTEE FOR INTERNATI CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO |
||||
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH | 63.515 | 0,031% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT | ||||
| GLOBAL GROWTH EQUITY MOTHE | 25.400 | 0,012% | F | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER | 632 | 0,000% | F | |
| FUND II | ||||
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | 2.435 | 0,001% | F | |
| MOTHER FUND(CURRENCY HEDGED) CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES |
||||
| (BVI) LIMITED | 9.878 | 0,005% | F | |
| CYSTIC FIBROSIS FOUNDATION | 7.321 | 0,004% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND | ||||
| L | 81 | 0,000% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | F | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | F | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | F | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | F | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | F | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | F | |
| DBI-FONDS EBB | 2.399 | 0,001% | F | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | F | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | F | |
| DEAM FONDS ZDV | 3.329 | 0,002% | F | |
| DEAM-FONDS CPT | 1.596 | 0,001% | F | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO | 6.200 | 0,003% | F | |
| FUND | ||||
| DEKA-MASTER HAEK I | 12.525 | 0,006% | F | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | F | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | F | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | F | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | F | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | F | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O | 779 | 0,000% | F | |
| KESWICK MANAGEMENT | ||||
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | F | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | F | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | F | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
| DPAM B | 241.864 | 0,118% | F | |
| DPAM DBI RDT | 11.907 | 0,006% | F | |
| DPAM L | 4.150 | 0,002% | F | |
| DT EQUITY | 7.407 | 0,004% | F | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | F | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | F | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | F | |
| DUPONT PENSION TRUST | 42.808 | 0,021% | F | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN | 2.079 | 0,001% | F | |
| EQUITY FUND) |


| PORTFOLIO | 4.988 | 0,002% | F |
|---|---|---|---|
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
1.187 | 0,001% | F |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | F |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
5.002 | 0,002% | F |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
6.291 | 0,003% | F |


| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | F |
|---|---|---|---|
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | F |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | F |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED POOL |
58.400 | 0,028% | F |
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 342.300 | 0,166% | F |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | F |
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX 495.003 0,241% F FUND FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL 3.716 0,002% F INDEX FUND FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF 700 0,000% F FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND 58.667 0,029% F FIDELITY FOUNDERS INVESTMENT TRUST 33.300 0,016% F FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL 108.074 0,053% F FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL 67.470 0,033% F FIDELITY GLOBAL DEMOGRAPHICS FUND 1.417 0,001% F FIDELITY GLOBAL DEMOGRAPHICS FUND 1.417 0,001% F FIDELITY GLOBAL FUTURE LEADERS FUND 7.826 0,004% F FIDELITY GLOBAL FUTURE LEADERS FUND 7.826 0,004% F FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS 44.755 0,022% F FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST 25.300 0,012% F FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND 82.100 0,040% F FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND 14.443 0,007% F FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND 17.185 0,008% F FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU 697 0,000% F FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND 1.700.500 0,826% F FIDELITY INVESTMENTS MONEY MANAGEMENT INC 468 0,000% F FIDELITY LONGTERM LEADERS FUND 1.457 0,001% F FIDELITY PURITAN TRUST FIDELITYPURITAN FUND 475.594 0,231% F FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND 12.515 0,006% F FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND 198.038 0,096% F FIDELITY SAI INTERNATIONAL INDEX FUND 67.794 0,033% F FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND 71.471 0,035% F FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX 59.913 0,029% F FUND FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX 24.219 0,012% F FUND FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND 419.702 0,204% F FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND 51.623 0,025% F FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND 674.410 0,328% F FIDELITY TREND FUND: FIDELITY TREND FUND 185.000 0,090% F FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND 662 0,000% F FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND 718 0,000% F FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA 5.000 0,002% F FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA 100.000 0,049% F FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 18.000 0,009% F FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL 23.663 0,011% F FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF 12.966 0,006% F BALTIMORE FIRE AND POLICE PENSION ASSOCIATION OF COLORADO 2.669 0,001% F FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO 2.612 0,001% F FIRST CHURCH OF CHRIST SCIENTIST 542 0,000% F FIRST INITIATIVES INSURANCE LTD 2.392 0,001% F FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND 2.643 0,001% F FJARDE AP-FONDEN. 27.645 0,013% F FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX 1.334 0,001% F FUND FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT 3.696 0,002% F INDEX FUND FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND 1.300 0,001% F FLORIDA GLOBAL EQUITY FUND, LLC 1.508 0,001% F FLORIDA RETIREMENT SYSTEM TRUST FUND 608.895 0,296% F FLOURISH INVESTMENT CORPORATION 366.913 0,178% F FMR CAPITAL INC 139 0,000% F FMR CAPITAL INC 300 0,000% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | F |


| GID-FONDS ALAET | 40.240 | 0,020% | F | |
|---|---|---|---|---|
| GID-FONDS CEAOT | 68.126 | 0,033% | F | |
| GID-FONDS DLAET | 6.220 | 0,003% | F | |
| GIN S.R.L. | 11666950966 | 779.732 | 0,379% | F |
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,003% | F | |
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES LIMIT |
5.009 | 0,002% | F | |
| GLG PARTNERS LP | 8.509 | 0,004% | F | |
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | ||||
| PORTFOLIO | 650 | 0,000% | F | |
| GLOBAL BOND FUND WAYCROSSE INC | 6.277 | 0,003% | F | |
| Global Equities Enhanced Index fund | 10.439 | 0,005% | F | |
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 2,438% | F | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,000% | F | |
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | F | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,069% | F | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | F | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | F | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E |
851 | 0,000% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT |
109.577 | 0,053% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN SACHS AND CO |
5.568 | 0,003% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
4.735 | 0,002% | F | |
| GOLDMAN SACHS FUNDS | 1.024.289 | 0,498% | F | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND |
1.919 | 0,001% | F | |
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | F | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | F | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | F | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,057% | F | |
| GR-AVENIR | 1.000 | 0,000% | F | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | F | |
| GRD 12 ACTIONS | 35.360 | 0,017% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | F | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | F | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | F | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | F | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | F | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | F | |
| HALEVY A1 | 35.923 | 0,017% | F | |
| HALEVY A2 | 36.004 | 0,017% | F | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | F | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | F | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | F | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | F | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY |
131 | 0,000% | F | |
| PORTFOL HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
11.101 7.356 |
0,005% 0,004% |
F F |
|
| Helium Alpha | 3.829 | 0,002% | F | |
| Henderson Eurotrust plc | 137.894 | 0,067% | F | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | F | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | F | |
| HESTA | 506.496 | 0,246% | F | |
| HI-172915-Fonds | 1.508 | 0,001% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund | 58.991 | 0,029% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT | 200.034 | 0,097% | F | |
| EXCHANGE HONG KONG SPECIAL ADMINISTRATIVE REGION |
4.426 | 0,002% | F | |
| GOVERNMENTEXCHANGE FUND HOSTPLUS POOLED SUPERANNUATION TRUST |
17.065 | 0,008% | F |

| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES |
25.561 | 0,012% | F |
|---|---|---|---|
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | F |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | F |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN |
18.885 | 0,009% | F |
| INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 44.059 | 0,021% | F |
| INTERFUND SICAV | 15.000 | 0,007% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INTERNATIONAL ALPHA TILTS FUND B (INTLTB) | 1.149 | 0,001% | F | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | F | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | F | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | F | |
| INTERNATIONAL EQUITY FUND LLC | 1.343 | 0,001% | F | |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | F | |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | F | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 789 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND | 12.591 | 0,006% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS | 214 | 0,000% | F | |
| INVESTMENT ACCOUNT INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN |
828 | 0,000% | F | |
| INTERNATIONAL OPPORTUNITY FUND I | 66.547 | 0,032% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND | ||||
| (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | 3.936 | 0,002% | F | |
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | F | |
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT | 1.363 | 0,001% | F | |
| PORTFO | ||||
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | F | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | F | |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | F | |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | F | |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | F | |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | F | |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | F | |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | F | |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | F | |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | F | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | F | |
| INVESCO FUNDS | 1.680 | 0,001% | F | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | F | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | F | |
| INVESCO MARKETS III PLC | 41 | 0,000% | F | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | F | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | F | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,002% | F | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER | 1.741 | 0,001% | F | |
| AKK KL | ||||
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE INVESTERINGSFORENINGEN NORDEA INVEST ENGROS |
1.947 | 0,001% | F | |
| INTERNATIONALE AKTIER - ETISK TILVALG | 3.898 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
1.225 | 0,001% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL |
6.696 | 0,003% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 4.232 | 0,002% | F | |
| INVESTITORI EUROPA | 3.300 | 0,002% | F | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | F | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | F | |
| IP ACTIONS EURO | 3.877 | 0,002% | F | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE | 469 | 0,000% | F | |
| STRATEGY NO.1 | ||||
| IPROFILE INTERNATIONAL EQUITY PRIVATE POOL | 6.337 | 0,003% | F | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,002% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 3.453 | 0,002% | F | |
| IQ HEALTHY HEARTS ETF | 559 | 0,000% | F | |
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,009% | F |


| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,012% | F |
|---|---|---|---|
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 0,000% |
F | |
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES | 97 0,000% |
F | |
| LLC | |||
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 0,000% |
F | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 0,000% |
F | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,014% | F |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND | 333 0,000% |
F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 1.189 | 0,001% | F | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 476 | 0,000% | F | |
| JNL/MELLON MSCI WORLD INDEX FUND | 1.306 | 0,001% | F | |
| JNL/TROWE PRICE BALANCED FUND | 8.869 | 0,004% | F | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY | ||||
| ALLOCATION FUND | 12.252 | 0,006% | F | |
| JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND | 36.431 | 0,018% | F | |
| JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. | 2.383.446 | 1,158% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 474 | 0,000% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,005% | F | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,006% | F | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,000% | F | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY | ||||
| INDEX TRUST. | 7.601 | 0,004% | F | |
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION | 33.254 | 0,016% | F | |
| TRUST JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN |
57.962 | 0,028% | F | |
| JPMORGAN ACCESS BALANCED FUND | 514 | 0,000% | F | |
| JPMORGAN ACCESS GROWTH FUND | 670 | 0,000% | F | |
| JPMORGAN BETABUILDERS EUROPE ETF | 221.051 | 0,107% | F | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 39.332 | 0,019% | F | |
| JPMORGAN GLOBAL ALLOCATION FUND | 1.489 | 0,001% | F | |
| JTW TRUST NO. 1 UAD 9/19/02. | 696 | 0,000% | F | |
| JTW TRUST NO. 2 UAD 9/19/02. | 1.167 | 0,001% | F | |
| JTW TRUST NO. 3 UAD 9/19/02. | 1.188 | 0,001% | F | |
| JTW TRUST NO. 4 UAD 9/19/02. | 1.385 | 0,001% | F | |
| JTW TRUST NO. 5 UAD 9/19/02. | 732 | 0,000% | F | |
| K INVESTMENTS SH LIMITED. | 19.004 | 0,009% | F | |
| KAIROS INTERNATIONAL SICAV ITALIA | 74.000 | 0,036% | F | |
| KAIROS INTERNATIONAL SICAV ITALIA PIR | 5.000 | 0,002% | F | |
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | F | |
| KAISER FOUNDATION HOSPITALS | 6.067 | 0,003% | F | |
| KAISER PERMANENTE GROUP TRUST KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING |
9.965 | 0,005% | F | |
| DANICA LINK - INDEKS GLOBALE AKTIER | 1.623 | 0,001% | F | |
| KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 13.054 | 0,006% | F | |
| KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE | ||||
| INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 7.928 | 0,004% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 2 GLOBALE AKTIER 2 | 29.386 | 0,014% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 11.644 | 0,006% | F | |
| KAPITALFORENINGEN SPARINVEST VERDENS INDEKS ETISK | 2.728 | 0,001% | F | |
| KIEGER UCITS FUND | 14.982 | 0,007% | F | |
| KINSTED GLOBAL EQUITY POOL | 59.251 | 0,029% | F | |
| Kiwi Investment Management Screened Global Equity Index Fund | 517 | 0,000% | F | |
| KNOWLEDGE LEADERS DEVELOPED WO | 13.578 | 0,007% | F | |
| KOKUSAI EQUITY INDEX FUND | 6.832 | 0,003% | F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL | 145.559 | 0,071% | F | |
| EQUITY MASTER INVESTMENT TRUST 3 KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DM PRIVATE |
||||
| EQUITY MASTER INVESTMENT TRUST | 3.454 | 0,002% | F | |
| KUTXABANK GESTION SGIIC, S.A. | 210.135 | 0,102% | F | |
| LABORFONDS - FONDO PENSIONE COMPLEMENTARE LAVORATORI DIPENDENTIOPERANTI IN TRENT |
18.222 | 0,009% | F | |
| LACM GLOBAL EQUITY FUND LP | 6.195 | 0,003% | F | |
| LACM WORLD EQUITY - DIVIDEND GROWTH CIT | 5 | 0,000% | F | |
| LACM WORLD EQUITY - WEALTH BUILDER CIT | 13 | 0,000% | F | |
| LATVIJAS BANKA | 2.798 | 0,001% | F | |
| LAUDUS INTERNATIONAL MARKETMASTERS FUND | 4.685 | 0,002% | F | |
| Law Debenture Corporation PLC(The) | 38.874 | 0,019% | F | |
| LBPAM DIVERSIFIE FOCUS OBLIG 3 5 | 2.627 | 0,001% | F | |
| LBPAM IRC ACTIONS ISR | 23.836 | 0,012% | F | |
| LBPAM ISR ACTIONS 80 | 7.852 | 0,004% | F | |
| LBPAM ISR ACTIONS EUR FO EMER | 49.441 | 0,024% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LBPAM ISR ACTIONS EURO LARGE CAP | 9.660 | 0,005% | F | |
| LBPAM ISR ACTIONS EUROPE MONDE | 6.465 | 0,003% | F | |
| LBPAM ISR ACTIONS MONDE | 21.030 | 0,010% | F | |
| LBPAM ISR AVENIR EURO | 782 | 0,000% | F | |
| LBPAM ISR STRATEGIE PEA 1 | 1.405 | 0,001% | F | |
| LBPAM ISR STRATEGIE PEA 2 | 2.024 | 0,001% | F | |
| LCL ACTIONS EURO CORE+ | 7.185 | 0,003% | F | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 4.476 | 0,002% | F | |
| LCL ACTIONS MONDE HORS EUROPE EURO | 16.975 | 0,008% | F | |
| LEFEVI S.R.L. | 11656180962 | 711.507 | 0,346% | F |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,005% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | F | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY FOC |
71.955 | 0,035% | F | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES FUND | 19.163 | 0,009% | F | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 82 | 0,000% | F | |
| LEGAL & GENERAL REAL CAPITAL BUILDER FUND | 29.340 | 0,014% | F | |
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED |
197.353 | 0,096% | F | |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | F | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | F | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,018% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,057% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | F | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | F | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | F | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | F | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE EUROPEA |
196.807 | 0,096% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE GLOBAL | 40.520 | 0,020% | F | |
| EQUITY INCOME FUND LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE |
284.585 | 0,138% | F | |
| EUROPEAN UNCONSTRAINED FUND LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE |
||||
| GLOBAL RAINED FUND | 110.445 | 0,054% | F | |
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS UMBRELLA |
267.025 | 0,130% | F | |
| LGIASUPER | 10.474 | 0,005% | F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,016% | F | |
| LGT SELECT FUNDS | 375 | 0,000% | F | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,004% | F | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | F | |
| LIONTRUST INVESTMENT FUNDS I | 70.000 | 0,034% | F | |
| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,007% | F | |
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | F | |
| LO Funds - All Roads | 9.683 | 0,005% | F | |
| LO Funds - All Roads Conservative | 655 | 0,000% | F | |
| LO Funds - All Roads Growth | 3.757 | 0,002% | F | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS |
60.000 42.392 |
0,029% 0,021% |
F F |
|
| MASTER TR | ||||
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.855 | 0,044% | F | |
| LOF TargetNetZero Europe Equity | 1.005 | 0,000% | F | |
| LOF WORLD BRANDS | 173.000 | 0,084% | F | |
| LOIS (CH) GLOBAL EQUITIES TRACKER+ ESG | 303 | 0,000% | F | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 7.148 | 0,003% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 188 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 19.238 | 0,009% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 39.933 | 0,019% | F | |
| LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 6.985 | 0,003% | F | |
| LTW INVESTMENTS LLC | 13.669 | 0,007% | F | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 4.986 | 0,002% | F | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 35.950 | 0,017% | F | |
| LVUI EQUITY EUROPE | 15.960 | 0,008% | F | |
| LVUI EQUITY WORLD EX EUROPE | 1.500 | 0,001% | F | |
| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,015% | F | |
| LYX IND FD-LYXOR CORE STOXX EU | 96.735 | 0,047% | F | |
| LYX INV FDS - GARI EUROPEAN EQ | 35.026 | 0,017% | F | |
| LYXINDX FUND - LYXOR MSCI EMU | 5.605 | 0,003% | F | |
| LYXOR CORE MSCI WORLD (DR) UCI | 6.748 | 0,003% | F | |
| LYXOR FTSE MIB UCITS ETF | 281.217 | 0,137% | F | |
| LYXOR MSCI EUROPE UCITS ETF | 17.943 | 0,009% | F | |
| M & G Securities Limited | 5.213 | 0,003% | F | |
| M INTERNATIONAL EQUITY FUND | 1.242 | 0,001% | F | |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK INDEX Fund |
34.007 | 0,017% | F | |
| MACKENZIE EUROPEAN SMALL-MIDCAPFUND | 36.813 | 0,018% | F | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT ETF | 165 | 0,000% | F | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT FUND | 225 | 0,000% | F | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 3.958 | 0,002% | F | |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.410 | 0,002% | F | |
| MACQUARIE MULTI-FACTOR FUND | 1.315 | 0,001% | F | |
| MAIN I - UNIVERSAL - FONDS | 32.574 | 0,016% | F | |
| MAIN VI-UNIVERSAL-FONDS | 461 | 0,000% | F | |
| MAN AHL DIVERSIFIED MARKETS EU BEUR- WORLD TRADE CENTER | 126 | 0,000% | F | |
| MAN DESERTWOOD FUND LIMITED C/O CITCO TRUSTEES (CAYMAN | 18.728 | 0,009% | F | |
| LIMITED) MAN FUNDS PLC MAN GLG PAN EUROPEAN EQUITY GROWTH |
260.406 | 0,127% | F | |
| MAN FUNDS PLC MAN GLG RI GLOBAL SUSTAINABLE GROWTH | 93.065 | 0,045% | F | |
| MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | 6.810 | 0,003% | F | |
| MAN FUNDS PLC MAN NUMERIC RI GLOBAL EQUITY | 3.140 | 0,002% | F | |
| MAN FUNDS VI PLC | 3.997 | 0,002% | F | |
| MAN FUNDS VIII ICAV-MAN AHL DIVERSIFIED. | 1.280 | 0,001% | F | |
| MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES | ||||
| (CAYMAN) LIMITED | 3.905 | 0,002% | F | |
| MAN FUNDS XII SPC-MAN 1783 III SP | 25 | 0,000% | F | |
| MAN GLG CONTINENTAL EUROPEAN GROWTH FUND | 1.269.306 | 0,617% | F | |
| MAN GLG EUROPEAN EQUITY ALTERNATIVE | 29.560 | 0,014% | F | |
| MAN INSIGHT LIMITED | 91 | 0,000% | F | |
| MAN INTERNATIONAL ICVC MAN DYNAMIC ALLOCATION FUND | 961 | 0,000% | F | |
| MAN MULTI-STRATEGY MASTER FUND MAPLES CORPORATE SERVICES LIMITES |
8.728 | 0,004% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA QUALITY | 102 | 0,000% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 4.390 | 0,002% | F | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC DIVERSIFIED RISK P REMIA PROGRESSIVE |
1.444 | 0,001% | F | |
| MAN NUMERIC EXPLORER MAPLES CORPORATE SERVICES LIMITED | 50 | 0,000% | F | |
| MAN NUMERIC INTERNATIONAL ALPHA (US) LP | 3.050 | 0,001% | F | |
| MAN NUMERIC LONG TERM ALPHA LP MAPLES CORPORATE SERVICES LIMITED |
2.570 | 0,001% | F | |
| MANAGED INVESTMENT FUNDS ICVCINTERNATIONAL EQUITY TRACKER FUND |
738 | 0,000% | F | |
| MANAGED PENSION FUNDS LIMITED | 107.922 | 0,052% | F | |
| MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 4.415 | 0,002% | F | |
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,005% | F | |
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,093% | F | |
| MANULIFE INVESTMENT MANAGEMENT I PLC | 27.279 | 0,013% | F | |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX | 7.719 | 0,004% | F | |
| POOLED FUND MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF |
11.035 | 0,005% | F | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,000% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,000% | F | |
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR | ||||
| PARTICIPANT DIRECTED ACCOUNTS | 39.739 | 0,019% | F | |
| MARS S.R.L. | 11666960965 | 779.732 | 0,379% | F |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O | 1.802.175 | 0,876% | F | |
| MARSHALL WACE IRELAND LTD | ||||
| MARTIN CURRIE GLOBAL LONG-TERM UNCONSTRAINED FUND | 8.750 | 0,004% | F | |
| MARTIN CURRIE GLOBAL PORTFOLIO TRUST PLC | 303.129 | 0,147% | F | |
| MARTIN CURRIE INTERNATIONAL UNCONSTRAINED EQUITY FUND | 29.721 | 0,014% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 17.987 | 0,009% | F | |
| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | F | |
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,020% | F | |
| MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN | 12.444 | 0,006% | F | |
| AIRLINES, INC, US AIRW MASTERS I LLC |
879 | 0,000% | F | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | F | |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,001% | F | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) MDPIM INTERNATIONAL EQUITY INDEX POOL |
32.322 10.519 |
0,016% 0,005% |
F F |
|
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 380.000 | 0,185% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,058% | F | |
| MELCHIOR EURO OPP | 176.178 | 0,086% | F | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | F | |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,002% | F | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | F | |
| MERCER QIF CCF | 57.661 | 0,028% | F | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | F | |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | F | |
| MERCY INVESTMENT SERVICES INC | 951 | 0,000% | F | |
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | F | |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,005% | F | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,013% | F | |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,015% | F | |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | F | |
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,013% | F | |
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND |
418 2.934 |
0,000% 0,001% |
F F |
|
| MGI FUNDS PLC | 11.427 | 0,006% | F | |
| MI - FONDS K12 | 11.854 | 0,006% | F | |
| MI - FONDS K14 | 36.000 | 0,017% | F | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | ||||
| REEVES TTEE PO BOX | 281 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | F | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | F | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 760 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 50 | 730 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 510 | 0,000% | F | |
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | F | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | F | |
| MLC INVESTMENTS, MLC LIMITED | 18.086 | 0,009% | F | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | F | |
| MML STRATEGIC EMERGING MARKETS FUND | 595 | 0,000% | F | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | F | |
| MONCEAU ACTIONS EEE | 16.990 | 0,008% | F | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,014% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,186% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 54.012 | 0,026% | F | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,170% | F | |
| MORAINE MASTER FUND LP CO FALCON EDGE CAPITAL, LP | 421.022 | 0,205% | F | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,377% | F | |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO | 4.361.926 | 2,120% | F | |
| MORG ST INTERNATIONAL EQUITY PORTFOLIO | 667.639 | 0,324% | F | |
| MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO | 1.942.734 | 0,944% | F | |
| MORGAN STANLEY EUROPE OPPORTUNITY FUND INC | 264.491 | 0,129% | F | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | ||||
| PORTFOLIO | 975 | 0,000% | F | |
| MORGAN STANLEY INVESTMENT FUNDS | 32.761 | 0,016% | F | |
| MORGAN STANLEY PATHWAY FUNDS | 4.198 | 0,002% | F | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO |
189 | 0,000% | F | |
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 1.804 | 0,001% | F | |
| MOTHER CABRINI HEALTH FOUNDATION, INC. | 2.713 | 0,001% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,005% | F | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | F | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,045% | F | |
| MTAA SUPERANNUATION FUND | 35.090 | 0,017% | F | |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND | 23.490 | 0,011% | F | |
| MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND | 14.900 | 0,007% | F | |
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 45.755 | 0,022% | F | |
| MUGUET VENTURES LLC | 250 | 0,000% | F | |
| MUL- LYX FTSE IT ALL CAP PIR | 4.088 | 0,002% | F | |
| MUL-LYX NET ZERO 2050 SP | 7.035 | 0,003% | F | |
| MUL-LYX NET ZERO 50 | 223.303 | 0,109% | F | |
| MUL-LYXOR MSCI EMU ESG LEADERS | 2.751 | 0,001% | F | |
| MUL-LYXOR MSCI WORLD CLIMATE | 866 | 0,000% | F | |
| MUL-LYXOR MSCI WORLD ESG LEADE | 4.911 | 0,002% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,026% | F | |
| MULTI UNITS LUX-LYXOR CORE MSC | 13.880 | 0,007% | F | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | F | |
| MUNICIPAL EMPLOYEES PENSION PLAN | 72.164 | 0,035% | F | |
| MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM | 7.531 | 0,004% | F | |
| MUSASHI SMART PREMIA FUND | 6.244 | 0,003% | F | |
| NATIONAL BANK FINANCIAL INC | 594 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 4.114 | 0,002% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 53.403 | 0,026% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND. | 110.744 | 0,054% | F | |
| NATIONAL PENSION INSURANCE FUND | 3.400 | 0,002% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 70.569 | 0,034% | F | |
| NATIONAL TREASURY MANAGEMENT AGCY | 1.457 | 0,001% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 15.524 | 0,008% | F | |
| NATIXIS INTERNATIONAL FUNDS (LUX) I | 92.122 | 0,045% | F | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 321.625 | 0,156% | F | |
| NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT TRUST |
271.608 | 0,132% | F | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF | 154.869 | 0,075% | F | |
| ST. JAMES'S PLACE NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF |
6.350 | 0,003% | F | |
| ST. JAMES'S PLACE | ||||
| NAV CANADA PENSION PLAN | 2.980 | 0,001% | F | |
| NAVIGERA AKTIE 2 | 273.738 | 0,133% | F | |
| NBIMC EAFE EQUITY INDEX FUND. NCB CAPITAL COMPANY |
5.642 7.104 |
0,003% 0,003% |
F F |

| NEF EURO EQUITY | 159.607 | 0,078% | F |
|---|---|---|---|
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | F |
| NEMOURS FOUNDATION | 184 | 0,000% | F |
| NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT | 2.907 | F | |
| GENERATION CONNECTED CONSUMER | 0,001% | ||
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | F |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | F |

| OFP DUPONT EUROPEAN PENSION FUND | 13.027 | 0,006% | F |
|---|---|---|---|
| OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED RETURNS | 101 | 0,000% | F |
| FUND | |||
| ONCOR RETIREMENT PLAN TRUST | 5.254 | 0,003% | F |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 19.601 | 0,010% | F |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | F |
| OPTIMUM GESTION DE PLACEMENTS INC | 5.630 | 0,003% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ORANO DIVERSIFIE EQUILIBRE | 4.412 | 0,002% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 22.106 | 0,011% | F | |
| OSMOSIS UCITS CCF | 3.495 | 0,002% | F | |
| OVERSEAS GROWTH INVESTMENT FUNDS ICVC EUROPEAN GROWTH | ||||
| FUND | 11.312 | 0,005% | F | |
| PACE INTERNATIONAL EQUITY INVESTMENTS | 25.460 | 0,012% | F | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | F | |
| PACIFIC SELECT FUND EMERGING MARKETS PORTFOLIO | 8.791 | 0,004% | F | |
| PALATINE ENTREPRISES FAMILIALES ISR | 27.100 | 0,013% | F | |
| PALATINE FRANCE MIDCAP FCP | 19.000 | 0,009% | F | |
| PANAGORA ASSET MANAGEMENT INC. - DYNAMIC INTERNATIONAL | ||||
| EQUI | 64 | 0,000% | F | |
| PANAGORA GROUP TRUST | 1.758 | 0,001% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | F | |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F | |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER | 428 | 0,000% | F | |
| FUND | ||||
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | F | |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,065% | F | |
| PEOPLE'S BANK OF CHINA | 190.071 | 0,092% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PERVALOR - ACTIONS | 1.150 | 0,001% | F | |
| PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 787 | 0,000% | F | |
| PF EMERGING MARKETS FUND | 962 | 0,000% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F | |
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,004% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,000% | F | |
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | F | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 370 | 0,000% | F | |
| PICTON MAHONEY LONG SHORT EQUITY FUND C/O PICTON | ||||
| MAHONEY ASSET MANAGEMENT ACTING AS MANAGER | 2.500 | 0,001% | F | |
| PICTON MAHONEY MARKET NEUTRAL EQUITY FUND C/O PICTON | 3.000 | 0,001% | F | |
| MAHONEY ASSET MANAGEMENT ACTING AS FUND MANAGER | ||||
| PINEBRIDGE FUND SERIES - PINEBRIDGEEUROPE EQUITY FUND | 15.958 | 0,008% | F | |
| PINEBRIDGE GLOBAL FUNDS | 7.685 | 0,004% | F | |
| PIONEER FLEXIBLE OPPORTUNITIES FUND | 22.516 | 0,011% | F | |
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| PMPT INKA FONDS | 11.831 | 0,006% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | F | |
| POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT L.P. | 39.650 | 0,019% | F | |
| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | F | |
| POOL REINSURANCE CO LTD | 544 | 0,000% | F | |
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,004% | F | |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,003% | F | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,004% | F | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | F | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | F | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | F | |
| PRESCIENT ICAV. | 11.412 | 0,006% | F | |
| PRIME SUPER | 3.439 | 0,002% | F | |
| PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL | 395 | 0,000% | F | |
| ADAPTIVE MULTI-FACTOR ET | ||||
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | F | |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | F | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | F | |
| PRIVILEDGE | 30.000 | 0,015% | F | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | F | |
| PRUDENTIAL BANK AND TRUST FSB PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON |
19.691 | 0,010% | F | |
| INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND | 1.957 | 0,001% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | ||||
| NEXTGENERATION GLOBAL OPPORTUNITIES FUND | 3.943 | 0,002% | F | |
| Prudential Pensions Limited | 3.218 | 0,002% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,004% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,005% | F | |
| PUBLIC EMPLOYEES' LONG TERM CARE FUND | 421.861 | 0,205% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 102.695 | 0,050% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM 0F OHIO | 112.761 | 0,055% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,050% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 25.744 | 0,013% | F | |
| PUBLIC SCHOOL TEACHERS PENSION & RETIREMENT FUND OF | 217.925 | 0,106% | F | |
| CHICAGO | ||||
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO |
31.178 | 0,015% | F | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 101.900 | 0,050% | F | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK | ||||
| Fund | 146.256 | 0,071% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,005% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | F | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | F | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,003% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,006% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES | 1.572 | 0,001% | F | |
| PORTFOLIO PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION |
||||
| FUND | 741 | 0,000% | F | |
| QS INVESTORS INTERNATIONAL EQUITY DBI CIT | 264 | 0,000% | F | |
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | F | |
| QUADRATOR SRI | 111.000 | 0,054% | F | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | F | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | F | |
| QUALITY EDUCATION FUND | 385 | 0,000% | F | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | F | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | F | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | F | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | F | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | F | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | F | |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST |
3.584 | 0,002% | F | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | F | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | F | |
| RDM LIQUID LLC | 9.080 | 0,004% | F | |
| ReAssure Limited | 9.407 | 0,005% | F | |
| REGARD ACT CROISSAN | 5.000 | 0,002% | F | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | F | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | F | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | F | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | F | |
| ROPS EURO P | 18.805 | 0,009% | F | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,015% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | F | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B | 2.713 | 0,001% | F | |
| (REMGEOB) RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED |
48.011 | 0,023% | F | |
| MARKETS FUND RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY |
20.563 | 0,010% | F | |
| FUND RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL |
||||
| EQUITY FUND | 7.848 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL EQUITY FUND |
69.531 | 0,034% | F | |
| RUSSELL INVESTMENT COMPANY V PLC | 32.028 | 0,016% | F | |
| RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED MARKETS | 9.504 | 0,005% | F | |
| FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E |
||||
| PLUS FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI |
175.855 | 0,085% | F | |
| ASSET I-ASSET GROW | 16.431 | 0,008% | F | |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT |
8.270 | 0,004% | F | |
| RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND | 25.601 | 0,012% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 3.137 | 0,002% | F | |
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.661 | 0,003% | F | |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 1.906 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 843 | 0,000% | F | |
| RUSSELL INVESTMENTS SUSTAINABLEGLOBAL SHARES EX FOSSIL FUEL S FUND LVL 3 |
294 | 0,000% | F | |
| RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES FUND | 65.147 | 0,032% | F | |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 4.602 | 0,002% | F | |
| RUSSELL OVERSEAS EQUITY POOL . | 5.355 | 0,003% | F | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | F | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,000% | F | |
| S. ROBSON WALTON 2010 TRUST | 1.076 | 0,001% | F | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 1.885 | 0,001% | F | |
| SAKKARAH 7 FCP | 31.165 | 0,015% | F | |
| SAKKARAH C | 15.143 | 0,007% | F | |
| SALIX LLC | 10.816 | 0,005% | F | |
| SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 5.399 | 0,003% | F | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 393 | 0,000% | F | |
| SAN JOSE FEDERATED CITY EMPLOYEES RETIREMENT SYST | 27.282 | 0,013% | F | |
| SANLAM UNIVERSAL FUNDS PLC | 4.492 | 0,002% | F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 10.974 | 0,005% | F | |
| SBC MASTER PENSION TRUST | 7.654 | 0,004% | F | |
| SCHRODER CAPITAL MANAGEMENT COLLECTIVE TRUST | 28.651 | 0,014% | F | |
| SCHRODER EUROPEAN SMALLER COMPANIES FUND | 9.331 | 0,005% | F | |
| SCHRODER EUROPEAN SUSTAINABLE EQUITY FUND | 26.691 | 0,013% | F | |
| SCHRODER GAIA | 16.562 | 0,008% | F | |
| SCHRODER GLOBAL QUALITY FUND (CANADA) | 1.655 | 0,001% | F | |
| SCHRODER INSTITUTIONAL POOLED FUNDS | 56.917 | 0,028% | F | |
| SCHRODER INTERNATIONAL SELECTION FUND | 757.714 | 0,368% | F | |
| SCHRODER QEP GLOBAL CORE FUND | 18.580 | 0,009% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 49.395 | 0,024% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | 11.923 | 0,006% | F | |
| FUND | ||||
| SCHWAB INTERNATIONAL EQUITY ETF | 307.652 | 0,150% | F | |
| SCHWAB INTERNATIONAL INDEX FUND | 110.081 | 0,053% | F | |
| SCORE SEMKO PPK SCOTIA INTERNATIONAL EQUITY INDEX FUND |
500 366 |
0,000% 0,000% |
F F |
|
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 2.269 | 0,001% | F | |
| SCOTIA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 147 | 0,000% | F | |
| SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- DEVELOPED | 34.170 | 0,017% | F | |
| EUROPE (EX UK) EQUIT | ||||
| SDA INTL EQUITY INDEX FD-WORLD | 6.231 | 0,003% | F | |
| SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF |
11.983 | 0,006% | F | |
| SEASONS SERIES TRUST SA PUTNAM ASSET ALLOCATION DIVERSIFIED GROW |
1.902 | 0,001% | F | |
| SEB ACTIVE 55 | 653 | 0,000% | F | |
| SEB ACTIVE 80 | 446 | 0,000% | F | |
| SEI GLOBAL MASTER FUND PLC | 2.321 | 0,001% | F | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
1.664 | 0,001% | F | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 127 | 0,000% | F | |
| SEMPRA ENERGY PENSION MASTER TRUST | 3.701 | 0,002% | F | |
| SENTINEL INTERNATIONAL TRUST | 1.212 | 0,001% | F | |
| SG ACTIONS EURO | 6.991 | 0,003% | F | |
| SG ACTIONS FRANCE LARGECAP | 1.345 | 0,001% | F | |
| SG ACTIONS LUXE | 135.089 | 0,066% | F | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | F | |
| SG DIVERSIFIE FRANCE | 2.204 | 0,001% | F | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | F | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | F | |
| SHELL NEDERLAND PENSIOENFONDS STICHTING | 538 | 0,000% | F | |
| SHELL PENSION TRUST | 4.014 | 0,002% | F | |
| SHELL PENSIONS TRUST LIMITED AS TRUSTEE OF SHELL CONTRIBUTORY PENSION FUND |
16.585 | 0,008% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
5.913 | 0,003% | F | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 25.959 | 0,013% | F | |
| CONTRIBUTORY PENSION FUND | ||||
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | F | |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | F | |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL |
255.356 | 0,124% | F | |
| UNCONSTRAINED FUND | 179.400 | 0,087% | F | |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,001% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| SOGECAP ACTIONS | 110.578 | 0,054% | F | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | F | |
| SOLIDARITES | 1.917 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | F | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | F | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | F | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | F | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | F | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | F | |
| SPP EUROPA PLUS | 463 | 0,000% | F |
| Anagrafica CF/PI Azioni % su Votanti Voto SPP GENERATION 50-TAL 142 0,000% F SPP GENERATION 60-TAL 2.855 0,001% F SPP GENERATION 70-TAL 2.569 0,001% F SPP PENSION & FORSAKRING AB (PUBL) 501 0,000% F SPRING 625 2.946 0,001% F SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST 5.388 0,003% F FUND SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST 7.976 0,004% F FUND SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND 170.925 0,083% F SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST 1.128 0,001% F SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY 23.230 0,011% F SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY 32.688 0,016% F SST GLOB ADV TAX EXEMPT RETIREMENT PLANS 799.683 0,389% F SST GLOB ADV TAX EXEMPT RETIREMENT PLANS 29.759 0,014% F STANDARD BANK OF SOUTH AFRICA LTD 28.109 0,014% F STANLIB FUNDS LIMITED 1.416 0,001% F STAR PASTEUR 7.107 0,003% F STATE OF ALASKA RETIREMENT AND BENEFITS PLANS 61.299 0,030% F STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS 28.473 0,014% F STATE OF MICHIGAN RETIREMENT SYSTEM 352.044 0,171% F STATE OF MINNESOTA 78.948 0,038% F STATE OF MINNESOTA 241.152 0,117% F STATE OF NEW JERSEY COMMON PENSION FUND D 116.563 0,057% F STATE OF NEW MEXICO STATE INVESTMENT COUNCIL 93.124 0,045% F STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST 1.563 0,001% F FUNDS STATE OF WISCONSIN INVESTMENT BOARD 16.802 0,008% F STATE OF WYOMING 9.297 0,005% F STATE STREET CCF 990 0,000% F STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST 4.302 0,002% F STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV 57.073 0,028% F STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO 32.334 0,016% F STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO 54.037 0,026% F STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 4.522 0,002% F STATE STREET IRELAND UNIT TRUST 15.688 0,008% F STATE STREET TOTAL RETURN VIS FUND 3.190 0,002% F STATE TEACHERS RETIREMENT SYSTEM OF OHIO 28.058 0,014% F STELLAR INSURANCE, LTD. 1.391 0,001% F STEUART L. WALTON FAMILY TRUST UAD 3/19/13 2.739 0,001% F STEWARDSHIP PARA GLB 158 0,000% F STICHTING AHOLD DELHAIZE PENSIOEN 14.061 0,007% F STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL 47.701 0,023% F STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET 1.412 0,001% F BEROEPSVERVOER OVER DE WEG STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET 10.570 0,005% F LEVENSMIDDELENBEDRIJF STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK 5.817 0,003% F EN GL. STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS 10.919 0,005% F STICHTING BLUE SKY LIQUID ASSET FUNDS 18.637 0,009% F STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL 229.430 0,111% F STICHTING HEINEKEN PENSIOENFONDS 8.660 0,004% F STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD 26.243 0,013% F AANDELEN FONDS STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE 359 0,000% F |
|---|
| KANK STICHTING PENSIOENFONDS APF. 24.213 0,012% F |
| STICHTING PENSIOENFONDS HORECA AND CATERING 15.746 0,008% F |
| STICHTING PENSIOENFONDS ING 10.633 0,005% F |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN 88.980 0,043% F |
| STICHTING PENSIOENFONDS NOTARIAAT 915 0,000% F |
| STICHTING PENSIOENFONDS PGB 124.625 0,061% F |



| TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF | 45.923 | 0,022% | F |
|---|---|---|---|
| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | F |
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | F |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | F |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | F |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,097% | F |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | F |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | F |

| EQUITY INDEX MOTHER FUND | 466 | 0,000% | F |
|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY | 16.410 | 0,008% | F |
| INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL EQUITY ACTIVE FUND FOR QUALIFIED INSTITUTION |
10.232 | 0,005% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
10.408 | 0,005% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR GOVERNMENT PENSION INVESTMENT FUND 400045887 |
15.443 | 0,008% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 113.633 | 0,055% | F | |
| MTBJ400045828 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MTBJ400045829 |
219.258 | 0,107% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MTBJ400045832 | 34.619 | 0,017% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 233.264 | 0,113% | F | |
| MUTB400045792 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MUTB400045794 | 273.582 | 0,133% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MUTB400045795 | 193.020 | 0,094% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL | 4.530 | 0,002% | F | |
| PENSION FUND ASSOCIATION 400037061 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 1.672 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 8.182 | 0,004% | F | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY |
17.479 | 0,008% | F | |
| PASSIVE MOTHER FUND (ONLY FOR PENSION | 4.025 | 0,002% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | ||||
| HEDGED) (PRIVATELY PLACED INVESTMENT T | 23.472 | 0,011% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | 3.034 | 0,001% | F | |
| (JPY HEDGED) (PRIVATELY PLACED INVEST THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK |
||||
| ESG INSIGHTS EUROPE | 5.242 | 0,003% | F | |
| THE NATURE CONSERVANCY | 1 | 0,000% | F | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | F | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 61.856 | 0,030% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 119.604 | 0,058% | F | |
| THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL | 5.369 | 0,003% | F | |
| UNIVERSITY | ||||
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | F | |
| THE STATE OF NEVADA | 1.656 | 0,001% | F | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | 453 | 0,000% | F | |
| (BERMUDA) LIMITED | ||||
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 5.401 | 0,003% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,002% | F | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION MULTIPLE COLLECTIVE INVESTMENT |
308.939 | 0,150% | F | |
| THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & | 199 | 0,000% | F | |
| RICHARD WONG TTEES 535 | ||||
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE | 68.017 | 0,033% | F | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 | 1.891 | 0,001% | F | |
| THREADNEEDLE (LUX | 21.528 | 0,010% | F | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA |
124.892 | 0,061% | F | |
| THREADNEEDLE INVESTMENTS | 14.497 | 0,007% | F | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | F | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | F | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 2.018 | 0,001% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP | 157 | 0,000% | F | |
| TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND | 445.951 | 0,217% | F | |
| TIAACREF INTERNATIONAL EQUITY FUND | 1.307.128 | 0,635% | F | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 232.530 | 0,113% | F | |
| TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND | 28.282 | 0,014% | F | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 3.056 | 0,001% | F | |
| TJ-NONQUALIFIED LLC | 15.758 | 0,008% | F | |
| TJ-QUALIFIED LLC | 11.225 | 0,005% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 461 | 0,000% | F | |
| TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 1.503 | 0,001% | F | |
| TOCQUEVILLE CROISSANCE EURO IS | 270.661 | 0,132% | F | |
| TONI ACTIONS ISR 100 | 10.297 | 0,005% | F | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV |
11.041 | 0,005% | F | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 925 | 0,000% | F | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 2.638 | 0,001% | F | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 45.023 | 0,022% | F | |
| TRINITY COLLEGE CAMBRIDGE | 3.467 | 0,002% | F | |
| True Potential Investments LLP | 321.471 | 0,156% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 10 | 6.735 | 0,003% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 |
1.646 | 0,001% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 3 | 11.160 | 0,005% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
693 | 0,000% | F | |
| TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION | 36.008 | 0,017% | F | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | F | |
| TRUTH INITIATIVE FOUNDATION | 1.163 | 0,001% | F | |
| TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA ADVISERS LP ACTING AS INVESTMENT ADVISER |
377.000 | 0,183% | F | |
| TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. | 405 | 0,000% | F | |
| TWU Superannuation Fund | 1.687 | 0,001% | F | |
| U.S. GLOBAL INVESTORS FUNDS | 9.000 | 0,004% | F | |
| UBAM | 31.734 | 0,015% | F | |
| UBAM - EUROPE SMALL CAP EQUITY | 13.499 | 0,007% | F | |
| UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY | 32.954 | 0,016% | F | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 13.513 | 0,007% | F | |
| UBS (IRL) INVESTOR SELECTION PLC | 10.309 | 0,005% | F | |
| UBS (LUX) EQUITY SICAV | 103.750 | 0,050% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 47.129 | 0,023% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,042% | F | |
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE | 1.901 | 0,001% | F | |
| UBS (LUX) KEY SELECTION SICAV | 5.631 | 0,003% | F | |
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
1.641 | 0,001% | F | |
| UBS (LUX) SICAV 1 | 133 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 824 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
540 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) |
2.156 | 0,001% | F | |
| UBS (US) GROUP TRUST | 13.145 | 0,006% | F | |
| UBS AM (D) GMBH / UBS412 | 13.300 | 0,006% | F | |
| UBS ASSET MANAGEMENT LIFE LTD | 39.500 | 0,019% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUN |
9.869 | 0,005% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 24.069 | 0,012% | F | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 182.621 | 0,089% | F | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 281 | 0,000% | F | |
| UBS LUX FUND SOLUTIONS | 175.192 | 0,085% | F |
| UF 6 | 4.278 | 0,002% | F |
|---|---|---|---|
| UFF VALEUR PME | 206.481 | 0,100% | F |
| UI-E | 5.465 | 0,003% | F |
| UI-FONDS BAV RBI AKTIEN | 17.551 | 0,009% | F |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 5.970 | 0,003% | F |
| UNI-GLOBAL SICAV | 2.886 | 0,001% | F |
| UNION INVESTMENT INSTITUTIONAL GMBH | 9.708 | 0,005% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE | ||||
| REFUGEE | 1.095 | 0,001% | F | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | 50.244 | 0,024% | F | |
| MASTER TRU UNITY FUND |
20.474 | 0,010% | F | |
| UNIVERSAL INVEST SICAV | 223.368 | 0,109% | F | |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL | ||||
| FONDS | 9.009 | 0,004% | F | |
| Universal Investment GmbH | 94.420 | 0,046% | F | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG AKTIEN GLOBAL PLUS |
67.000 | 0,033% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG MULTI ASSETDEFENSIVE |
10.000 | 0,005% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK | 224.924 | 0,109% | F | |
| A1-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
19.415 | 0,009% | F | |
| A4-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS |
2.945 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE |
1.100 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO | 13.441 | 0,007% | F | |
| UNIVERSAL-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT |
5.980 | 0,003% | F | |
| EURO AKTIEN SOLVENCY UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT |
6.000 | 0,003% | F | |
| EURO AKTIEN VOLCONTROL UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US |
||||
| UNIVERSAL-FONDS | 77.354 | 0,038% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL-CA V |
2.004 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB UNIVERSAL-FONDS |
375 | 0,000% | F | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 17.328 | 0,008% | F | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO |
17.216 | 0,008% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN | 228 | 0,000% | F | |
| ENHANCE | ||||
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | F | |
| UPS GROUP TRUST | 58.308 | 0,028% | F | |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | F | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | F | |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | F | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | F | |
| VALORACTIONS | 2.500 | 0,001% | F | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.551.670 | 0,754% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 2.626 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
10.454 | 0,005% | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 467.062 | 0,227% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS | 6.838 | 0,003% | F | |
| INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
135.516 | 0,066% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
||||
| INTERNATIONAL STOCK MARKET INDEX TRUST II | 1.115.258 | 0,542% | F | |
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 420.620 | 0,204% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.269 | 0,012% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 2.598 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 165.716 | 0,081% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| VANGUARD INTERNATIONAL EXPLORER FUND | 79.023 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 77.383 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 4.268 | 0,002% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 236.750 | 0,115% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | 5.037 | 0,002% | F | |
| DEVELOPED WRLD CMMN CONT FD VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE |
||||
| DVLPD WRLD EX UK CMN CNT FD | 4.075 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD | 23.069 | 0,011% | F | |
| FTSE DEV EUR EX UK CCF | ||||
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY |
56.850 | 0,028% | F | |
| VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED | ||||
| WORLD II CCF | 5.861 | 0,003% | F | |
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED | 8.321 | 0,004% | F | |
| EUROPE II CCF VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED |
||||
| WORLD II CCF | 5.218 | 0,003% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.772.037 | 1,347% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 100.560 | 0,049% | F | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 7.768 | 0,004% | F | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | 2.992 | 0,001% | F | |
| PORTFOLIO | ||||
| VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS | 8.361 | 0,004% | F | |
| VENEZIO INVESTMENTS PTE. LTD. | 1.409.998 | 0,685% | F | |
| VERDIPAPIRFONDET DNB EUROPA | 3.947 | 0,002% | F | |
| VERDIPAPIRFONDET DNB GLOBAL INDEKS | 20.768 | 0,010% | F | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 13.855 | 0,007% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 39.762 | 0,019% | F | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 3.596 | 0,002% | F | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 838 | 0,000% | F | |
| VF (Lux) - Valiant Europe Equities | 2.369 | 0,001% | F | |
| VGV POOLFONDS PA1 | 4.722 | 0,002% | F | |
| VIA AM SICAV VIA ABSOLUTE RETURN | 9.167 | 0,004% | F | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 1.027 | 0,000% | F | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 2.873 | 0,001% | F | |
| VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX | 108.892 | 0,053% | F | |
| FUND VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND |
6.424 | 0,003% | F | |
| VILLIERS ACTIONS EUROPE SYST AGI | 36.080 | 0,018% | F | |
| VILLIERS ALTO | 11.251 | 0,005% | F | |
| VILLIERS DIAPASON | 1.980 | 0,001% | F | |
| VIRGINIA RETIREMENT SYSTEM | 881 | 0,000% | F | |
| VIRGINIA TECH FOUNDATION INC | 972 | 0,000% | F | |
| VIVACCIO ISR ACTIONS | 40.040 | 0,019% | F | |
| VONTOBEL FUND - VESCORE GLOBAL EQUITY MULTI FACTOR | 456 | 0,000% | F | |
| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | ||||
| C/O VONTOBEL FONDS SERVICES AG | 252 | 0,000% | F | |
| VONTOBEL NON US EQUITY OFFSHORE MASTER LP | 143.508 | 0,070% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | F | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND | 7.884 | 0,004% | F | |
| VWINKA SONDERVERMGEN | 8.000 | 0,004% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 145.588 | 0,071% | F | |
| WCM FOCUSED INTERNATIONAL OPPO | 8.390 | 0,004% | F | |
| WCM INTERNATIONAL LONG-TERM | 755 | 0,000% | F | |
| WCM INVESTMENT MANAGEMENT | 908 | 0,000% | F | |
| WELLINGTON COMPOUND GROWTH, L.P. | 16.777 | 0,008% | F | |
| WELLINGTON GLOBAL QUALITY GROWTH FUND (AUSTRALIA) | 125.318 | 0,061% | F | |
| WELLINGTON MASTER EMERGING ALTERNATIVES FUND CAYMAN L P C | 269 | 0,000% | F | |
| O WELLINGTON ALTERNATIVE INVESTMENTS LLC | ||||
| WELLS FARGO INTERNATIONAL GROWTH PORTFOLIO | 4.700 | 0,002% | F | |
| WEST YORKSHIRE PENSION FUND | 50.000 | 0,024% | F | |
| WHEELS COMMON INVESTMENT FUND. | 1.612 | 0,001% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| WHOLESALE INTERNATIONAL CORE EQUITIES | 316 | 0,000% | F | |
| WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED | 496 | 0,000% | F | |
| WHOLESALE UNIT TRUST MSCI GLOBAL INDEX SHARE FUND | 732 | 0,000% | F | |
| WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST | 40.400 | 0,020% | F | |
| WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND | 48.062 | 0,023% | F | |
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,039% | F | |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | F | |
| WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST - WILSHIRE MULT | 1.084 | 0,001% | F | |
| WILSHIRE MUTUAL FUNDS, INC. - WILSHIRE INTERNATIONAL EQUITY FUND |
2.615 | 0,001% | F | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 7.925 | 0,004% | F | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,048% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH | 36.694 | 0,018% | F | |
| FUND | ||||
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,006% | F | |
| WISDOMTREE ISSUER ICAV WISDOMTREE WORLD EX-US GROWTH FUND |
15.102 20.724 |
0,007% 0,010% |
F F |
|
| WORLD EQUITIES | 479 | 0,000% | F | |
| WTCN MULTIPLE COLLECTIVE INVESTMENT FUNDS TRUST II | 96.539 | 0,047% | F | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,003% | F | |
| XTRACKERS | 208.841 | 0,101% | F | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 98.205 | 0,048% | F | |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 966 | 0,000% | F | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 1.244 | 0,001% | F | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 54.610 | 0,027% | F | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 9.949 | 0,005% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 473 | 0,000% | F | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 1.376 | 0,001% | F | |
| YORKTOWN GROWTH FUND | 7.700 | 0,004% | F | |
| ZURICH ASSURANCE LTD | 263.686 | 0,128% | F | |
| ZURICH FINANCIAL SERVICES UK PENSION SCHEME. | 39.461 | 0,019% | F | |
| ZURICH INVEST ICAV | 32.795 | 0,016% | F | |
| ZURICH LIFE ASSURANCE PLC | 69.257 | 0,034% | F | |
| ZURICH VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 470 | 0,000% | F | |
| ZVK KVS FONDS | 6.000 | 0,003% | F | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 12.387 | 0,006% | C | |
| HC RENTE | 1.558 | 0,001% | C | |
| INDEP'AM | 139.100 | 0,068% | C | |
| NATIONAL ELEVATOR INDUSTRY HEALTH BENEFIT PLAN | 5.202 | 0,003% | C | |
| SIEMENS ABSOLUTE RETURN | 1.739 | 0,001% | C | |
| SIEMENS BALANCED | 3.629 | 0,002% | C | |
| SIEMENS DC BALANCED | 445 | 0,000% | C | |
| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | C | |
| SIEMENS EMU EQUITIES | 13.972 | 0,007% | C | |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,001% | C | |
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,016% | C | |
| CHALLENGE FUNDS - CHALLENGE INTERNATIONAL EQUITY FUND | 16.394 | 0,008% | A | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,035% | A | |
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,014% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| HUSSMAN STRATEGIC INTERNATIONAL FUND | 1.000 | 0,000% | A | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A | |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A | |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
Totale votanti 205.772.104 100%
NE - Non espresso
F - Favorevole
C - Contrario
A - Astenuto Lx - Lista x
NV - Non votante
Legenda

Nomina del Consiglio di Amministrazione: Determinazione della durata dell'incarico del Consiglio di Amministrazione;
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 204.866.221 | 99,55976% | 74,85535% |
| Contrario | 353.702 | 0,17189% | 0,12924% |
| Astenuto | 246.146 | 0,11962% | 0,08994% |
| Non Votante | 306.035 | 0,14873% | 0,11182% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | F | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | F | |
| 1895 FONDS FGR | 16.454 | 0,008% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | F | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | F | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | F | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABB PENSION FUND | 500 | 0,000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | 16.513 | 0,008% | F | |
| EQUITY ENHANCED INDEX FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN | 13.079 | 0,006% | F | |
| EQUITY TRACKER FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | 2.032 | 0,001% | F | |
| ENHANCED INDEX FUND | ||||
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | F | |
| ABN AMRO FUNDS | 30.141 | 0,015% | F | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | F | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | F | |
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | F | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | F | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | F | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | F | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE | 852 | 0,000% | F | |
| SERVICES LIMITED | ||||
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | F | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | F | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | F | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | F | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | F | |
| Aktien Europa - UI | 6.384 | 0,003% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | F | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,004% | F | |
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,001% | F | |
| ALGEBRIS UCITS FUNDS PLC ALGEBRIS CORE ITALY FUND | 40.000 | 0,019% | F | |
| ALGER GLOBAL FOCUS FUND | 14.053 | 0,007% | F | |
| ALICE A PROIETTI FAMILY TRUST UAD 09/27/13 | 684 | 0,000% | F | |
| ALIGHT SOLUTIONS LLC 401(K) PLAN TRUST | 3.660 | 0,002% | F |
Nomina del Consiglio di Amministrazione: Determinazione della durata dell'incarico del Consiglio di Amministrazione;

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani


| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | F |
|---|---|---|---|
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | F |
| AMUNDI ACTIONS PME | 205.868 | 0,100% | F |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,025% | F |
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,056% | F |
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | F |
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,005% | F |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,001% | F |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,011% | F |


| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | F |
|---|---|---|---|
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | F |
| ARIZONA STATE RETIREMENT SYSTEM | 55.292 | 0,027% | F |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | F |
| ARPEGE ACTIONS | 1.500 | 0,001% | F |
| ARRCO LONG TERME F | 47.791 | 0,023% | F |
| ARRCO QUANT 1 | 10.271 | 0,005% | F |
| ARRCO QUANT 2 | 17.676 | 0,009% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,025% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,033% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,014% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 59.945 | 0,029% | F | |
| ARROWSTREET US GROUP TRUST | 9.825 | 0,005% | F | |
| ARTEMIS EUROPEAN OPPORTUNITIES FUND | 46.019 | 0,022% | F | |
| ARTISAN INTERNATIONAL SMALL-MID FUND | 436.900 | 0,212% | F | |
| ARTISAN INTERNATIONAL SMALL-MID TRUST | 8.557 | 0,004% | F | |
| ARUSHA BOURKE SEPARATE PROPERTY TRUST UAD 11/16/09 | 97 | 0,000% | F | |
| ARVEST FOUNDATION | 8 | 0,000% | F | |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA | ||||
| PENSIOENSPAARFONDS | 150.000 | 0,073% | F | |
| AS INTL EQUI - AEF II NON FLIP | 11.806 | 0,006% | F | |
| ASCENSION ALPHA FUND LLC | 624 | 0,000% | F | |
| ASR LEVENSVERZEKERING N.V. | 48.293 | 0,023% | F | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,003% | F | |
| ASSOCIATED BRITISH FOODS PENSION SCHEME | 208.770 | 0,101% | F | |
| ASSURDIX | 21.462 | 0,010% | F | |
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,006% | F | |
| ATCP-UI-FONDS | 1.905 | 0,001% | F | |
| ATOUT EUROLAND CORE + | 11.106 | 0,005% | F | |
| ATRIUM HEALTH FOUNDATION | 485 | 0,000% | F | |
| AUDIENS A3 | 2.250 | 0,001% | F | |
| AURION GLOBAL EQUITY FUND | 645 | 0,000% | F | |
| AUSTRALIA POST SUPERANNUATION SCHEME | 795 | 0,000% | F | |
| AUSTRALIAN CAPITAL TERRITORY | 6.435 | 0,003% | F | |
| Australian Catholic Superannuation and Retirement Fund | 1.933 | 0,001% | F | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,057% | F | |
| AUSTRALIANSUPER | 89.403 | 0,043% | F | |
| Aviva Investors Funds ACS - AI Europe Equity Ex UK Fund | 693.293 | 0,337% | F | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | 3.020 | 0,001% | F | |
| INTERNATIONAL INDEX TRACKING FUND Aviva Investors Passive Funds ACS - AI 30:70 Global Equity (Currency |
||||
| Hedged) Index Fund | 4.609 | 0,002% | F | |
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index | ||||
| Fund | 30.843 | 0,015% | F | |
| Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index | ||||
| Fund | 8.078 | 0,004% | F | |
| Aviva Investors Passive Funds ACS - AI Continental European Equity | 44.931 | 0,022% | F | |
| Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI Developed European ex UK | 58.891 | 0,029% | F | |
| Equity Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI Developed World ex UK | 10.931 | 0,005% | F | |
| Equity Index Fund AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND I | 55 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | ||||
| ASSET CORE FUND II | 323 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | ||||
| ASSET CORE FUND III | 617 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 461 | 0,000% | F | |
| ASSET CORE FUND IV | ||||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 167 | 0,000% | F | |
| ASSET CORE FUND V | ||||
| AVIVA LIFE & PENSIONS IRELAND DAC | 6.814 | 0,003% | F | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | F | |
| AWARE SUPER | 37.693 | 0,018% | F |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,006% | F |
|---|---|---|---|
| AXA ROSENBERG EQUITY ALPHA TRUST | 1.910 | 0,001% | F |
| AZ FUND 1 AZ ALLOCATION EUROPEAN DYNAMIC | 7.800 | 0,004% | F |
| AZ FUND 1 AZ ALLOCATION GLOBAL | 1.250 | 0,001% | F |
| AZ FUND 1 AZ ALLOCATION GLOBAL INCOME | 100.000 | 0,049% | F |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 87.500 | 0,043% | F |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 2.000 | 0,001% | F |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 38.500 | 0,019% | F |


| BLACKROCK FUND MANAGERS LTD | 11.179 | 0,005% | F |
|---|---|---|---|
| BLACKROCK FUNDS I ICAV | 27.166 | 0,013% | F |
| BLACKROCK GLOBAL FUNDS | 479.224 | 0,233% | F |
| BLACKROCK GLOBAL INDEX FUNDS | 11.696 | 0,006% | F |
| BLACKROCK INDEX SELECTION FUND | 139.296 | 0,068% | F |
| BLACKROCK INSTITUTIONAL JERSEY FUNDS | 430 | 0,000% | F |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 37.571 | 0,018% | F |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | |||
| FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 1.746.749 | 0,849% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BLACKROCK INTERNATIONAL ALPHA TILTS FUND | 2.598 | 0,001% | F | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK | 2.575 | 0,001% | F | |
| VARIABLE SERIES FUNDS, INC. | ||||
| BLACKROCK LIFE LIMITED | 5.398 | 0,003% | F | |
| BLACKROCK LIFE LTD | 171.323 | 0,083% | F | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 41.254 | 0,020% | F | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | F | |
| BLACKROCK STRATEGIC FUNDS | 1.115 | 0,001% | F | |
| BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY FUND | 118 | 0,000% | F | |
| OF BLACKROCK FUNDS BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND |
||||
| LIMITED | 23.740 | 0,012% | F | |
| BLK MAGI FUND A SERIES TRUST | 45 | 0,000% | F | |
| BLOOMBERG FINANCE L.P. | 148.344 | 0,072% | F | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | F | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | 1.444 | 0,001% | F | |
| ETF | ||||
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,028% | F | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | F | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | F | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | F | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | F | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,031% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,048% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,009% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,003% | F | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,006% | F | |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 CAPPED | 100.000 | 0,049% | F | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | F | |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,005% | F | |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,008% | F | |
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,015% | F | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,012% | F | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 1.456 | 0,001% | F | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,003% | F | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | F | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | F | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,002% | F | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | 4.893 | 0,002% | F | |
| AMERICA | ||||
| BOC PENSION INVESTMENT FUND | 45.308 | 0,022% | F | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | F | |
| BP PENSION FUND | 3.370 | 0,002% | F | |
| BRIDGE BUILDER INTERNATIONAL BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED |
9.810 | 0,005% | F | |
| RISKPORTFOLIO II | 8.687 | 0,004% | F | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | 982 | 0,000% | F | |
| PORTFOLIO BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET |
||||
| PORTFOLIO | 4.233 | 0,002% | F | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | F | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | F | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR | ||||
| FIDELITY FUNDS - ITALY | 231.446 | 0,112% | F | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | F | |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | F | |
| BT INTERNATIONAL SHARES INDEX FUND | 18.884 | 0,009% | F | |
| BT PENSION SCHEME. | 123.868 | 0,060% | F | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,002% | F | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 884 | 0,000% | F | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 5.207 | 0,003% | F | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 19.498 | 0,009% | F | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,082% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | F | |
| CALCIUM QUANT | 7.645 | 0,004% | F | |
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,000% | F | |
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,044% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,005% | F | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 1.629 | 0,001% | F | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 51.459 | 0,025% | F | |
| CANADIAN BROADCASTING CORPORATION | 9.177 | 0,004% | F | |
| CANADIAN WORLD FUND LIMITED . | 22.000 | 0,011% | F | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | F | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | F | |
| CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST | 64.910 | 0,032% | F | |
| CAPITAL INTERNATIONAL FUND | 7.623 | 0,004% | F | |
| CAPITAL WORLD GROWTH AND INCOME FUND | 2.567.919 | 1,248% | F | |
| CARDIF BNPP IP SMID CAP EURO | 106.666 | 0,052% | F | |
| CARDIF BNPP IP SMID CAP EUROPE | 40.970 | 0,020% | F | |
| CARPIMKO ACTIONS LO | 110.786 | 0,054% | F | |
| CATHAY LIFE INSURANCE CO LTD | 373.015 | 0,181% | F | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 453 | 0,000% | F | |
| CAVOM DIVERSIFIE - POCHE ACT | 3.834 | 0,002% | F | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 1.019 | 0,000% | F | |
| CBIS GLOBAL FUNDS PUBLIC LTD CO | 9.236 | 0,004% | F | |
| CBP GROWTH SMC | 20.212 | 0,010% | F | |
| CC AND L Q 130/30 FUND II | 319 | 0,000% | F | |
| CC AND L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 2.628 | 0,001% | F | |
| CC AND L Q MARKET NEUTRAL FUND | 926 | 0,000% | F | |
| CC AND L Q MARKET NEUTRAL FUND II | 484 | 0,000% | F | |
| CC&L GLOBAL EQUITY FUND | 12 | 0,000% | F | |
| CC&L MULTI-STRATEGY FUND | 308 | 0,000% | F | |
| CC&L Q 130/30 FUND II | 12 | 0,000% | F | |
| CC&L Q EQUITY EXTENSION FUND | 38 | 0,000% | F | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 46 | 0,000% | F | |
| Central Bank of Ireland | 1.525 | 0,001% | F | |
| CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATIN | 12.295 | 0,006% | F | |
| ICIPATING EMPLOYERS | ||||
| CENTRAL PROVIDENT FUND BOARD | 526 | 0,000% | F | |
| CERVURITE INTERNATIONAL LLC | 10.806 | 0,005% | F | |
| CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | 3.274 | 0,002% | F | |
| CHEVRON MASTER PENSION TRUST | 77.866 | 0,038% | F | |
| CHEVRON UK PENSION PLAN. | 1.299 | 0,001% | F | |
| CHRISTIAN SUPER | 561 | 0,000% | F | |
| CHRISTOPHER J MILLERCHIP | 32 | 0,000% | F | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 942 | 0,000% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH INDEX ETF | 5.716 | 0,003% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH | 1.075 | 0,001% | F | |
| VARIABLY HEDG INDEX ETF | ||||
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | F | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | F | |
| CIBC INTERNATIONAL INDEX FUND | 12.163 | 0,006% | F | |
| CIBC POOLED INTERNATIONAL EQUITY INDEX FUND | 330 | 0,000% | F | |
| CINDY SPRINGS LLC | 14.524 | 0,007% | F | |
| CIPAV DIVERSIFIE - POCHE ACTIO | 21.685 | 0,011% | F | |
| CIT_WLDEXUS130 - NON FLIP | 5.291 | 0,003% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) EUROP | 201.667 | 0,098% | F | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) INTER | 13.123 | 0,006% | F | |
| CITITRUST LIMITED | 4.805 | 0,002% | F | |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS BLACKROCK WORLD EQUITY INDEX FUND |
1.702 | 0,001% | F | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 16.338 | 0,008% | F | |
| CITY OF MILWAUKEE EMPLOYEES RETIREMENT SYSTEM | 11.678 | 0,006% | F | |
| CITY OF NEW YORK GROUP TRUST | 368.864 | 0,179% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CITY UNIVERSITY OF NEW YORK | 281 | 0,000% | F | |
| Civil Service Employees Pension Fund | 2.500 | 0,001% | F | |
| CLASS N AHL ALPHA 2.5XL EUR TRADING LIMITED. | 9.323 | 0,005% | F | |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,004% | F | |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,009% | F | |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | F | |
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,175% | F | |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | F | |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,029% | F | |
| CM-CIC SICAV | 318.134 | 0,155% | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 1.023 | 0,000% | F | |
| CNP ASSUR SMID CAP EUROPE | 10.779 | 0,005% | F | |
| COGEFI ELIXIR ISR | 2.330 | 0,001% | F | |
| COLLEGE RETIREMENT EQUITIES FUND | 1.845.499 | 0,897% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,003% | F | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,005% | F | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE | ||||
| OPPORTUNITIES | 378.857 | 0,184% | F | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER | 652.667 | 0,317% | F | |
| COMPANIES COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP |
||||
| MORGAN CHASE BANK, N.A. | 95.326 | 0,046% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 3.826 | 0,002% | F | |
| COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC | 12.722 | 0,006% | F | |
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,002% | F | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR | 2.930 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR |
22.588 | 0,011% | F | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,001% | F | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR | ||||
| ARIA | 41.653 | 0,020% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | F | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,019% | F | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,048% | F | |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 7.304 | 0,004% | F | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | F | |
| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,012% | F | |
| CORNELL UNIVERSITY | 819 | 0,000% | F | |
| CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND | 7.380 | 0,004% | F | |
| CORONATION GLOBAL OPPORTUNITIES FUND | 10.962 | 0,005% | F | |
| COSMIC INVESTMENT FUND | 48.529 | 0,024% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | F | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES CORPORATE SERVICES LTD |
2.313 | 0,001% | F | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,027% | F | |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | F | |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | F | |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,003% | F | |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,049% | F | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,076% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH | ||||
| QUALITY GROWTH EQUITY MOT | 4.197.287 | 2,040% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND | 3.855 | 0,002% | F | |
| TECHNOLOGY AGENCY 16619-9962 CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & |
||||
| BANKING CO., LTD. AS TRUSTEE FOR INTERNATI | 23.707 | 0,012% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO | ||||
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH | 63.515 | 0,031% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT | 25.400 | 0,012% | F | |
| GLOBAL GROWTH EQUITY MOTHE CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER |
||||
| FUND II | 632 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | ||||
| MOTHER FUND(CURRENCY HEDGED) | 2.435 | 0,001% | F | |
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES | 9.878 | 0,005% | F | |
| (BVI) LIMITED CYSTIC FIBROSIS FOUNDATION |
7.321 | 0,004% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND | ||||
| L | 81 | 0,000% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | F | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | F | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | F | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | F | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | F | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | F | |
| DBI-FONDS EBB | 2.399 | 0,001% | F | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | F | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | F | |
| DEAM FONDS ZDV | 3.329 | 0,002% | F | |
| DEAM-FONDS CPT | 1.596 | 0,001% | F | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO | 6.200 | 0,003% | F | |
| FUND DEKA-MASTER HAEK I |
12.525 | 0,006% | F | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | F | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | F | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | F | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | F | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | F | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O | ||||
| KESWICK MANAGEMENT | 779 | 0,000% | F | |
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | F | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | F | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | F | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
| DPAM B | 241.864 | 0,118% | F | |
| DPAM DBI RDT | 11.907 | 0,006% | F | |
| DPAM L | 4.150 | 0,002% | F | |
| DT EQUITY | 7.407 | 0,004% | F | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | F | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | F | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | F | |
| DUPONT PENSION TRUST | 42.808 | 0,021% | F | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN | 2.079 | 0,001% | F | |
| EQUITY FUND) | ||||
| DWS GLOBAL SMALL CAP FUND DWS GLOBAL SMALL CAP VIP |
26.722 10.050 |
0,013% 0,005% |
F F |
|
| DWS INVEST | 900 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | F | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | F | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | F | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | F | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | F | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,019% | F | |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | F | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | F | |
| DYNASTY INVEST LTD | 361 | 0,000% | F | |
| EAST RIDING PENSION FUND | 117.283 | 0,057% | F | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | F | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | F | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | F | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | F | |
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP | ||||
| COMMON TR | 3.515 | 0,002% | F | |
| EBK-AKTIEN-UNIVERSAL-FONDS | 18.173 | 0,009% | F | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | F | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | F | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | F | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | F | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | F | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,009% | F | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | F | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | F | |
| EMBO-FONDS | 5.813 | 0,003% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | F | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | F | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | F | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | F | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | F | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | F | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | F | |
| EPS | 2.669 | 0,001% | F | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 | 946 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 | 1.236 | 0,001% | F | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 4.988 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
1.187 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
5.002 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
6.291 | 0,003% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED | 9.008 | 0,004% | F | |
| VOLATILITY PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY |
24.816 | 0,012% | F | |
| PORTFOLIO | ||||
| EQUIPSUPER | 16.691 | 0,008% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER |
1.952 | 0,001% | F | |
| FUND | 544.610 | 0,265% | F | |
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | F | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,005% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,084% | F | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,006% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,033% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,040% | F | |
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 7.817 | 0,004% | F | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,005% | F | |
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | F | |
| EUROPEAN CENTRAL BANK | 22.272 | 0,011% | F | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | ||||
| MASTER TRUST | 45.984 | 0,022% | F | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,068% | F | |
| EXELON FITZPATRICK QUALIFIED FUND | 872 | 0,000% | F | |
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | F | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | F | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL | 154.615 | 0,075% | F | |
| LP | ||||
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,023% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 5.627 | 0,003% | F | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | 3.442 | 0,002% | F | |
| INTERNATIONALFUND | ||||
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | F | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | F | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | F | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | F | |
| FCP BOURBON 7 | 20.180 | 0,010% | F | |
| FCP CARPIMKO EUROPE | 11.386 | 0,006% | F | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | F | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,008% | F | |
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,005% | F | |
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,003% | F | |
| FCP SODIUM I | 17.051 | 0,008% | F | |
| FDC A2 TITRES | 5.962 | 0,003% | F | |
| FDC PREMIUM TITRES VIFS ACTION FDF2 ALL IN ONE |
4.774 800 |
0,002% 0,000% |
F F |
|
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | F | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | F | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | F | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | F | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED | ||||
| POOL | 58.400 | 0,028% | F | |
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 342.300 | 0,166% | F | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | F | |
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND |
495.003 | 0,241% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL | 3.716 | 0,002% | F | |
| INDEX FUND | ||||
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND FIDELITY FOUNDERS INVESTMENT TRUST |
58.667 33.300 |
0,029% 0,016% |
F F |
|
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | F | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,033% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,022% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,012% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,040% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,007% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,008% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 0,826% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F | |
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,231% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,006% | F | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 198.038 | 0,096% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,033% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,035% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
59.913 | 0,029% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX | 24.219 | 0,012% | F | |
| FUND | ||||
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 419.702 | 0,204% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | F | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | F | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | F | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF | 12.966 | 0,006% | F | |
| BALTIMORE | ||||
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | F | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO FIRST CHURCH OF CHRIST SCIENTIST |
2.612 542 |
0,001% 0,000% |
F F |
|
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | F | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,001% | F | |
| FJARDE AP-FONDEN. | 27.645 | 0,013% | F | |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX | ||||
| FUND | 1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | 3.696 | 0,002% | F | |
| INDEX FUND | ||||
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 1.300 | 0,001% | F | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | F | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | F | |
| FLOURISH INVESTMENT CORPORATION | 366.913 | 0,178% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F | |
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES FONDITALIA |
1.002 201.000 |
0,000% 0,098% |
F F |
|
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,029% | F | |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,001% | F | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | F | |
| FONSOLBANK FP | 201 | 0,000% | F | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,002% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 503 | 0,000% | F |

| FORD PENSION UNIVERSAL 1.031 0,001% F FOREIGN STOCK INDEX MOTHER FUND 7.800 0,004% F FOREST FOUNDATION 94 0,000% F FORSTA AP - FONDEN 45.427 0,022% F FOVERUKA PENSION UNIVERSAL 6.566 0,003% F FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES 130.000 0,063% F FND FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND 9.341 0,005% F FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL 710 0,000% F FRANK RUSSEL INSTITUTIONAL FUNDS PLC 2.332 0,001% F FRANK RUSSELL INVESTMENT CO II PLC 6.218 0,003% F FRANKLIN FTSE EUROPE EX U.K. INDEX ETF 1.771 0,001% F FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF 165 0,000% F FRANKLIN LIBERTYSHARES ICAV 1.212 0,001% F FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND 99.148 0,048% F FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF 3.672 0,002% F FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF 432 0,000% F FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF 2.037 0,001% F FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY 208 0,000% F ETF FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY 864 0,000% F HEDG FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND 74 0,000% F FULCRUM UCITS SICAV 1.638 0,001% F FUNDACAO CALOUSTE GULBENKIAN 1.279 0,001% F FUNDO DE PENSOES. 1.850 0,001% F FUTURE FUND BOARD OF GUARDIANS FOR 24.261 0,012% F FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF 48.223 0,023% F FUTURE F. FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE 5.578 0,003% F MEDI G.A.-FUND-B - EQUITY BROAD EURO P 6.195 0,003% F G.A.-FUND-B - WORLD EQUITIES 2.169 0,001% F GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY 8.632 0,004% F GAM MULTISTOCK 345.315 0,168% F GAM STAR FUND PLC 552.141 0,268% F GENERAL ORGANISATION FOR SOCIAL INSURANCE 196.190 0,095% F GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA 10.222 0,005% F GENERALI INVESTMENTS SICAV 1.830 0,001% F GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS 34.000 0,017% F GENERALI ITALIA SPA 26.722 0,013% F GENERALI SMART FUNDS 15.413 0,007% F GENERALI VIE 134.803 0,066% F GERANA SICAV-SIF, S.A. 53.252 0,026% F GIC PRIVATE LIMITED 18.988 0,009% F GID-FONDS ALAET 40.240 0,020% F GID-FONDS CEAOT 68.126 0,033% F GID-FONDS DLAET 6.220 0,003% F GIN S.R.L. 11666950966 779.732 0,379% F GLG EUROPEAN LONG/SHORT FUND 6.291 0,003% F GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES 5.009 0,002% F LIMIT GLG PARTNERS LP 8.509 0,004% F GLOBAL ALPHA TILTS FUND B (ACWITILTB) 211 0,000% F GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE 650 0,000% F PORTFOLIO GLOBAL BOND FUND WAYCROSSE INC 6.277 0,003% F Global Equities Enhanced Index fund 10.439 0,005% F GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND 5.016.687 2,438% F GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) 756 0,000% F GLOBAL MULTI FACTOR EQUITY FUND 1.426 0,001% F GLOBAL OPPORTUNITY FUND I 141.617 0,069% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | F | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE | ||||
| E | 851 | 0,000% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA | 109.577 | 0,053% | F | |
| INTERNAT | ||||
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN | 5.568 | 0,003% | F | |
| SACHS AND CO | ||||
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA | 4.735 | 0,002% | F | |
| INTERNATIO GOLDMAN SACHS FUNDS |
1.024.289 | 0,498% | F | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA | ||||
| FUND | 1.919 | 0,001% | F | |
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | F | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | F | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | F | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | F | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,057% | F | |
| GR-AVENIR | 1.000 | 0,000% | F | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | F | |
| GRD 12 ACTIONS | 35.360 | 0,017% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | F | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | F | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | F | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | F | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | F | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | F | |
| HALEVY A1 | 35.923 | 0,017% | F | |
| HALEVY A2 | 36.004 | 0,017% | F | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | F | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | F | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | F | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | F | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | F | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | F | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY | 11.101 | 0,005% | F | |
| PORTFOL HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
7.356 | 0,004% | F | |
| Helium Alpha | 3.829 | 0,002% | F | |
| Henderson Eurotrust plc | 137.894 | 0,067% | F | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | F | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | F | |
| HESTA | 506.496 | 0,246% | F | |
| HI-172915-Fonds | 1.508 | 0,001% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT |
58.991 | 0,029% | F | |
| EXCHANGE | 200.034 | 0,097% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION | 4.426 | 0,002% | F | |
| GOVERNMENTEXCHANGE FUND | ||||
| HOSTPLUS POOLED SUPERANNUATION TRUST | 17.065 | 0,008% | F | |
| HRW TESTAMENTARY TRUST NO 2 | 855 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO 3. | 1.326 | 0,001% | F | |
| HRW TESTAMENTARY TRUST NO. 11. | 995 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 1.853 | 0,001% | F | |
| HRW TRUST NO 1 UAD 01/17/03. | 2.051 | 0,001% | F | |
| HRW TRUST NO 2 UAD 01/17/03. | 2.184 | 0,001% | F | |
| HRW TRUST NO 3 UAD 01/17/03. | 652 | 0,000% | F | |
| HRW TRUST NO 4 UAD 01/17/03 | 1.367 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ | 130.788 | 0,064% | F | |
| FND | ||||
| HSBC ETFS PLC | 3.185 | 0,002% | F | |
| HSBC ETF'S PLC | 348 | 0,000% | F | |
| HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS ETF |
507 | 0,000% | F | |
| HSBC ETFS PUBLIC LIMITED COMPANY | 478 | 0,000% | F | |
| HSBC EUROPEAN INDEX FUND | 100.074 | 0,049% | F | |
| HSBC Global Funds ICAV | 37.129 | 0,018% | F | |
| HSBC INDEX TRACKER INVESTMENT FUNDS ICVC | 12.285 | 0,006% | F | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 3.479 | 0,002% | F | |
| HSBC Life (International) Limited | 12.817 | 0,006% | F | |
| HSBC Managed Balanced Fund | 637 | 0,000% | F | |
| HSBC Managed Growth Fund | 1.023 | 0,000% | F | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
3.231 | 0,002% | F | |
| HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund | 17.572 | 0,009% | F | |
| HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY FUND |
10.759 | 0,005% | F | |
| HUSSMAN STRATEGIC INTERNATIONAL FUND | 1.000 | 0,000% | F | |
| HYMNOS | 13.980 | 0,007% | F | |
| IA CLARINGTON GLOBAL VALUE FUND | 2.162 | 0,001% | F | |
| IBM 401(K) PLUS PLAN TRUST | 33.731 | 0,016% | F | |
| IBM 401(K) PLUS PLAN TRUST | 7.788 | 0,004% | F | |
| IBM DIVERSIFIED GLOBAL EQUITY FUND | 3.443 | 0,002% | F | |
| IBM PERSONAL PENSION PLAN TRUST | 11.214 | 0,005% | F | |
| IBM RETIREMENT PLAN | 854 | 0,000% | F | |
| ICARE | 3.918 | 0,002% | F | |
| ICBCCS GLOBAL SELECTIVE EQUITY FUND | 11.445 | 0,006% | F | |
| IF IST - GLOBE INDEX | 7.442 | 0,004% | F | |
| IFM GLOBAL INDEXED EQUITIES FUND | 468 | 0,000% | F | |
| IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND | 225.983 | 0,110% | F | |
| II | 3.800 | 0,002% | F | |
| ILA - RAFIMF | 2.531 | 0,001% | F | |
| ILA-LA WORLD ESG SCREENED FUND | 3.306 | 0,002% | F | |
| ILLINOIS MUNICIPAL RETIREMENT FUND | 43.301 | 0,021% | F | |
| IMCO GLOBAL PUBLIC EQUITY LP | 626 | 0,000% | F | |
| IMCO GLOBAL PUBLIC EQUITY LP ACCT 17 | 16.815 | 0,008% | F | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 7.521 | 0,004% | F | |
| IN EQ ACWI EX US AETF NON FLIP | 20.864 | 0,010% | F | |
| INDEP'AM | 139.100 | 0,068% | F | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 13.804 | 0,007% | F | |
| INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES INC ING DIRECT SICAV |
16.583 11.919 |
0,008% 0,006% |
F F |
|
| INKA PBEAKK | 2.090 | 0,001% | F | |
| INSTITUTIONAL RETIREMENT TRUST | 9.092 | 0,004% | F | |
| INSTITUTIONELLA AKTIEFONDEN VARLDEN | 31.285 | 0,015% | F | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND | 25.561 | 0,012% | F | |
| EQUITIES INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS |
403.672 | 0,196% | F | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | F | |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS | 18.885 | 0,009% | F | |
| FUN INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND |
44.059 | 0,021% | F | |
| INTERFUND SICAV | 15.000 | 0,007% | F | |
| INTERNATIONAL ALPHA TILTS FUND B (INTLTB) | 1.149 | 0,001% | F | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | F | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | F | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | F | |
| INTERNATIONAL EQUITY FUND LLC | 1.343 | 0,001% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | F | |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | F | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 789 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND | 12.591 | 0,006% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS | ||||
| INVESTMENT ACCOUNT | 214 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 828 | 0,000% | F | |
| INTERNATIONAL OPPORTUNITY FUND I | 66.547 | 0,032% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND | 3.936 | 0,002% | F | |
| (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | ||||
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | F | |
| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT PORTFO |
1.363 | 0,001% | F | |
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | F | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | F | |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | F | |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | F | |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | F | |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | F | |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | F | |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | F | |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | F | |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | F | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | F | |
| INVESCO FUNDS | 1.680 | 0,001% | F | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | F | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | F | |
| INVESCO MARKETS III PLC | 41 | 0,000% | F | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | F | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | F | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,002% | F | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER AKK KL |
1.741 | 0,001% | F | |
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE | 1.947 | 0,001% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER - ETISK TILVALG |
3.898 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,002% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
1.225 | 0,001% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL |
6.696 | 0,003% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 4.232 | 0,002% | F | |
| INVESTITORI EUROPA | 3.300 | 0,002% | F | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | F | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | F | |
| IP ACTIONS EURO | 3.877 | 0,002% | F | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE | ||||
| STRATEGY NO.1 | 469 | 0,000% | F | |
| IPROFILE INTERNATIONAL EQUITY PRIVATE POOL | 6.337 | 0,003% | F | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,002% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 3.453 | 0,002% | F |

| IQ HEALTHY HEARTS ETF | 559 | 0,000% | F |
|---|---|---|---|
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,009% | F |
| IRISH LIFE ASSURANCE PLC | 94.732 | 0,046% | F |
| IRISH LIFE ASSURANCE. | 22.012 | 0,011% | F |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | F |
| ISHARES CORE MSCI EAFE ETF | 1.100.037 | 0,535% | F |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 48.266 | 0,023% | F |
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,044% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,036% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS ETF |
214.092 | 0,104% | F | |
| DE | 17.245 | 0,008% | F | |
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF | 22.359 | 0,011% | F | |
| ISHARES EDGE MSCI INTL QUALITY FACTOR ETF | 143.992 | 0,070% | F | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,005% | F | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 1.618 | 0,001% | F | |
| ISHARES EURO STOXX UCITS ETF (DE) | 88.412 | 0,043% | F | |
| ISHARES EUROPE ETF | 40.489 | 0,020% | F | |
| ISHARES GLOBAL CONSUMER DISCRETIONARY ETF | 12.789 | 0,006% | F | |
| ISHARES II PUBLIC LIMITED COMPANY | 91.277 | 0,044% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,122% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,153% | F | |
| ISHARES MSCI ACWI ETF | 42.539 | 0,021% | F | |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,018% | F | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,003% | F | |
| ISHARES MSCI EAFE ETF | 676.406 | 0,329% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,124% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,052% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 4.787 | 0,002% | F | |
| ISHARES MSCI EUROZONE ETF | 243.059 | 0,118% | F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 267 | 0,000% | F | |
| ISHARES MSCI ITALY ETF | 219.619 | 0,107% | F | |
| ISHARES MSCI KOKUSAI ETF | 615 | 0,000% | F | |
| ISHARES MSCI WORLD ETF | 7.193 | 0,003% | F | |
| ISHARES PUBLIC LIMITED COMPANY | 182.059 | 0,088% | F | |
| ISHARES STOXX EUROPE 600 PERSONALHOUSEHOLD GOODS UCITS ETF | ||||
| DE | 24.310 | 0,012% | F | |
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 141.793 | 0,069% | F | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 52.632 | 0,026% | F | |
| ISHARES V PUBLIC LIMITED COMPANY | 39.924 | 0,019% | F | |
| ISHARES VI PUBLIC LIMITED COMPANY | 72.641 | 0,035% | F | |
| ISHARES VII PLC | 192.179 | 0,093% | F | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 18.950 | 0,009% | F | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 1.497 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 2.211 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND ESG EQUITY INDEX FUND (CH) | 4.360 | 0,002% | F | |
| Islamic Development Bank | 913 | 0,000% | F | |
| IVY PROSHARES MSCI ACWI INDEX FUND | 166 | 0,000% | F | |
| JAMES B. HAWKES | 997 | 0,000% | F | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | F | |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 287 | 0,000% | F | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND |
1.501 | 0,001% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES | ||||
| LLC | 97 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 | 0,000% | F | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,014% | F | |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND | 333 | 0,000% | F | |
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 1.189 | 0,001% | F | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 476 | 0,000% | F | |
| JNL/MELLON MSCI WORLD INDEX FUND | 1.306 | 0,001% | F | |
| JNL/TROWE PRICE BALANCED FUND JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY |
8.869 | 0,004% | F | |
| ALLOCATION FUND | 12.252 | 0,006% | F | |
| JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND | 36.431 | 0,018% | F | |
| JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. | 2.383.446 | 1,158% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 474 | 0,000% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,005% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,006% | F | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,000% | F | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY | 7.601 | 0,004% | F | |
| INDEX TRUST. | ||||
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST |
33.254 | 0,016% | F | |
| JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN | 57.962 | 0,028% | F | |
| JPMORGAN ACCESS BALANCED FUND | 514 | 0,000% | F | |
| JPMORGAN ACCESS GROWTH FUND | 670 | 0,000% | F | |
| JPMORGAN BETABUILDERS EUROPE ETF | 221.051 | 0,107% | F | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 39.332 | 0,019% | F | |
| JPMORGAN GLOBAL ALLOCATION FUND | 1.489 | 0,001% | F | |
| JTW TRUST NO. 1 UAD 9/19/02. | 696 | 0,000% | F | |
| JTW TRUST NO. 2 UAD 9/19/02. | 1.167 | 0,001% | F | |
| JTW TRUST NO. 3 UAD 9/19/02. | 1.188 | 0,001% | F | |
| JTW TRUST NO. 4 UAD 9/19/02. | 1.385 | 0,001% | F | |
| JTW TRUST NO. 5 UAD 9/19/02. | 732 | 0,000% | F | |
| K INVESTMENTS SH LIMITED. | 19.004 | 0,009% | F | |
| KAIROS INTERNATIONAL SICAV ITALIA | 74.000 | 0,036% | F | |
| KAIROS INTERNATIONAL SICAV ITALIA PIR | 5.000 | 0,002% | F | |
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | F | |
| KAISER FOUNDATION HOSPITALS | 6.067 | 0,003% | F | |
| KAISER PERMANENTE GROUP TRUST | 9.965 | 0,005% | F | |
| KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING | ||||
| DANICA LINK - INDEKS GLOBALE AKTIER | 1.623 | 0,001% | F | |
| KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 13.054 | 0,006% | F | |
| KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE | ||||
| INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 7.928 | 0,004% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 2 GLOBALE AKTIER 2 | 29.386 | 0,014% | F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 11.644 | 0,006% | F | |
| KAPITALFORENINGEN SPARINVEST VERDENS INDEKS ETISK | 2.728 | 0,001% | F | |
| KIEGER UCITS FUND | 14.982 | 0,007% | F | |
| KINSTED GLOBAL EQUITY POOL | 59.251 | 0,029% | F | |
| Kiwi Investment Management Screened Global Equity Index Fund | 517 | 0,000% | F | |
| KNOWLEDGE LEADERS DEVELOPED WO | 13.578 | 0,007% | F | |
| KOKUSAI EQUITY INDEX FUND | 6.832 | 0,003% | F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL | ||||
| EQUITY MASTER INVESTMENT TRUST 3 | 145.559 | 0,071% | F | |
| KUTXABANK GESTION SGIIC, S.A. | 210.135 | 0,102% | F | |
| LABORFONDS - FONDO PENSIONE COMPLEMENTARE LAVORATORI | 18.222 | 0,009% | F | |
| DIPENDENTIOPERANTI IN TRENT | ||||
| LACM GLOBAL EQUITY FUND LP | 6.195 | 0,003% | F | |
| LACM WORLD EQUITY - DIVIDEND GROWTH CIT | 5 | 0,000% | F | |
| LACM WORLD EQUITY - WEALTH BUILDER CIT | 13 | 0,000% | F | |
| LATVIJAS BANKA | 2.798 | 0,001% | F | |
| LAUDUS INTERNATIONAL MARKETMASTERS FUND | 4.685 | 0,002% | F | |
| Law Debenture Corporation PLC(The) | 38.874 | 0,019% | F | |
| LBPAM DIVERSIFIE FOCUS OBLIG 3 5 | 2.627 | 0,001% | F | |
| LBPAM IRC ACTIONS ISR | 23.836 | 0,012% | F | |
| LBPAM ISR ACTIONS 80 | 7.852 | 0,004% | F | |
| LBPAM ISR ACTIONS EUR FO EMER | 49.441 | 0,024% | F | |
| LBPAM ISR ACTIONS EURO LARGE CAP | 9.660 | 0,005% | F | |
| LBPAM ISR ACTIONS EUROPE MONDE | 6.465 | 0,003% | F | |
| LBPAM ISR ACTIONS MONDE | 21.030 | 0,010% | F |
| LBPAM ISR AVENIR EURO | 782 | 0,000% | F | |
|---|---|---|---|---|
| LBPAM ISR STRATEGIE PEA 1 | 1.405 | 0,001% | F | |
| LBPAM ISR STRATEGIE PEA 2 | 2.024 | 0,001% | F | |
| LCL ACTIONS EURO CORE+ | 7.185 | 0,003% | F | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 4.476 | 0,002% | F | |
| LCL ACTIONS MONDE HORS EUROPE EURO | 16.975 | 0,008% | F | |
| LEFEVI S.R.L. | 11656180962 | 711.507 | 0,346% | F |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,005% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | F | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY | 71.955 | 0,035% | F | |
| FOC LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES FUND |
19.163 | 0,009% | F | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 82 | 0,000% | F | |
| LEGAL & GENERAL REAL CAPITAL BUILDER FUND | 29.340 | 0,014% | F | |
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED |
197.353 | 0,096% | F | |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | F | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | F | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,018% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,057% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | F | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | F | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | F | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | F | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE EUROPEA |
196.807 | 0,096% | F | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE GLOBAL EQUITY INCOME FUND |
40.520 | 0,020% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE EUROPEAN UNCONSTRAINED FUND |
284.585 | 0,138% | F | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE GLOBAL RAINED FUND |
110.445 | 0,054% | F | |
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS UMBRELLA |
267.025 | 0,130% | F | |
| LGIASUPER | 10.474 | 0,005% | F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,016% | F | |
| LGT SELECT FUNDS | 375 | 0,000% | F | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,004% | F | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | F | |
| LIONTRUST INVESTMENT FUNDS I | 70.000 | 0,034% | F | |
| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,007% | F | |
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | F | |
| LO Funds - All Roads | 9.683 | 0,005% | F | |
| LO Funds - All Roads Conservative | 655 | 0,000% | F | |
| LO Funds - All Roads Growth | 3.757 | 0,002% | F | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,029% | F | |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS MASTER TR |
42.392 | 0,021% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.855 | 0,044% | F | |
| LOF TargetNetZero Europe Equity | 1.005 | 0,000% | F | |
| LOF WORLD BRANDS | 173.000 | 0,084% | F | |
| LOIS (CH) GLOBAL EQUITIES TRACKER+ ESG | 303 | 0,000% | F | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 7.148 | 0,003% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 188 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 19.238 | 0,009% | F | |
| LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 6.985 | 0,003% | F | |
| LTW INVESTMENTS LLC | 13.669 | 0,007% | F | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 4.986 | 0,002% | F | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 35.950 | 0,017% | F | |
| LVUI EQUITY EUROPE LVUI EQUITY WORLD EX EUROPE |
15.960 1.500 |
0,008% 0,001% |
F F |
|
| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,015% | F | |
| LYX IND FD-LYXOR CORE STOXX EU | 96.735 | 0,047% | F | |
| LYX INV FDS - GARI EUROPEAN EQ | 35.026 | 0,017% | F | |
| LYXINDX FUND - LYXOR MSCI EMU | 5.605 | 0,003% | F | |
| LYXOR CORE MSCI WORLD (DR) UCI | 6.748 | 0,003% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LYXOR FTSE MIB UCITS ETF | 281.217 | 0,137% | F | |
| LYXOR MSCI EUROPE UCITS ETF | 17.943 | 0,009% | F | |
| M & G Securities Limited | 5.213 | 0,003% | F | |
| M INTERNATIONAL EQUITY FUND | 1.242 | 0,001% | F | |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK INDEX | ||||
| Fund | 34.007 | 0,017% | F | |
| MACKENZIE EUROPEAN SMALL-MIDCAPFUND | 36.813 | 0,018% | F | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 3.958 | 0,002% | F | |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.410 | 0,002% | F | |
| MACQUARIE MULTI-FACTOR FUND | 1.315 | 0,001% | F | |
| MAIN I - UNIVERSAL - FONDS | 32.574 | 0,016% | F | |
| MAIN VI-UNIVERSAL-FONDS | 461 | 0,000% | F | |
| MAN AHL DIVERSIFIED MARKETS EU BEUR- WORLD TRADE CENTER | 126 | 0,000% | F | |
| MAN DESERTWOOD FUND LIMITED C/O CITCO TRUSTEES (CAYMAN | 18.728 | 0,009% | F | |
| LIMITED) MAN FUNDS PLC MAN GLG PAN EUROPEAN EQUITY GROWTH |
260.406 | 0,127% | F | |
| MAN FUNDS PLC MAN GLG RI GLOBAL SUSTAINABLE GROWTH | 93.065 | 0,045% | F | |
| MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | 6.810 | 0,003% | F | |
| MAN FUNDS PLC MAN NUMERIC RI GLOBAL EQUITY | 3.140 | 0,002% | F | |
| MAN FUNDS VI PLC | 3.997 | 0,002% | F | |
| MAN FUNDS VIII ICAV-MAN AHL DIVERSIFIED. | 1.280 | 0,001% | F | |
| MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES | ||||
| (CAYMAN) LIMITED | 3.905 | 0,002% | F | |
| MAN FUNDS XII SPC-MAN 1783 III SP | 25 | 0,000% | F | |
| MAN GLG CONTINENTAL EUROPEAN GROWTH FUND | 1.269.306 | 0,617% | F | |
| MAN GLG EUROPEAN EQUITY ALTERNATIVE | 29.560 | 0,014% | F | |
| MAN INSIGHT LIMITED | 91 | 0,000% | F | |
| MAN INTERNATIONAL ICVC MAN DYNAMIC ALLOCATION FUND | 961 | 0,000% | F | |
| MAN MULTI-STRATEGY MASTER FUND MAPLES CORPORATE SERVICES | ||||
| LIMITES | 8.728 | 0,004% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA QUALITY | 102 | 0,000% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 4.390 | 0,002% | F | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC DIVERSIFIED RISK P REMIA PROGRESSIVE |
1.444 | 0,001% | F | |
| MAN NUMERIC EXPLORER MAPLES CORPORATE SERVICES LIMITED | 50 | 0,000% | F | |
| MAN NUMERIC INTERNATIONAL ALPHA (US) LP MAN NUMERIC LONG TERM ALPHA LP MAPLES CORPORATE SERVICES |
3.050 | 0,001% | F | |
| LIMITED | 2.570 | 0,001% | F | |
| MANAGED INVESTMENT FUNDS ICVCINTERNATIONAL EQUITY TRACKER | 738 | 0,000% | F | |
| FUND | ||||
| MANAGED PENSION FUNDS LIMITED | 107.922 | 0,052% | F | |
| MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 4.415 | 0,002% | F | |
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,005% | F | |
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,093% | F | |
| MANULIFE INVESTMENT MANAGEMENT I PLC MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX |
27.279 | 0,013% | F | |
| POOLED FUND | 7.719 | 0,004% | F | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 11.035 | 0,005% | F | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,000% | F | |
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,000% | F | |
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR | ||||
| PARTICIPANT DIRECTED ACCOUNTS | 39.739 | 0,019% | F | |
| MARS S.R.L. | 11666960965 | 779.732 | 0,379% | F |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O MARSHALL WACE IRELAND LTD |
1.802.175 | 0,876% | F | |
| MARTIN CURRIE GLOBAL LONG-TERM UNCONSTRAINED FUND | 8.750 | 0,004% | F | |
| MARTIN CURRIE GLOBAL PORTFOLIO TRUST PLC | 303.129 | 0,147% | F | |
| MARTIN CURRIE INTERNATIONAL UNCONSTRAINED EQUITY FUND | 29.721 | 0,014% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 17.987 | 0,009% | F | |
| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | F | |
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,020% | F | |
| MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN | ||||
| AIRLINES, INC, US AIRW | 12.444 | 0,006% | F | |
| MASTERS I LLC | 879 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | F | |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,001% | F | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | F | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 10.519 | 0,005% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 380.000 | 0,185% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,058% | F | |
| MELCHIOR EURO OPP | 176.178 | 0,086% | F | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | F | |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,002% | F | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | F | |
| MERCER QIF CCF | 57.661 | 0,028% | F | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | F | |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | F | |
| MERCY INVESTMENT SERVICES INC | 951 | 0,000% | F | |
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | F | |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,005% | F | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,013% | F | |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,015% | F | |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | F | |
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,013% | F | |
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | F | |
| MGI FUNDS PLC | 11.427 | 0,006% | F | |
| MI - FONDS K12 | 11.854 | 0,006% | F | |
| MI - FONDS K14 | 36.000 | 0,017% | F | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | ||||
| REEVES TTEE PO BOX | 281 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | F | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | F | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | F | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 760 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 50 | 730 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 510 | 0,000% | F | |
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | F | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | F | |
| MLC INVESTMENTS, MLC LIMITED | 18.086 | 0,009% | F | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | F | |
| MML STRATEGIC EMERGING MARKETS FUND | 595 | 0,000% | F | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | F | |
| MONCEAU ACTIONS EEE | 16.990 | 0,008% | F | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,014% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,186% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 54.012 | 0,026% | F | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,170% | F | |
| MORAINE MASTER FUND LP CO FALCON EDGE CAPITAL, LP | 421.022 | 0,205% | F | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | F | |
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,377% | F | |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO | 4.361.926 | 2,120% | F | |
| MORG ST INTERNATIONAL EQUITY PORTFOLIO | 667.639 | 0,324% | F | |
| MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO | 1.942.734 | 0,944% | F | |
| MORGAN STANLEY EUROPE OPPORTUNITY FUND INC | 264.491 | 0,129% | F | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO |
975 | 0,000% | F | |
| MORGAN STANLEY INVESTMENT FUNDS | 32.761 | 0,016% | F | |
| MORGAN STANLEY PATHWAY FUNDS | 4.198 | 0,002% | F | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL | ||||
| STRATEGI ST PORTFOLIO | 189 | 0,000% | F | |
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 1.804 | 0,001% | F | |
| MOTHER CABRINI HEALTH FOUNDATION, INC. | 2.713 | 0,001% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,005% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | F | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,045% | F | |
| MTAA SUPERANNUATION FUND | 35.090 | 0,017% | F | |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND |
23.490 14.900 |
0,011% 0,007% |
F F |
|
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 45.755 | 0,022% | F | |
| MUGUET VENTURES LLC | 250 | 0,000% | F | |
| MUL- LYX FTSE IT ALL CAP PIR | 4.088 | 0,002% | F | |
| MUL-LYX NET ZERO 2050 SP | 7.035 | 0,003% | F | |
| MUL-LYX NET ZERO 50 | 223.303 | 0,109% | F | |
| MUL-LYXOR MSCI EMU ESG LEADERS | 2.751 | 0,001% | F | |
| MUL-LYXOR MSCI WORLD CLIMATE | 866 | 0,000% | F | |
| MUL-LYXOR MSCI WORLD ESG LEADE | 4.911 | 0,002% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,026% | F | |
| MULTI UNITS LUX-LYXOR CORE MSC | 13.880 | 0,007% | F | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | F | |
| MUNICIPAL EMPLOYEES PENSION PLAN | 72.164 | 0,035% | F | |
| MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM | 7.531 | 0,004% | F | |
| MUSASHI SMART PREMIA FUND | 6.244 | 0,003% | F | |
| NATIONAL BANK FINANCIAL INC | 594 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 4.114 | 0,002% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 53.403 | 0,026% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND. | 110.744 | 0,054% | F | |
| NATIONAL PENSION INSURANCE FUND | 3.400 | 0,002% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 70.569 | 0,034% | F | |
| NATIONAL TREASURY MANAGEMENT AGCY | 1.457 | 0,001% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 15.524 | 0,008% | F | |
| NATIXIS INTERNATIONAL FUNDS (LUX) I | 92.122 | 0,045% | F | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 321.625 | 0,156% | F | |
| NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT | 271.608 | 0,132% | F | |
| TRUST NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF |
154.869 | 0,075% | F | |
| ST. JAMES'S PLACE NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF |
||||
| ST. JAMES'S PLACE | 6.350 | 0,003% | F | |
| NAV CANADA PENSION PLAN | 2.980 | 0,001% | F | |
| NAVIGERA AKTIE 2 | 273.738 | 0,133% | F | |
| NBIMC EAFE EQUITY INDEX FUND. | 5.642 | 0,003% | F | |
| NCB CAPITAL COMPANY | 7.104 | 0,003% | F | |
| NEF EURO EQUITY | 159.607 | 0,078% | F | |
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | F | |
| NEMOURS FOUNDATION NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT |
184 | 0,000% | F | |
| GENERATION CONNECTED CONSUMER | 2.907 | 0,001% | F | |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F | |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | F | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | F | |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 714 | 0,000% | F | |
| NEW YORK STATE COMMON RETIREMENT FUND | 3.613 | 0,002% | F | |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | F | |
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 10.081 | 0,005% | F | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 103.513 | 0,050% | F | |
| NEW ZEALAND SUPERANNUATION FUND. | 40.791 | 0,020% | F | |
| NEWBURG NOMINEES LIMITED INVESTORSWHOLESALE GLOBAL EQUITY (INDEX) TRUST |
15.678 | 0,008% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC NON QUALIFIED | 179 | 0,000% | F | |
| DECOMMISSIONI NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED |
||||
| DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR | 32 | 0,000% | F | |
| POW NFS LIMITED |
12.960 | 0,006% | F | |
| NGS SUPER | 279.139 | 0,136% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 1.400 | 0,001% | F | |
| NINETY ONE GLOBAL STRATEGY FUND NINETY ONE PROFESSIONAL INVESTMENT FUNDS PCC LIMITED - |
212.168 | 0,103% | F | |
| GLOBAL BALANCED (SA) FUND | 274.576 | 0,133% | F | |
| NISSAN NORTH AMERICA INC. EMPLOYEE RETIREMENT PLAN MASTER | ||||
| TRUST | 35.126 | 0,017% | F | |
| NN (L) SICAV | 6.599 | 0,003% | F | |
| NORDEA 1 SICAV | 8.120 | 0,004% | F | |
| NORDEA 2 SICAV | 47.185 | 0,023% | F | |
| NORDEA DONATIONSMEDELSFOND | 1.620 | 0,001% | F | |
| NORDEA EUROPEAN PASSIVE FUND | 3.431 | 0,002% | F | |
| NORDEA GENERATIONSFOND 50-TAL | 2.188 | 0,001% | F | |
| NORDEA GENERATIONSFOND 60-TAL | 35.983 | 0,017% | F | |
| NORDEA GENERATIONSFOND 70-TAL | 44.137 | 0,021% | F | |
| NORDEA GENERATIONSFOND 80-TAL | 23.147 | 0,011% | F | |
| NORDEA GENERATIONSFOND 90-TAL | 3.153 | 0,002% | F | |
| NORDEA GLOBAL PASSIVE FUND | 9.663 | 0,005% | F | |
| NORGES BANK | 49.639 | 0,024% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 60.221 | 0,029% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 438.128 | 0,213% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 119.059 | 0,058% | F | |
| NORTHERN TRUST UCITS FGR FUND | 30.088 | 0,015% | F | |
| NOTTINGHAMSHIRE COUNTY COUNCIL PENSION FUND | 61.481 | 0,030% | F | |
| NPF TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL | 189 | 0,000% | F | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 657 | 0,000% | F | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 594 | 0,000% | F | |
| NSP MONTICELLO MINNESOTA RETAIL | 1.267 | 0,001% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND NTGI - QM COMMON DAILY ALL COUNTRY WORLD EX-US EQUITY |
168 | 0,000% | F | |
| INDEX | 9.906 | 0,005% | F | |
| NTGI-QM COMMON DAILY ALL COUNTRY WORLD EX-US INVESTABLE | ||||
| MARKET INDEX FUND - NON LENDING | 7.437 | 0,004% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - LENDING | 10.139 | 0,005% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - NON LENDING | 30.497 | 0,015% | F | |
| NUVEEN MULTI-ASSET INCOME FUND | 22.808 | 0,011% | F | |
| NVIT INTERNATIONAL INDEX FUND | 23.688 | 0,012% | F | |
| ODDO APOLLINE DIVERSIFIE POCHE EQU EUR | 22.441 | 0,011% | F | |
| ODDO BHF ALGO TREND EUROZONE | 1.312 | 0,001% | F | |
| ODDO BHF GENERATION | 119.271 | 0,058% | F | |
| OFFSHORE INTERNATIONAL EQUITY FUND | 55.477 | 0,027% | F | |
| OFI RS ALPHA SECTOR | 601 | 0,000% | F | |
| OFP DUPONT EUROPEAN PENSION FUND | 13.027 | 0,006% | F | |
| OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED RETURNS | ||||
| FUND | 101 | 0,000% | F | |
| ONCOR RETIREMENT PLAN TRUST | 5.254 | 0,003% | F | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 19.601 | 0,010% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | F | |
| OPTIMUM GESTION DE PLACEMENTS INC | 5.630 | 0,003% | F | |
| ORANO DIVERSIFIE EQUILIBRE | 4.412 | 0,002% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 22.106 | 0,011% | F | |
| OSMOSIS UCITS CCF | 3.495 | 0,002% | F | |
| OVERSEAS GROWTH INVESTMENT FUNDS ICVC EUROPEAN GROWTH | ||||
| FUND | 11.312 | 0,005% | F | |
| PACE INTERNATIONAL EQUITY INVESTMENTS | 25.460 | 0,012% | F | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | F | |
| PACIFIC SELECT FUND EMERGING MARKETS PORTFOLIO | 8.791 | 0,004% | F | |
| PALATINE ENTREPRISES FAMILIALES ISR | 27.100 | 0,013% | F | |
| PALATINE FRANCE MIDCAP FCP | 19.000 | 0,009% | F | |
| PANAGORA ASSET MANAGEMENT INC. - DYNAMIC INTERNATIONAL | ||||
| EQUI | 64 | 0,000% | F | |
| PANAGORA GROUP TRUST | 1.758 | 0,001% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER | 428 | 0,000% | F | |
| FUND | ||||
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | F | |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,065% | F | |
| PEOPLE'S BANK OF CHINA | 190.071 | 0,092% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PERVALOR - ACTIONS | 1.150 | 0,001% | F | |
| PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 787 | 0,000% | F | |
| PF EMERGING MARKETS FUND | 962 | 0,000% | F | |
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,004% | F | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 370 | 0,000% | F | |
| PICTON MAHONEY LONG SHORT EQUITY FUND C/O PICTON | 2.500 | 0,001% | F | |
| MAHONEY ASSET MANAGEMENT ACTING AS MANAGER PICTON MAHONEY MARKET NEUTRAL EQUITY FUND C/O PICTON |
||||
| MAHONEY ASSET MANAGEMENT ACTING AS FUND MANAGER | 3.000 | 0,001% | F | |
| PINEBRIDGE FUND SERIES - PINEBRIDGEEUROPE EQUITY FUND | 15.958 | 0,008% | F | |
| PINEBRIDGE GLOBAL FUNDS | 7.685 | 0,004% | F | |
| PIONEER FLEXIBLE OPPORTUNITIES FUND | 22.516 | 0,011% | F | |
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| PMPT INKA FONDS | 11.831 | 0,006% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | F | |
| POINT72 ASSOCIATES LLC C/O POINT72 ASSET MANAGEMENT L.P. | 39.650 | 0,019% | F | |
| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | F | |
| POOL REINSURANCE CO LTD | 544 | 0,000% | F | |
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,004% | F | |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,003% | F | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,004% | F | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | F | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | F | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | F | |
| PRESCIENT ICAV. | 11.412 | 0,006% | F | |
| PRIME SUPER PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL |
3.439 | 0,002% | F | |
| ADAPTIVE MULTI-FACTOR ET | 395 | 0,000% | F | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | F | |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | F | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | F | |
| PRIVILEDGE | 30.000 | 0,015% | F | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | F | |
| PRUDENTIAL BANK AND TRUST FSB | 19.691 | 0,010% | F | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | 1.957 | 0,001% | F | |
| INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON |
||||
| NEXTGENERATION GLOBAL OPPORTUNITIES FUND | 3.943 | 0,002% | F | |
| Prudential Pensions Limited | 3.218 | 0,002% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,005% | F | |
| PUBLIC EMPLOYEES' LONG TERM CARE FUND | 421.861 | 0,205% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 102.695 | 0,050% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM 0F OHIO | 112.761 | 0,055% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,050% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO PUBLIC SCHOOL TEACHERS PENSION & RETIREMENT FUND OF |
25.744 | 0,013% | F | |
| CHICAGO | 217.925 | 0,106% | F | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO |
31.178 | 0,015% | F | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 101.900 | 0,050% | F | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK | 146.256 | 0,071% | F | |
| Fund PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND |
9.878 | 0,005% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | F | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | F | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,003% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,006% | F | |
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES | ||||
| PORTFOLIO | 1.572 | 0,001% | F | |
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION | 741 | 0,000% | F | |
| FUND | ||||
| QS INVESTORS INTERNATIONAL EQUITY DBI CIT | 264 | 0,000% | F | |
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | F | |
| QUADRATOR SRI | 111.000 | 0,054% | F | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | F | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | F | |
| QUALITY EDUCATION FUND | 385 | 0,000% | F | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | F | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | F | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | F | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | F | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | F | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | F | |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST |
3.584 | 0,002% | F | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | F | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | F | |
| RDM LIQUID LLC | 9.080 | 0,004% | F | |
| ReAssure Limited | 9.407 | 0,005% | F | |
| REGARD ACT CROISSAN | 5.000 | 0,002% | F | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | F | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | F | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | F | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | F | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | F | |
| ROPS EURO P | 18.805 | 0,009% | F | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,015% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | F | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B (REMGEOB) |
2.713 | 0,001% | F | |
| RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED | 48.011 | 0,023% | F | |
| MARKETS FUND RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY |
||||
| FUND | 20.563 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND |
7.848 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL | ||||
| EQUITY FUND | 69.531 | 0,034% | F | |
| RUSSELL INVESTMENT COMPANY V PLC | 32.028 | 0,016% | F |

| SEB ACTIVE 55 | 653 | 0,000% | F |
|---|---|---|---|
| SEB ACTIVE 80 | 446 | 0,000% | F |
| SEI GLOBAL MASTER FUND PLC | 2.321 | 0,001% | F |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
1.664 | 0,001% | F |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 127 | 0,000% | F |
| SEMPRA ENERGY PENSION MASTER TRUST | 3.701 | 0,002% | F |
| SENTINEL INTERNATIONAL TRUST | 1.212 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SG ACTIONS EURO | 6.991 | 0,003% | F | |
| SG ACTIONS FRANCE LARGECAP | 1.345 | 0,001% | F | |
| SG ACTIONS LUXE | 135.089 | 0,066% | F | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | F | |
| SG DIVERSIFIE FRANCE | 2.204 | 0,001% | F | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | F | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | F | |
| SHELL NEDERLAND PENSIOENFONDS STICHTING | 538 | 0,000% | F | |
| SHELL PENSION TRUST | 4.014 | 0,002% | F | |
| SHELL PENSIONS TRUST LIMITED AS TRUSTEE OF SHELL CONTRIBUTORY | ||||
| PENSION FUND | 16.585 | 0,008% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | ||||
| INTERNATIONAL PENSION FUND | 5.913 | 0,003% | F | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 25.959 | 0,013% | F | |
| CONTRIBUTORY PENSION FUND | ||||
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | F | |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | F | |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 255.356 | 0,124% | F | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL | 179.400 | 0,087% | F | |
| UNCONSTRAINED FUND SKL INVESTMENT GROUP LLC 121 SOUTH |
2.793 | 0,001% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| SOGECAP ACTIONS | 110.578 | 0,054% | F | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | F | |
| SOLIDARITES | 1.917 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | F | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | F | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | F | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | F | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | F | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | F | |
| SPP EUROPA PLUS | 463 | 0,000% | F | |
| SPP GENERATION 50-TAL | 142 | 0,000% | F | |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | F | |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | F | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | F | |
| SPRING 625 | 2.946 | 0,001% | F | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST | 5.388 | 0,003% | F | |
| FUND | ||||
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST | 7.976 | 0,004% | F | |
| FUND | ||||
| SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 170.925 | 0,083% | F | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,016% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,389% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,014% | F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 28.109 | 0,014% | F | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | F | |
| STAR PASTEUR | 7.107 | 0,003% | F | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,030% | F | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,014% | F | |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | F | |
| STATE OF MINNESOTA STATE OF MINNESOTA |
78.948 241.152 |
0,038% 0,117% |
F F |
|

| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | F |
|---|---|---|---|
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,004% | F |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET | |||
| PORT | 229 | 0,000% | F |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED | |||
| PORTFOLIO | 489 | 0,000% | F |
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL | |||
| EQUITIES | 140.429 | 0,068% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | 1.613 | 0,001% | F | |
| ALLOCATION PORT | ||||
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED | 25.178 | 0,012% | F | |
| PORTFOLIO | ||||
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION GROWTHPORTF |
9.070 | 0,004% | F | |
| SUNSUPER SUPERANNUATION FUND | 31.443 | 0,015% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | ||||
| AUSTRAL | 1.135 | 0,001% | F | |
| Swiss National Bank | 747.726 | 0,363% | F | |
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,009% | F | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,003% | F | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,042% | F | |
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | F | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,002% | F | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,474% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,004% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,003% | F | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | F | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 0,925% | F | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,039% | F | |
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,009% | F | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,015% | F | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,028% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 0,996% | F |
| TANGERINE BALANCED GROWTH PORTFOLIO | 3.712 | 0,002% | F | |
| TANGERINE BALANCED INCOME PORTFOLIO | 509 | 0,000% | F | |
| TANGERINE BALANCED PORTFOLIO | 3.238 | 0,002% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 4.363 | 0,002% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 4.853 | 0,002% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - | ||||
| HEDGED) FUND | 18.297 | 0,009% | F | |
| TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF | 45.923 | 0,022% | F | |
| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | F | |
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | F | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | F | |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | F | |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,097% | F | |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | F | |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | F | |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | F | |
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,002% | F | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,015% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,099% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 31.304 | 0,015% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 105.926 | 0,051% | F | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 2.050 | 0,001% | F | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 144.020 | 0,070% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 19.162 | 0,009% | F | |
| TELSTRA SUPERANNUATION SCHEME | 5.558 | 0,003% | F | |
| TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 527.412 | 0,256% | F | |
| TEXAS EDUCATION AGCY | 57.379 | 0,028% | F | |
| TEXAS EDUCATION AGENCY | 8.056 | 0,004% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 512 | 0,000% | F | |
| THE ALGER FUNDS - ALGER MID CAP GROWTH FUND | 43.253 | 0,021% | F | |
| THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND | 94.386 | 0,046% | F | |
| THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH INSTITUTIONAL FUND |
14.745 | 0,007% | F | |
| THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO | 27.679 | 0,013% | F | |
| THE AMERICAN UNIVERSITY IN CAIRO | 813 | 0,000% | F | |
| THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 145 | 0,000% | F |
<-- PDF CHUNK SEPARATOR -->


| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
1.672 | 0,001% | F |
|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
8.182 | 0,004% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY PASSIVE MOTHER FUND (ONLY FOR PENSION |
4.025 | 0,002% | F |

| INVESTMENT FUND TRUST NUMBER 21 | 1.646 | 0,001% | F |
|---|---|---|---|
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 |
11.160 | 0,005% | F |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
693 | 0,000% | F |
| TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION | 36.008 | 0,017% | F |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | F |
| TRUTH INITIATIVE FOUNDATION | 1.163 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA | ||||
| ADVISERS LP ACTING AS INVESTMENT ADVISER | 377.000 | 0,183% | F | |
| TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. | 405 | 0,000% | F | |
| TWU Superannuation Fund | 1.687 | 0,001% | F | |
| U.S. GLOBAL INVESTORS FUNDS | 9.000 | 0,004% | F | |
| UBAM | 31.734 | 0,015% | F | |
| UBAM - EUROPE SMALL CAP EQUITY | 13.499 | 0,007% | F | |
| UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY | 32.954 | 0,016% | F | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 13.513 | 0,007% | F | |
| UBS (IRL) INVESTOR SELECTION PLC | 10.309 | 0,005% | F | |
| UBS (LUX) EQUITY SICAV | 103.750 | 0,050% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 47.129 | 0,023% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,042% | F | |
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE | 1.901 | 0,001% | F | |
| UBS (LUX) KEY SELECTION SICAV | 5.631 | 0,003% | F | |
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY | ||||
| (USD) | 1.641 | 0,001% | F | |
| UBS (LUX) SICAV 1 | 133 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 824 | 0,000% | F | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE | 540 | 0,000% | F | |
| (USD) | ||||
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) |
2.156 | 0,001% | F | |
| UBS (US) GROUP TRUST | 13.145 | 0,006% | F | |
| UBS AM (D) GMBH / UBS412 | 13.300 | 0,006% | F | |
| UBS ASSET MANAGEMENT LIFE LTD | 39.500 | 0,019% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUN |
9.869 | 0,005% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 24.069 | 0,012% | F | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 182.621 | 0,089% | F | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 281 | 0,000% | F | |
| UBS LUX FUND SOLUTIONS | 175.192 | 0,085% | F | |
| UF 6 | 4.278 | 0,002% | F | |
| UFF VALEUR PME | 206.481 | 0,100% | F | |
| UI-E | 5.465 | 0,003% | F | |
| UI-FONDS BAV RBI AKTIEN | 17.551 | 0,009% | F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 5.970 | 0,003% | F | |
| UNI-GLOBAL SICAV | 2.886 | 0,001% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE |
9.708 | 0,005% | F | |
| REFUGEE | 1.095 | 0,001% | F | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | 50.244 | 0,024% | F | |
| MASTER TRU | ||||
| UNITY FUND | 20.474 | 0,010% | F | |
| UNIVERSAL INVEST SICAV | 223.368 | 0,109% | F | |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS |
9.009 | 0,004% | F | |
| Universal Investment GmbH | 94.420 | 0,046% | F | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG AKTIEN GLOBAL PLUS |
67.000 | 0,033% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG MULTI | 10.000 | 0,005% | F | |
| ASSETDEFENSIVE UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
224.924 | 0,109% | F | |
| A1-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK |
||||
| A4-FONDS | 19.415 | 0,009% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS |
2.945 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE |
1.100 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO | 13.441 | 0,007% | F | |
| UNIVERSAL-FONDS |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT | ||||
| EURO AKTIEN SOLVENCY | 5.980 | 0,003% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT | 6.000 | 0,003% | F | |
| EURO AKTIEN VOLCONTROL UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US |
||||
| UNIVERSAL-FONDS | 77.354 | 0,038% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | ||||
| UNIVERSAL-CA V | 2.004 | 0,001% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB | 375 | 0,000% | F | |
| UNIVERSAL-FONDS UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA |
17.328 | 0,008% | F | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL | ||||
| EURO | 17.216 | 0,008% | F | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN | 228 | 0,000% | F | |
| ENHANCE | ||||
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | F | |
| UPS GROUP TRUST | 58.308 | 0,028% | F | |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | F | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | F | |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | F | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | F | |
| VALORACTIONS | 2.500 | 0,001% | F | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.551.670 | 0,754% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 2.626 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX | 10.454 | 0,005% | F | |
| FUND VANGUARD EUROPEAN STOCK INDEX FUND |
467.062 | 0,227% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS | ||||
| INDEX TRUST | 6.838 | 0,003% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 135.516 | 0,066% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST | ||||
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 1.115.258 | 0,542% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II VANGUARD FTSE ALL WORLD EX US INDEX FUND |
420.620 | 0,204% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.269 | 0,012% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 2.598 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 165.716 | 0,081% | F | |
| VANGUARD INTERNATIONAL EXPLORER FUND | 79.023 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 77.383 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 4.268 | 0,002% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 236.750 | 0,115% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | ||||
| DEVELOPED WRLD CMMN CONT FD | 5.037 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | 4.075 | 0,002% | F | |
| DVLPD WRLD EX UK CMN CNT FD | ||||
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD | 23.069 | 0,011% | F | |
| FTSE DEV EUR EX UK CCF VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED |
||||
| WOR LD EX - U.K. EQUITY | 56.850 | 0,028% | F | |
| VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED | ||||
| WORLD II CCF | 5.861 | 0,003% | F | |
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED | 8.321 | 0,004% | F | |
| EUROPE II CCF VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED |
||||
| WORLD II CCF | 5.218 | 0,003% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.772.037 | 1,347% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 100.560 | 0,049% | F | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 7.768 | 0,004% | F | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | 2.992 | 0,001% | F | |
| PORTFOLIO |

| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND 1.269 |
0,001% | F |
|---|---|---|
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH 36.694 |
0,018% | F |
| FUND | ||
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND 3.204 |
0,002% | F |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND 11.804 |
0,006% | F |
| WISDOMTREE ISSUER ICAV 15.102 |
0,007% | F |
| WISDOMTREE WORLD EX-US GROWTH FUND 20.724 |
0,010% | F |
| WORLD EQUITIES 479 |
0,000% | F |

| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A |
|---|---|---|---|
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | A |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
Totale votanti 205.772.104 100%
NE - Non espresso
F - Favorevole
C - Contrario A - Astenuto
Lx - Lista x
NV - Non votante
Legenda

Nomina del Consiglio di Amministrazione: Nomina dei componenti il Consiglio di Amministrazione;
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Lista 1 | 168.732.944 | 81,99992% | 61,65274% |
| Lista 2 | 35.842.917 | 17,41874% | 13,09651% |
| Contrario | 67.861 | 0,03298% | 0,02480% |
| Astenuto | 918.247 | 0,44624% | 0,33552% |
| Non Votante | 210.135 | 0,10212% | 0,07678% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | L1 | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | L1 | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | L1 | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | L1 | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | L1 | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | L1 | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | L1 | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | L1 | |
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | L1 | |
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | L1 | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | L1 | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | L1 | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | L1 | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | L1 | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,004% | L1 | |
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,001% | L1 | |
| ALGER GLOBAL FOCUS FUND | 14.053 | 0,007% | L1 | |
| ALICE A PROIETTI FAMILY TRUST UAD 09/27/13 | 684 | 0,000% | L1 | |
| ALIGHT SOLUTIONS LLC 401(K) PLAN TRUST | 3.660 | 0,002% | L1 | |
| ALLSTATE INSURANCE COMPANY | 13.511 | 0,007% | L1 | |
| ALPS GLOBAL TRAVEL BENEFICIARIES ETF | 499 | 0,000% | L1 | |
| ALTE LEIPZIGER TRUST INVESTMENT GESELLSCHAFT MBH | 2.537 | 0,001% | L1 | |
| AMCETF QUALITY DIVERSIFIED INTERNATIONAL ETF | 3.677 | 0,002% | L1 | |
| AMERICAN BUREAU OF SHIPPING | 97 | 0,000% | L1 | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 8.725 | 0,004% | L1 | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 821 | 0,000% | L1 | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL | 29 | 0,000% | L1 | |
| EQUITY ETF | ||||
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH AND INCOME FUND |
44.828 | 0,022% | L1 | |
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH FUND | 217.370 | 0,106% | L1 | |
| AMERICAN HEART ASSOCIATION, INC. | 166 | 0,000% | L1 | |
| AMO UCITS FUND | 95.702 | 0,047% | L1 | |
| AMONIS NV | 15.346 | 0,007% | L1 | |
| AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND | 5.248 | 0,003% | L1 | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | L1 | |
| ANDRA AP-FONDEN | 36.924 | 0,018% | L1 | |
| ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST | 1.420 | 0,001% | L1 | |
| AON HEWITT COLLECTIVE INVESTMENT TRUST | 6.380 | 0,003% | L1 | |
| AON SAVINGS PLAN TRUST | 5.802 | 0,003% | L1 | |
| APERTURE INTERNATIONAL EQUITY FUND | 26.452 | 0,013% | L1 | |
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | L1 | |
| AQR INNOVATION FUND, L.P. | 184 | 0,000% | L1 |
Nomina del Consiglio di Amministrazione: Nomina dei componenti il Consiglio di Amministrazione;

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani


| ASSET CORE FUND V | 167 | 0,000% | L1 |
|---|---|---|---|
| AVIVA LIFE & PENSIONS IRELAND DAC | 6.814 | 0,003% | L1 |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | L1 |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,006% | L1 |
| AXA ROSENBERG EQUITY ALPHA TRUST | 1.910 | 0,001% | L1 |
| AZ FUND 1 AZ ALLOCATION EUROPEAN DYNAMIC | 7.800 | 0,004% | L1 |
| AZ FUND 1 AZ ALLOCATION GLOBAL | 1.250 | 0,001% | L1 |
| AZ FUND 1 AZ ALLOCATION GLOBAL INCOME | 100.000 | 0,049% | L1 |

| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | L1 |
|---|---|---|---|
| BLACKROCK STRATEGIC FUNDS | 1.115 | 0,001% | L1 |
| BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY FUND OF BLACKROCK FUNDS |
118 | 0,000% | L1 |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND LIMITED |
23.740 | 0,012% | L1 |
| BLK MAGI FUND A SERIES TRUST | 45 | 0,000% | L1 |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | 1.444 | 0,001% | L1 | |
| ETF | ||||
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,028% | L1 | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | L1 | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | L1 | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF BNY MELLON INTERNATIONAL EQUITY ETF |
31.557 1.456 |
0,015% 0,001% |
L1 L1 |
|
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,003% | L1 | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | L1 | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | L1 | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,002% | L1 | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | ||||
| AMERICA | 4.893 | 0,002% | L1 | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | L1 | |
| BRIDGE BUILDER INTERNATIONAL | 9.810 | 0,005% | L1 | |
| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED | 8.687 | 0,004% | L1 | |
| RISKPORTFOLIO II | ||||
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO |
982 | 0,000% | L1 | |
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET | ||||
| PORTFOLIO | 4.233 | 0,002% | L1 | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | L1 | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | L1 | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR | ||||
| FIDELITY FUNDS - ITALY | 231.446 | 0,112% | L1 | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | L1 | |
| BT INTERNATIONAL SHARES INDEX FUND | 18.884 | 0,009% | L1 | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 884 | 0,000% | L1 | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 5.207 | 0,003% | L1 | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 19.498 | 0,009% | L1 | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,082% | L1 | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | L1 | |
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,044% | L1 | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,005% | L1 | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) |
1.629 51.459 |
0,001% 0,025% |
L1 L1 |
|
| CANADIAN BROADCASTING CORPORATION | 9.177 | 0,004% | L1 | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | L1 | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | L1 | |
| CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST | 64.910 | 0,032% | L1 | |
| CAPITAL INTERNATIONAL FUND | 7.623 | 0,004% | L1 | |
| CAPITAL WORLD GROWTH AND INCOME FUND | 2.567.919 | 1,248% | L1 | |
| CARPIMKO ACTIONS LO | 110.786 | 0,054% | L1 | |
| CATHAY LIFE INSURANCE CO LTD | 373.015 | 0,181% | L1 | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 453 | 0,000% | L1 | |
| CAVOM DIVERSIFIE - POCHE ACT | 3.834 | 0,002% | L1 | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 1.019 | 0,000% | L1 | |
| CBIS GLOBAL FUNDS PUBLIC LTD CO | 9.236 | 0,004% | L1 | |
| CC AND L Q 130/30 FUND II | 319 | 0,000% | L1 | |
| CC AND L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 2.628 | 0,001% | L1 | |
| CC AND L Q MARKET NEUTRAL FUND | 926 | 0,000% | L1 | |
| CC AND L Q MARKET NEUTRAL FUND II | 484 | 0,000% | L1 | |
| CC&L GLOBAL EQUITY FUND | 12 | 0,000% | L1 | |
| CC&L MULTI-STRATEGY FUND | 308 | 0,000% | L1 | |
| CC&L Q 130/30 FUND II | 12 | 0,000% | L1 | |
| CC&L Q EQUITY EXTENSION FUND | 38 | 0,000% | L1 | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 46 | 0,000% | L1 | |
| CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATIN | 12.295 | 0,006% | L1 | |
| ICIPATING EMPLOYERS | ||||
| CENTRAL PROVIDENT FUND BOARD | 526 | 0,000% | L1 | |
| CERVURITE INTERNATIONAL LLC | 10.806 | 0,005% | L1 | |
| CHEVRON MASTER PENSION TRUST | 29.451 | 0,014% | L1 | |
| CHEVRON UK PENSION PLAN. | 1.299 | 0,001% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CHRISTIAN SUPER | 561 | 0,000% | L1 | |
| CHRISTOPHER J MILLERCHIP | 32 | 0,000% | L1 | |
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | L1 | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | L1 | |
| CIBC INTERNATIONAL INDEX FUND | 12.163 | 0,006% | L1 | |
| CIBC POOLED INTERNATIONAL EQUITY INDEX FUND | 330 | 0,000% | L1 | |
| CINDY SPRINGS LLC | 14.524 | 0,007% | L1 | |
| CIPAV DIVERSIFIE - POCHE ACTIO | 21.685 | 0,011% | L1 | |
| CIT_WLDEXUS130 - NON FLIP | 5.291 | 0,003% | L1 | |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS | ||||
| BLACKROCK WORLD EQUITY INDEX FUND | 1.702 | 0,001% | L1 | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 16.338 | 0,008% | L1 | |
| CITY OF MILWAUKEE EMPLOYEES RETIREMENT SYSTEM | 11.678 | 0,006% | L1 | |
| CITY OF NEW YORK GROUP TRUST | 368.864 | 0,179% | L1 | |
| CITY UNIVERSITY OF NEW YORK | 281 | 0,000% | L1 | |
| Civil Service Employees Pension Fund | 2.500 | 0,001% | L1 | |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,004% | L1 | |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,009% | L1 | |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | L1 | |
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,175% | L1 | |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | L1 | |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,029% | L1 | |
| CM-CIC SICAV | 318.134 | 0,155% | L1 | |
| COLLEGE RETIREMENT EQUITIES FUND | 1.845.499 | 0,897% | L1 | |
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | L1 | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,003% | L1 | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | L1 | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,005% | L1 | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE | ||||
| OPPORTUNITIES | 378.857 | 0,184% | L1 | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER COMPANIES |
652.667 | 0,317% | L1 | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP | 95.326 | 0,046% | L1 | |
| MORGAN CHASE BANK, N.A. | ||||
| COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC | 12.722 | 0,006% | L1 | |
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,002% | L1 | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR | 2.930 | 0,001% | L1 | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,001% | L1 | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | L1 | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | L1 | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | L1 | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | L1 | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,019% | L1 | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,048% | L1 | |
| CORNELL UNIVERSITY | 819 | 0,000% | L1 | |
| CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND | 7.380 | 0,004% | L1 | |
| CORONATION GLOBAL OPPORTUNITIES FUND | 10.962 | 0,005% | L1 | |
| COSMIC INVESTMENT FUND | 48.529 | 0,024% | L1 | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | L1 | |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,003% | L1 | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | L1 | |
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,076% | L1 | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH QUALITY GROWTH EQUITY MOT |
4.197.287 | 2,040% | L1 | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND | 3.855 | 0,002% | L1 | |
| TECHNOLOGY AGENCY 16619-9962 CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & |
23.707 | 0,012% | L1 | |
| BANKING CO., LTD. AS TRUSTEE FOR INTERNATI CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO |
||||
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER |
63.515 | 0,031% | L1 | |
| FUND II | 632 | 0,000% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES | 9.878 | 0,005% | L1 | |
| (BVI) LIMITED | ||||
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND | 81 | 0,000% | L1 | |
| L | ||||
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | L1 | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | L1 | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | L1 | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | L1 | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | L1 | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | L1 | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | L1 | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | L1 | |
| DEAM FONDS ZDV | 3.329 | 0,002% | L1 | |
| DEAM-FONDS CPT | 1.596 | 0,001% | L1 | |
| DEKA-MASTER HAEK I | 12.525 | 0,006% | L1 | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | L1 | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | L1 | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | L1 | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | L1 | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | L1 | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | L1 | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | L1 | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | L1 | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O | 779 | 0,000% | L1 | |
| KESWICK MANAGEMENT DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI |
896 | 0,000% | L1 | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | L1 | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | L1 | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | L1 |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | L1 | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | L1 | |
| DUPONT PENSION TRUST | 42.808 | 0,021% | L1 | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN | 2.079 | 0,001% | L1 | |
| EQUITY FUND) | ||||
| DWS GLOBAL SMALL CAP FUND | 26.722 | 0,013% | L1 | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | L1 | |
| DWS INVEST | 900 | 0,000% | L1 | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | L1 | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | L1 | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | L1 | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | L1 | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | L1 | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | L1 | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | L1 | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | L1 | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | L1 | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | L1 | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | L1 | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,019% | L1 | |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | L1 | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | L1 | |
| DYNASTY INVEST LTD | 361 | 0,000% | L1 | |
| EAST RIDING PENSION FUND | 117.283 | 0,057% | L1 | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | L1 | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | L1 | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | L1 | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | L1 | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | L1 | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP | ||||
| COMMON TR | 3.515 | 0,002% | L1 | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | L1 | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | L1 | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | L1 | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | L1 | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,009% | L1 | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | L1 | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | L1 | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | L1 | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | L1 | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | L1 | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | L1 | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | 4.988 | 0,002% | L1 | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH |
||||
| PORTFOLIO | 1.187 | 0,001% | L1 | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | L1 | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | 5.002 | 0,002% | L1 | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY | 6.291 | 0,003% | L1 | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED |
||||
| VOLATILITY PORTFOLIO | 9.008 | 0,004% | L1 | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 24.816 | 0,012% | L1 | |
| EQUIPSUPER | 16.691 | 0,008% | L1 | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 1.952 | 0,001% | L1 | |
| ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER | 544.610 | 0,265% | L1 | |
| FUND EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) |
7.817 | 0,004% | L1 | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,005% | L1 | |
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | L1 | |
| EUROPEAN CENTRAL BANK | 9.670 | 0,005% | L1 | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | ||||
| MASTER TRUST | 45.984 | 0,022% | L1 | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,068% | L1 | |
| EXELON FITZPATRICK QUALIFIED FUND | 872 | 0,000% | L1 | |
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | L1 | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | L1 | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL | 154.615 | 0,075% | L1 | |
| LP | ||||
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,023% | L1 | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 5.627 | 0,003% | L1 | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND |
3.442 | 0,002% | L1 | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | L1 | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | L1 | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | L1 | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | L1 | |
| FCP CARPIMKO EUROPE | 11.386 | 0,006% | L1 | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,008% | L1 | |
| FDF2 ALL IN ONE | 800 | 0,000% | L1 | |
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | L1 | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED | 58.400 | 0,028% | L1 | |
| POOL FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS |
342.300 | 0,166% | L1 | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | L1 | |
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | L1 | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX | ||||
| FUND | 495.003 | 0,241% | L1 | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL | 3.716 | 0,002% | L1 | |
| INDEX FUND | ||||
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | L1 |

| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND 58.667 0,029% L1 FIDELITY FOUNDERS INVESTMENT TRUST 33.300 0,016% L1 FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL 108.074 0,053% L1 FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL 67.470 0,033% L1 FIDELITY GLOBAL DEMOGRAPHICS FUND 1.417 0,001% L1 FIDELITY GLOBAL DEMOGRAPHICS FUND 1.417 0,001% L1 FIDELITY GLOBAL FUTURE LEADERS FUND 7.826 0,004% L1 FIDELITY GLOBAL FUTURE LEADERS FUND 7.826 0,004% L1 FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS 44.755 0,022% L1 FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST 25.300 0,012% L1 FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND 82.100 0,040% L1 FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND 14.443 0,007% L1 FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND 17.185 0,008% L1 FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU 697 0,000% L1 FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND 1.700.500 0,826% L1 FIDELITY INVESTMENTS MONEY MANAGEMENT INC 468 0,000% L1 FIDELITY LONGTERM LEADERS FUND 1.457 0,001% L1 FIDELITY PURITAN TRUST FIDELITYPURITAN FUND 475.594 0,231% L1 FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND 12.515 0,006% L1 FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND 198.038 0,096% L1 FIDELITY SAI INTERNATIONAL INDEX FUND 67.794 0,033% L1 FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND 71.471 0,035% L1 FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX 59.913 0,029% L1 FUND FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX 24.219 0,012% L1 FUND FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND 419.702 0,204% L1 FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND 51.623 0,025% L1 FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND 674.410 0,328% L1 FIDELITY TREND FUND: FIDELITY TREND FUND 185.000 0,090% L1 FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND 662 0,000% L1 FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND 718 0,000% L1 FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL 23.663 0,011% L1 FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF 12.966 0,006% L1 BALTIMORE FIRE AND POLICE PENSION ASSOCIATION OF COLORADO 2.669 0,001% L1 FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO 2.612 0,001% L1 FIRST CHURCH OF CHRIST SCIENTIST 542 0,000% L1 FIRST INITIATIVES INSURANCE LTD 2.392 0,001% L1 FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND 2.643 0,001% L1 FJARDE AP-FONDEN. 27.645 0,013% L1 FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX 1.334 0,001% L1 FUND FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT 3.696 0,002% L1 INDEX FUND FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND 1.300 0,001% L1 FLORIDA GLOBAL EQUITY FUND, LLC 1.508 0,001% L1 FLOURISH INVESTMENT CORPORATION 13.404 0,007% L1 FMR CAPITAL INC 139 0,000% L1 FMR CAPITAL INC 300 0,000% L1 FND DE SEGURANCA SOCIAL DE MACAU 7.164 0,003% L1 FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES 1.002 0,000% L1 FONDS DE RESERVE POUR LES RETRAITES 58.999 0,029% L1 FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST 4.322 0,002% L1 FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST 503 0,000% L1 FOREST FOUNDATION 94 0,000% L1 FORSTA AP - FONDEN 45.427 0,022% L1 FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES 130.000 0,063% L1 FND FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL 710 0,000% L1 |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| FRANKLIN FTSE EUROPE EX U.K. INDEX ETF | 1.771 | 0,001% | L1 |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF | 165 | 0,000% | L1 | |
| FRANKLIN LIBERTYSHARES ICAV | 1.212 | 0,001% | L1 | |
| FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND | 99.148 | 0,048% | L1 | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 3.672 | 0,002% | L1 | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF | 432 | 0,000% | L1 | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 2.037 | 0,001% | L1 | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY ETF |
208 | 0,000% | L1 | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY HEDG |
864 | 0,000% | L1 | |
| FUNDACAO CALOUSTE GULBENKIAN | 1.279 | 0,001% | L1 | |
| FUNDO DE PENSOES. | 1.850 | 0,001% | L1 | |
| FUTURE FUND BOARD OF GUARDIANS FOR | 24.261 | 0,012% | L1 | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF | ||||
| FUTURE F. | 48.223 | 0,023% | L1 | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE | 5.578 | 0,003% | L1 | |
| MEDI GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY |
8.632 | 0,004% | L1 | |
| GAM MULTISTOCK | 345.315 | 0,168% | L1 | |
| GAM STAR FUND PLC | 552.141 | 0,268% | L1 | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 93.118 | 0,045% | L1 | |
| GIC PRIVATE LIMITED | 18.988 | 0,009% | L1 | |
| GIN S.R.L. | 11666950966 | 779.732 | 0,379% | L1 |
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | L1 | |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | ||||
| PORTFOLIO | 650 | 0,000% | L1 | |
| GLOBAL BOND FUND WAYCROSSE INC | 6.277 | 0,003% | L1 | |
| Global Equities Enhanced Index fund | 10.439 | 0,005% | L1 | |
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 2,438% | L1 | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,000% | L1 | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,069% | L1 | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | L1 | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | L1 | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE | 851 | 0,000% | L1 | |
| E GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA |
||||
| INTERNAT | 109.577 | 0,053% | L1 | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN SACHS AND CO |
5.568 | 0,003% | L1 | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA | 4.735 | 0,002% | L1 | |
| INTERNATIO | ||||
| GOLDMAN SACHS FUNDS | 1.008.976 | 0,490% | L1 | |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND |
1.919 | 0,001% | L1 | |
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | L1 | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | L1 | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | L1 | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | L1 | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | L1 | |
| GOVERNMENT PENSION INVESTMENT FUND | 56.685 | 0,028% | L1 | |
| GR-AVENIR | 1.000 | 0,000% | L1 | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | L1 | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | L1 | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | L1 | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | L1 | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | L1 | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | L1 | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | L1 | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | L1 | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | L1 | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
11.101 | 0,005% | L1 | |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | L1 |


| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | L1 |
|---|---|---|---|
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | L1 |
| INV. DANSKE INVEST GLOBAL INDEKS KL | 6.857 | 0,003% | L1 |
| INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL | 1.036 | 0,001% | L1 |
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | L1 |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | L1 |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | L1 |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | L1 | |
| INVESCO FUNDS | 1.680 | 0,001% | L1 | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | L1 | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | L1 | |
| INVESCO MARKETS III PLC | 41 | 0,000% | L1 | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | L1 | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | L1 | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 121 | 0,000% | L1 | |
| INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL | 4.931 | 0,002% | L1 | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER AKK KL |
1.741 | 0,001% | L1 | |
| INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE | 1.947 | 0,001% | L1 | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER - ETISK TILVALG |
3.898 | 0,002% | L1 | |
| INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL | 4.973 | 0,002% | L1 | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
1.225 | 0,001% | L1 | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL |
6.696 | 0,003% | L1 | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 4.232 | 0,002% | L1 | |
| IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE STRATEGY NO.1 |
469 | 0,000% | L1 | |
| IPROFILE INTERNATIONAL EQUITY PRIVATE POOL | 6.337 | 0,003% | L1 | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 4.021 | 0,002% | L1 | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 3.453 | 0,002% | L1 | |
| IQ HEALTHY HEARTS ETF | 559 | 0,000% | L1 | |
| IRCEC PIXEL DIVERSIFIE POCHE | 17.719 | 0,009% | L1 | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | L1 | |
| ISHARES CORE MSCI EAFE ETF | 1.100.037 | 0,535% | L1 | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 48.266 | 0,023% | L1 | |
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,044% | L1 | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,036% | L1 | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 214.092 | 0,104% | L1 | |
| ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS ETF | 17.245 | 0,008% | L1 | |
| DE | ||||
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF | 22.359 | 0,011% | L1 | |
| ISHARES EDGE MSCI INTL QUALITY FACTOR ETF | 143.992 | 0,070% | L1 | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,005% | L1 | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 1.618 | 0,001% | L1 | |
| ISHARES EURO STOXX UCITS ETF (DE) | 88.412 | 0,043% | L1 | |
| ISHARES EUROPE ETF | 40.489 | 0,020% | L1 | |
| ISHARES GLOBAL CONSUMER DISCRETIONARY ETF | 12.789 | 0,006% | L1 | |
| ISHARES II PUBLIC LIMITED COMPANY | 91.277 | 0,044% | L1 | |
| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,122% | L1 | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | L1 | |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,153% | L1 | |
| ISHARES MSCI ACWI ETF | 42.539 | 0,021% | L1 | |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,018% | L1 | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,003% | L1 | |
| ISHARES MSCI EAFE ETF | 676.406 | 0,329% | L1 | |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,124% | L1 | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,052% | L1 | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 4.787 | 0,002% | L1 | |
| ISHARES MSCI EUROZONE ETF | 243.059 | 0,118% | L1 | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 267 | 0,000% | L1 | |
| ISHARES MSCI ITALY ETF | 219.619 | 0,107% | L1 | |
| ISHARES MSCI KOKUSAI ETF | 615 | 0,000% | L1 | |
| ISHARES MSCI WORLD ETF | 7.193 | 0,003% | L1 | |
| ISHARES PUBLIC LIMITED COMPANY | 182.059 | 0,088% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ISHARES STOXX EUROPE 600 PERSONALHOUSEHOLD GOODS UCITS ETF | 24.310 | 0,012% | L1 | |
| DE | ||||
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 141.793 | 0,069% | L1 | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 52.632 | 0,026% | L1 | |
| ISHARES V PUBLIC LIMITED COMPANY | 39.924 | 0,019% | L1 | |
| ISHARES VI PUBLIC LIMITED COMPANY | 72.641 | 0,035% | L1 | |
| ISHARES VII PLC ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND |
192.179 18.950 |
0,093% 0,009% |
L1 L1 |
|
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 1.497 | 0,001% | L1 | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 2.211 | 0,001% | L1 | |
| ISHARES WORLD EX SWITZERLAND ESG EQUITY INDEX FUND (CH) | 4.360 | 0,002% | L1 | |
| Islamic Development Bank | 913 | 0,000% | L1 | |
| IVY PROSHARES MSCI ACWI INDEX FUND | 166 | 0,000% | L1 | |
| JAMES B. HAWKES | 997 | 0,000% | L1 | |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 287 | 0,000% | L1 | |
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,001% | L1 | |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | L1 | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND |
1.501 | 0,001% | L1 | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,012% | L1 | |
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 | 0,000% | L1 | |
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES | 97 | 0,000% | L1 | |
| LLC | ||||
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 | 0,000% | L1 | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 | 0,000% | L1 | |
| JNL INTERNATIONAL INDEX FUND | 29.772 | 0,014% | L1 | |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND | 333 | 0,000% | L1 | |
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 1.189 | 0,001% | L1 | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND JNL/MELLON MSCI WORLD INDEX FUND |
476 1.306 |
0,000% 0,001% |
L1 L1 |
|
| JNL/TROWE PRICE BALANCED FUND | 8.869 | 0,004% | L1 | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY | ||||
| ALLOCATION FUND | 12.252 | 0,006% | L1 | |
| JOHN HANCOCK FUNDS II STRATEGICEQUITY ALLOCATION FUND | 36.431 | 0,018% | L1 | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 474 | 0,000% | L1 | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,005% | L1 | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,006% | L1 | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,000% | L1 | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY | 7.601 | 0,004% | L1 | |
| INDEX TRUST. JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION |
||||
| TRUST | 33.254 | 0,016% | L1 | |
| JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN | 57.962 | 0,028% | L1 | |
| JPMORGAN ACCESS BALANCED FUND | 514 | 0,000% | L1 | |
| JPMORGAN ACCESS GROWTH FUND | 670 | 0,000% | L1 | |
| JPMORGAN BETABUILDERS EUROPE ETF | 221.051 | 0,107% | L1 | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 39.332 | 0,019% | L1 | |
| JPMORGAN GLOBAL ALLOCATION FUND | 1.489 | 0,001% | L1 | |
| JTW TRUST NO. 1 UAD 9/19/02. | 696 | 0,000% | L1 | |
| JTW TRUST NO. 2 UAD 9/19/02. | 1.167 | 0,001% | L1 | |
| JTW TRUST NO. 3 UAD 9/19/02. | 1.188 | 0,001% | L1 | |
| JTW TRUST NO. 4 UAD 9/19/02. | 1.385 | 0,001% | L1 | |
| JTW TRUST NO. 5 UAD 9/19/02. | 732 | 0,000% | L1 | |
| K INVESTMENTS SH LIMITED. | 19.004 | 0,009% | L1 | |
| KAISER FOUNDATION HOSPITALS | 6.067 | 0,003% | L1 | |
| KAISER PERMANENTE GROUP TRUST | 9.965 | 0,005% | L1 | |
| KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER |
1.623 | 0,001% | L1 | |
| KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 13.054 | 0,006% | L1 | |
| KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE | ||||
| INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 7.928 | 0,004% | L1 | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 2 GLOBALE AKTIER 2 | 29.386 | 0,014% | L1 |


| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,015% | L1 |
|---|---|---|---|
| M & G Securities Limited | 5.213 | 0,003% | L1 |
| M INTERNATIONAL EQUITY FUND | 1.242 | 0,001% | L1 |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK INDEX | |||
| Fund | 34.007 | 0,017% | L1 |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.410 | 0,002% | L1 |
| MACQUARIE MULTI-FACTOR FUND | 1.315 | 0,001% | L1 |
| MANAGED PENSION FUNDS LIMITED | 107.922 | 0,052% | L1 |
| MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 4.415 | 0,002% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX | ||||
| POOLED FUND | 7.719 | 0,004% | L1 | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 11.035 | 0,005% | L1 | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,000% | L1 | |
| MARIGOLD TACTICAL STRATEGIES LTD | 920 | 0,000% | L1 | |
| MARRIOTT INTERNATIONAL INC. POOLED INVESTMENT TRUST FOR PARTICIPANT DIRECTED ACCOUNTS |
39.739 | 0,019% | L1 | |
| MARS S.R.L. | 11666960965 | 779.732 | 0,379% | L1 |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O | ||||
| MARSHALL WACE IRELAND LTD | 1.802.175 | 0,876% | L1 | |
| MARTIN CURRIE GLOBAL LONG-TERM UNCONSTRAINED FUND | 8.750 | 0,004% | L1 | |
| MARTIN CURRIE GLOBAL PORTFOLIO TRUST PLC | 303.129 | 0,147% | L1 | |
| MARTIN CURRIE INTERNATIONAL UNCONSTRAINED EQUITY FUND | 29.721 | 0,014% | L1 | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 17.987 | 0,009% | L1 | |
| MASSMUTUAL PREMIER STRATEGIC EMERGING MARKETS FUND | 1.459 | 0,001% | L1 | |
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND MASTER TRUST FOR DEFINED CONTRIBUTION PLANS OF AMERICAN |
40.376 | 0,020% | L1 | |
| AIRLINES, INC, US AIRW | 12.444 | 0,006% | L1 | |
| MASTERS I LLC | 879 | 0,000% | L1 | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 3.460 | 0,002% | L1 | |
| MCGILL UNIVERSITY PENSION FUND | 2.693 | 0,001% | L1 | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 10.519 | 0,005% | L1 | |
| MELCHIOR EURO OPP | 176.178 | 0,086% | L1 | |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,002% | L1 | |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | L1 | |
| MERCY INVESTMENT SERVICES INC | 951 | 0,000% | L1 | |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,005% | L1 | |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,015% | L1 | |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | L1 | |
| METZLER UNIVERSAL TRUST KILMOR MF/B PI ESG INSIGHTS WORLD EQUITY FUND |
27.300 418 |
0,013% 0,000% |
L1 L1 |
|
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | L1 | |
| MGI FUNDS PLC | 11.427 | 0,006% | L1 | |
| MI - FONDS K12 | 11.854 | 0,006% | L1 | |
| MI - FONDS K14 | 36.000 | 0,017% | L1 | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | 281 | 0,000% | L1 | |
| REEVES TTEE PO BOX | ||||
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | L1 | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | L1 | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | L1 | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | L1 | |
| MLC INVESTMENTS, MLC LIMITED | 10.864 | 0,005% | L1 | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND MML STRATEGIC EMERGING MARKETS FUND |
1.753 595 |
0,001% 0,000% |
L1 L1 |
|
| MONCEAU ACTIONS EEE | 16.990 | 0,008% | L1 | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,014% | L1 | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,186% | L1 | |
| MONETARY AUTHORITY OF SINGAPORE | 54.012 | 0,026% | L1 | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,170% | L1 | |
| MORAINE MASTER FUND LP CO FALCON EDGE CAPITAL, LP | 421.022 | 0,205% | L1 | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | L1 | |
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,377% | L1 | |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO | 4.361.926 | 2,120% | L1 | |
| MORG ST INTERNATIONAL EQUITY PORTFOLIO | 667.639 | 0,324% | L1 | |
| MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO | 1.942.734 | 0,944% | L1 | |
| MORGAN STANLEY EUROPE OPPORTUNITY FUND INC | 264.491 | 0,129% | L1 | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | 975 | 0,000% | L1 | |
| PORTFOLIO MORGAN STANLEY INVESTMENT FUNDS |
32.761 | 0,016% | L1 | |
| MORGAN STANLEY PATHWAY FUNDS | 4.198 | 0,002% | L1 | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL | ||||
| STRATEGI ST PORTFOLIO | 189 | 0,000% | L1 | |
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 1.804 | 0,001% | L1 |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MOTHER CABRINI HEALTH FOUNDATION, INC. | 2.713 | 0,001% | L1 | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,005% | L1 | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | L1 | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,045% | L1 | |
| MTAA SUPERANNUATION FUND | 6.697 | 0,003% | L1 | |
| MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND | 14.900 | 0,007% | L1 | |
| MUGUET VENTURES LLC | 250 | 0,000% | L1 | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | L1 | |
| MUNICIPAL EMPLOYEES PENSION PLAN | 72.164 | 0,035% | L1 | |
| MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM | 7.531 | 0,004% | L1 | |
| MUSASHI SMART PREMIA FUND | 6.244 | 0,003% | L1 | |
| NATIONAL BANK FINANCIAL INC | 594 | 0,000% | L1 | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 4.114 | 0,002% | L1 | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 40.094 | 0,019% | L1 | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND. | 110.744 | 0,054% | L1 | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 53.496 | 0,026% | L1 | |
| NATIONAL TREASURY MANAGEMENT AGCY | 1.457 | 0,001% | L1 | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 15.524 | 0,008% | L1 | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 8.722 | 0,004% | L1 | |
| NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT | ||||
| TRUST | 271.608 | 0,132% | L1 | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF | 154.869 | 0,075% | L1 | |
| ST. JAMES'S PLACE | ||||
| NAV CANADA PENSION PLAN | 2.980 | 0,001% | L1 | |
| NAVIGERA AKTIE 2 | 273.738 | 0,133% | L1 | |
| NEF EURO EQUITY | 159.607 | 0,078% | L1 | |
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | L1 | |
| NEMOURS FOUNDATION | 184 | 0,000% | L1 | |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | L1 | |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | L1 | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | L1 | |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 714 | 0,000% | L1 | |
| NEW YORK STATE COMMON RETIREMENT FUND | 3.613 | 0,002% | L1 | |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | L1 | |
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 10.081 | 0,005% | L1 | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 103.513 | 0,050% | L1 | |
| NEW ZEALAND SUPERANNUATION FUND. | 40.791 | 0,020% | L1 | |
| NEWBURG NOMINEES LIMITED INVESTORSWHOLESALE GLOBAL EQUITY (INDEX) TRUST |
15.678 | 0,008% | L1 | |
| NEXTERA ENERGY DUANE ARNOLD LLC NON QUALIFIED | 179 | 0,000% | L1 | |
| DECOMMISSIONI NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED |
||||
| DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR | 32 | 0,000% | L1 | |
| POW | ||||
| NFS LIMITED | 12.960 | 0,006% | L1 | |
| NINETY ONE GLOBAL STRATEGY FUND | 212.168 | 0,103% | L1 | |
| NINETY ONE PROFESSIONAL INVESTMENT FUNDS PCC LIMITED - GLOBAL BALANCED (SA) FUND |
274.576 | 0,133% | L1 | |
| NISSAN NORTH AMERICA INC. EMPLOYEE RETIREMENT PLAN MASTER | 35.126 | 0,017% | L1 | |
| TRUST | ||||
| NORDEA 1 SICAV | 8.120 | 0,004% | L1 | |
| NORDEA 2 SICAV | 47.185 | 0,023% | L1 | |
| NORDEA DONATIONSMEDELSFOND | 1.620 | 0,001% | L1 | |
| NORDEA EUROPEAN PASSIVE FUND | 3.431 | 0,002% | L1 | |
| NORDEA GENERATIONSFOND 50-TAL | 2.188 | 0,001% | L1 | |
| NORDEA GENERATIONSFOND 60-TAL | 35.983 | 0,017% | L1 | |
| NORDEA GENERATIONSFOND 70-TAL | 44.137 | 0,021% | L1 | |
| NORDEA GENERATIONSFOND 80-TAL | 23.147 | 0,011% | L1 | |
| NORDEA GENERATIONSFOND 90-TAL | 3.153 | 0,002% | L1 | |
| NORDEA GLOBAL PASSIVE FUND | 9.663 | 0,005% | L1 | |
| NORGES BANK | 49.639 | 0,024% | L1 | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 60.221 | 0,029% | L1 |


| POLICEMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 3.414 | 0,002% | L1 |
|---|---|---|---|
| PORTZAMPARC ENTREPRENEURS ISR | 8.500 | 0,004% | L1 |
| PRAXIS INTERNATIONAL INDEX FUND | 7.061 | 0,003% | L1 |
| PRESCIENT ICAV. | 11.412 | 0,006% | L1 |
| PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL | |||
| ADAPTIVE MULTI-FACTOR ET | 395 | 0,000% | L1 |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | L1 |
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | L1 |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PRIVILEDGE | 30.000 | 0,015% | L1 | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | L1 | |
| PRUDENTIAL BANK AND TRUST FSB | 19.691 | 0,010% | L1 | |
| Prudential Pensions Limited | 3.218 | 0,002% | L1 | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | L1 | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,005% | L1 | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | L1 | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | L1 | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | L1 | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,050% | L1 | |
| PUBLIC SCHOOL TEACHERS PENSION & RETIREMENT FUND OF | ||||
| CHICAGO | 217.925 | 0,106% | L1 | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF | 28.078 | 0,014% | L1 | |
| CHICAGO PUBLIC SECTOR PENSION INVESTMENT BOARD. |
101.900 | 0,050% | L1 | |
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,005% | L1 | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | L1 | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | L1 | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | L1 | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | L1 | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | L1 | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,003% | L1 | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | L1 | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | L1 | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,006% | L1 | |
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES PORTFOLIO |
1.572 | 0,001% | L1 | |
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION | 741 | 0,000% | L1 | |
| FUND QS INVESTORS INTERNATIONAL EQUITY DBI CIT |
264 | 0,000% | L1 | |
| QUADRATOR SRI | 111.000 | 0,054% | L1 | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | L1 | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | L1 | |
| QUALITY EDUCATION FUND | 385 | 0,000% | L1 | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | L1 | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | L1 | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | L1 | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | L1 | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | L1 | |
| RATHBONE INVESTMENT MANAGEMENT LTD RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT |
25.455 | 0,012% | L1 | |
| TRUST | 3.584 | 0,002% | L1 | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | L1 | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | L1 | |
| RDM LIQUID LLC | 9.080 | 0,004% | L1 | |
| REGARD ACT CROISSAN | 5.000 | 0,002% | L1 | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | L1 | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | L1 | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | L1 | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 5.018 | 0,002% | L1 | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | L1 |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | L1 | |
| Ronald and Rita McAulay Foundation | 333 | 0,000% | L1 | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | L1 |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B (REMGEOB) |
2.713 | 0,001% | L1 | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | L1 | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,000% | L1 | |
| S. ROBSON WALTON 2010 TRUST | 1.076 | 0,001% | L1 | |
| SAKKARAH 7 FCP | 31.165 | 0,015% | L1 | |
| SAKKARAH C | 15.143 | 0,007% | L1 | |
| SALIX LLC | 10.816 | 0,005% | L1 |

| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | L1 |
|---|---|---|---|
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | L1 |
| SPP EUROPA PLUS | 463 | 0,000% | L1 |
| SPP GENERATION 50-TAL | 142 | 0,000% | L1 |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | L1 |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | L1 |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | L1 |
| SPRING 625 | 2.946 | 0,001% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST | 5.388 | 0,003% | L1 | |
| FUND | ||||
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST | 7.976 | 0,004% | L1 | |
| FUND SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND |
170.925 | 0,083% | L1 | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | L1 | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | L1 | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,016% | L1 | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,389% | L1 | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,014% | L1 | |
| STANDARD BANK OF SOUTH AFRICA LTD | 20.771 | 0,010% | L1 | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | L1 | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,030% | L1 | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,014% | L1 | |
| STATE OF MINNESOTA | 78.948 | 0,038% | L1 | |
| STATE OF MINNESOTA | 241.152 | 0,117% | L1 | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 116.563 | 0,057% | L1 | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 93.124 | 0,045% | L1 | |
| STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST | 1.563 | 0,001% | L1 | |
| FUNDS | ||||
| STATE OF WYOMING | 9.297 | 0,005% | L1 | |
| STATE STREET CCF | 990 | 0,000% | L1 | |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.302 | 0,002% | L1 | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 57.073 | 0,028% | L1 | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 32.334 | 0,016% | L1 | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 54.037 | 0,026% | L1 | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 4.522 | 0,002% | L1 | |
| STATE STREET IRELAND UNIT TRUST | 15.688 | 0,008% | L1 | |
| STATE STREET TOTAL RETURN VIS FUND | 3.190 | 0,002% | L1 | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 28.058 | 0,014% | L1 | |
| STELLAR INSURANCE, LTD. | 1.391 | 0,001% | L1 | |
| STEUART L. WALTON FAMILY TRUST UAD 3/19/13 | 2.739 | 0,001% | L1 | |
| STEWARDSHIP PARA GLB | 158 | 0,000% | L1 | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 14.061 | 0,007% | L1 | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 47.701 | 0,023% | L1 | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET BEROEPSVERVOER OVER DE WEG |
1.412 | 0,001% | L1 | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | ||||
| LEVENSMIDDELENBEDRIJF | 10.570 | 0,005% | L1 | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK | 5.817 | 0,003% | L1 | |
| EN GL. STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS |
10.919 | 0,005% | L1 | |
| STICHTING HEINEKEN PENSIOENFONDS | 8.660 | 0,004% | L1 | |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD | ||||
| AANDELEN FONDS | 26.243 | 0,013% | L1 | |
| STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE KANK |
359 | 0,000% | L1 | |
| STICHTING PENSIOENFONDS APF. | 24.213 | 0,012% | L1 | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 15.746 | 0,008% | L1 | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 88.980 | 0,043% | L1 | |
| STICHTING PENSIOENFONDS PGB | 124.625 | 0,061% | L1 | |
| STICHTING PENSIOENFONDS PROVISUM | 1.850 | 0,001% | L1 | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 5.640 | 0,003% | L1 | |
| STICHTING PHILIPS PENSIOENFONDS | 3.901 | 0,002% | L1 | |
| STICHTING SHELL PENSIOENFONDS | 45.698 | 0,022% | L1 | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 2.596 | 0,001% | L1 | |
| STRATEGIE CONSOMMA LUXE ET LOW COST | 8.699 | 0,004% | L1 | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.810 | 0,001% | L1 | |
| SUE ANN ARNALL | 3.312 | 0,002% | L1 | |
| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | L1 | |
| SUNSUPER SUPERANNUATION FUND | 31.443 | 0,015% | L1 | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | 1.135 | 0,001% | L1 | |
| AUSTRAL |

| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITED | 201.414 | 0,098% | L1 |
|---|---|---|---|
| THE BANKERS INVESTMENT TRUST PLC | 161.788 | 0,079% | L1 |
| THE BARCLAYS BANK UK RETIREMENT FUND | 1.080 | 0,001% | L1 |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 5.456 | 0,003% | L1 |
| THE CHARLOTTE-MECKLENBURG HOSPITAL AUTHORITY | 10.928 | 0,005% | L1 |
| THE CIVIL SERVICE SUPERANNUATION FUND | 47.703 | 0,023% | L1 |
| THE COMMONWEALTH FUND | 94 | 0,000% | L1 |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 1.258 | 0,001% | L1 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE DIRECTORS OF THE CHINESE YOUNG MEN'S CHRISTIAN ASSOCIATI | 513 | 0,000% | L1 | |
| THE GLENCORE CANADIAN PENSION FUNDS TRUST-FOREIGN EQUITY | 52.245 | 0,025% | L1 | |
| FUND THE GROWTH FUND OF AMERICA |
5.358.544 | 2,604% | L1 | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 109 | 0,000% | L1 | |
| THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED MONTHLY RATED EMPLOYEES PROVIDENT FUND SCHEME |
2.039 | 0,001% | L1 | |
| THE LILLY RETIREMENT PLAN MASTER TRUST ELI LILLY AND COMPANY | 83.062 | 0,040% | L1 | |
| The Magna Foundation | 1.787 | 0,001% | L1 | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY | 5.621 | 0,003% | L1 | |
| INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL |
466 | 0,000% | L1 | |
| EQUITY INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY |
16.410 | 0,008% | L1 | |
| INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL EQUITY |
10.232 | 0,005% | L1 | |
| ACTIVE FUND FOR QUALIFIED INSTITUTION THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION |
10.408 | 0,005% | L1 | |
| OF NATIONAL PUBLIC SERVICE PERSONNEL THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
113.633 | 0,055% | L1 | |
| MTBJ400045828 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
219.258 | 0,107% | L1 | |
| MTBJ400045829 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
233.264 | 0,113% | L1 | |
| MUTB400045792 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
273.582 | 0,133% | L1 | |
| MUTB400045794 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL |
||||
| PENSION FUND ASSOCIATION 400037061 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
4.530 | 0,002% | L1 | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 1.672 | 0,001% | L1 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
8.182 | 0,004% | L1 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | L1 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | L1 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY PASSIVE MOTHER FUND (ONLY FOR PENSION |
4.025 | 0,002% | L1 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT T |
23.472 | 0,011% | L1 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X (JPY HEDGED) (PRIVATELY PLACED INVEST |
3.034 | 0,001% | L1 | |
| THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK ESG INSIGHTS EUROPE |
5.242 | 0,003% | L1 | |
| THE NATURE CONSERVANCY | 1 | 0,000% | L1 | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | L1 | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 61.856 | 0,030% | L1 | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | L1 | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 119.604 | 0,058% | L1 | |
| THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL UNIVERSITY |
5.369 | 0,003% | L1 | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | L1 | |
| THE STATE OF NEVADA | 1.656 | 0,001% | L1 | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES (BERMUDA) LIMITED |
453 | 0,000% | L1 | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 5.401 | 0,003% | L1 | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & |
4.891 | 0,002% | L1 | |
| RICHARD WONG TTEES 535 | 199 | 0,000% | L1 | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 | 1.891 | 0,001% | L1 | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | L1 | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO THYSSEN GLOBAL INVESTMENTS CORP |
2.018 157 |
0,001% 0,000% |
L1 L1 |
|
| TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND | 445.951 | 0,217% | L1 | |
| TIAACREF INTERNATIONAL EQUITY FUND | 1.307.128 | 0,635% | L1 |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 232.530 | 0,113% | L1 | |
| TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND | 28.282 | 0,014% | L1 | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 3.056 | 0,001% | L1 | |
| TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 1.503 | 0,001% | L1 | |
| TOCQUEVILLE CROISSANCE EURO IS | 270.661 | 0,132% | L1 | |
| TONI ACTIONS ISR 100 | 10.297 | 0,005% | L1 | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER | ||||
| INV | 11.041 | 0,005% | L1 | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 925 | 0,000% | L1 | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 2.638 | 0,001% | L1 | |
| True Potential Investments LLP | 321.471 | 0,156% | L1 | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 10 | 6.735 | 0,003% | L1 | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 1.646 | 0,001% | L1 | |
| INVESTMENT FUND TRUST NUMBER 21 | ||||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 11.160 | 0,005% | L1 | |
| INVESTMENT FUND TRUST NUMBER 3 | ||||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
693 | 0,000% | L1 | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | L1 | |
| TRUTH INITIATIVE FOUNDATION | 1.163 | 0,001% | L1 | |
| TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA | ||||
| ADVISERS LP ACTING AS INVESTMENT ADVISER | 377.000 | 0,183% | L1 | |
| TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. | 405 | 0,000% | L1 | |
| TWU Superannuation Fund | 1.687 | 0,001% | L1 | |
| UBAM | 31.734 | 0,015% | L1 | |
| UBAM - EUROPE SMALL CAP EQUITY | 13.499 | 0,007% | L1 | |
| UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY | 32.954 | 0,016% | L1 | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 13.107 | 0,006% | L1 | |
| UFF VALEUR PME | 206.481 | 0,100% | L1 | |
| UI-E | 5.465 | 0,003% | L1 | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 212 | 0,000% | L1 | |
| UNI-GLOBAL SICAV | 2.886 | 0,001% | L1 | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE | ||||
| REFUGEE | 1.095 | 0,001% | L1 | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | 50.244 | 0,024% | L1 | |
| MASTER TRU | ||||
| UNITY FUND | 20.474 | 0,010% | L1 | |
| UNIVERSAL INVEST SICAV | 223.368 | 0,109% | L1 | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | L1 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK | ||||
| A1-FONDS | 224.924 | 0,109% | L1 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK | ||||
| A4-FONDS | 19.415 | 0,009% | L1 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | 2.945 | 0,001% | L1 | |
| BROCKEN-UI-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | 2.004 | 0,001% | L1 | |
| UNIVERSAL-CA V UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL |
||||
| EURO | 17.216 | 0,008% | L1 | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN | ||||
| ENHANCE | 228 | 0,000% | L1 | |
| UPS GROUP TRUST | 58.308 | 0,028% | L1 | |
| VALORACTIONS | 2.500 | 0,001% | L1 | |
| VANGUARD INTERNATIONAL EXPLORER FUND | 79.023 | 0,038% | L1 | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 7.768 | 0,004% | L1 | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | 2.992 | 0,001% | L1 | |
| PORTFOLIO | ||||
| VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS | 8.361 | 0,004% | L1 | |
| VENEZIO INVESTMENTS PTE. LTD. | 1.409.998 | 0,685% | L1 | |
| VERDIPAPIRFONDET DNB EUROPA | 3.947 | 0,002% | L1 | |
| VERDIPAPIRFONDET DNB GLOBAL INDEKS | 20.768 | 0,010% | L1 | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 13.855 | 0,007% | L1 | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 39.762 | 0,019% | L1 |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 3.596 | 0,002% | L1 | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 838 | 0,000% | L1 | |
| VF (Lux) - Valiant Europe Equities | 2.369 | 0,001% | L1 | |
| VGV POOLFONDS PA1 | 4.722 | 0,002% | L1 | |
| VIA AM SICAV VIA ABSOLUTE RETURN | 9.167 | 0,004% | L1 | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 1.027 | 0,000% | L1 | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 2.873 | 0,001% | L1 | |
| VILLIERS ACTIONS EUROPE SYST AGI | 36.080 | 0,018% | L1 | |
| VILLIERS DIAPASON | 1.980 | 0,001% | L1 | |
| VIRGINIA RETIREMENT SYSTEM | 881 | 0,000% | L1 | |
| VIRGINIA TECH FOUNDATION INC | 972 | 0,000% | L1 | |
| VIVACCIO ISR ACTIONS | 40.040 | 0,019% | L1 | |
| VONTOBEL FUND - VESCORE GLOBAL EQUITY MULTI FACTOR | 456 | 0,000% | L1 | |
| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | ||||
| C/O VONTOBEL FONDS SERVICES AG | 252 | 0,000% | L1 | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | L1 | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND | 7.884 | 0,004% | L1 | |
| WASHINGTON STATE INVESTMENT BOARD | 145.588 | 0,071% | L1 | |
| WELLS FARGO INTERNATIONAL GROWTH PORTFOLIO | 4.700 | 0,002% | L1 | |
| WHEELS COMMON INVESTMENT FUND. | 1.612 | 0,001% | L1 | |
| WHOLESALE INTERNATIONAL CORE EQUITIES | 316 | 0,000% | L1 | |
| WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED | 496 | 0,000% | L1 | |
| WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST | 40.400 | 0,020% | L1 | |
| WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND | 48.062 | 0,023% | L1 | |
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,039% | L1 | |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | L1 | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 7.925 | 0,004% | L1 | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,048% | L1 | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | L1 | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | L1 | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
36.694 | 0,018% | L1 | |
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | L1 | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,006% | L1 | |
| WISDOMTREE WORLD EX-US GROWTH FUND | 20.724 | 0,010% | L1 | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,003% | L1 | |
| XTRACKERS | 208.841 | 0,101% | L1 | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 98.205 | 0,048% | L1 | |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 966 | 0,000% | L1 | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 1.244 | 0,001% | L1 | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 54.610 | 0,027% | L1 | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 9.949 | 0,005% | L1 | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 473 | 0,000% | L1 | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 1.376 | 0,001% | L1 | |
| ZURICH INVEST ICAV | 32.795 | 0,016% | L1 | |
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | L2 | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | L2 | |
| 1895 FONDS FGR | 16.454 | 0,008% | L2 | |
| ABB PENSION FUND | 500 | 0,000% | L2 | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | ||||
| EQUITY ENHANCED INDEX FUND | 16.513 | 0,008% | L2 | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY TRACKER FUND |
13.079 | 0,006% | L2 | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY ENHANCED INDEX FUND |
2.032 | 0,001% | L2 | |
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | L2 | |
| ABN AMRO FUNDS | 30.141 | 0,015% | L2 | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | L2 | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET ALLOCATION PORTFOLIO |
5.355 | 0,003% | L2 | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | 3.330 | 0,002% | L2 | |
| PORTFOLIO |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | L2 | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | L2 | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | L2 | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
852 | 0,000% | L2 | |
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | L2 | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | L2 | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | L2 | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | L2 | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | L2 | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | L2 | |
| Aktien Europa - UI | 6.384 | 0,003% | L2 | |
| ALGEBRIS UCITS FUNDS PLC ALGEBRIS CORE ITALY FUND | 40.000 | 0,019% | L2 | |
| ALLEANZA ASSICURAZIONI SPA | 38.144 | 0,019% | L2 | |
| ALLEANZA OBBLIGAZIONARIO | 25.134 | 0,012% | L2 | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 84.000 | 0,041% | L2 | |
| ALLIANZ CHOICE BEST STYLES EUROPE | 16.980 | 0,008% | L2 | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 128.320 | 0,062% | L2 | |
| ALLIANZ GLOBAL INVESTORS FUND | 107.277 | 0,052% | L2 | |
| Allianz Global Investors GmbH | 49.200 | 0,024% | L2 | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 19.391 | 0,009% | L2 | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT MASTER |
2.155 | 0,001% | L2 | |
| ALLIANZ GLOBAL INVESTORS GMBH RE ALLIANZGI-FONDS AOKNW-AR | 704 | 0,000% | L2 | |
| ALLIANZ ITALIA 50 SPECIAL | 2.500 | 0,001% | L2 | |
| Allianz PV-WS RCM SysPro Value Europe | 4.270 | 0,002% | L2 | |
| ALLIANZGI FONDS LUNA A | 53.791 | 0,026% | L2 | |
| ALLIANZGI S AKTIEN | 6.191 | 0,003% | L2 | |
| ALLIANZGI-FONDS AFE SEGMENT AFE-AA3 | 17.830 | 0,009% | L2 | |
| ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO | 8.500 | 0,004% | L2 | |
| ALLIANZGI-FONDS DSPT | 29.365 | 0,014% | L2 | |
| ALLIANZGI-FONDS DUNHILL | 1.820 | 0,001% | L2 | |
| ALLIANZGI-FONDS GANO 2 | 1.366 | 0,001% | L2 | |
| ALLIANZGI-FONDS MAF5 | 4.350 | 0,002% | L2 | |
| ALLIANZGI-FONDS PF1 SEGMENT PF1-GM1-G_MA | 9.274 | 0,005% | L2 | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-AA1-E_EUA | 10.561 | 0,005% | L2 | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-GM1-G_MA (MERITEN IM) | 6.986 | 0,003% | L2 | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-AA1-E_EUA | 30.087 | 0,015% | L2 | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-GM1-G_MA | 8.677 | 0,004% | L2 | |
| ALLIANZGI-FONDS SHL | 1.200 | 0,001% | L2 | |
| ALLIANZGI-SUBFONDS HNE AKTIEN A | 50.000 | 0,024% | L2 | |
| AMG GW AND K EMERGING WEALTH EQUITY FUND | 13.283 | 0,006% | L2 | |
| AMG GW AND K GLOBAL ALLOCATION FUND | 25.206 | 0,012% | L2 | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 17.825 | 0,009% | L2 | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | L2 | |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | L2 | |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | L2 | |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,018% | L2 | |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | L2 | |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | L2 | |
| AMUNDI ACTIONS PME | 205.868 | 0,100% | L2 | |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,025% | L2 | |
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,056% | L2 | |
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | L2 | |
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,005% | L2 | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,001% | L2 | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,011% | L2 | |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 6.076 | 0,003% | L2 | |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION | ||||
| SCIENTIFIC BETA | 687 | 0,000% | L2 | |
| AMUNDI INDEX MSCI EUROPE | 74.087 | 0,036% | L2 |



| BANSABADELL 18 FP | 365 | 0,000% | L2 |
|---|---|---|---|
| BEL EQUITY EUROPE ESG | 22.163 | 0,011% | L2 |
| BELL GLOBAL TRUST | 25.474 | 0,012% | L2 |
| BERENBERG ABSOLUTE RETURN EUROPEAN | 12.554 | 0,006% | L2 |
| BERENBERG AKTIEN | 21.674 | 0,011% | L2 |
| BERENBERG EUROPEAN FOCUS FUND | 665.492 | 0,323% | L2 |
| BERENBERG EUROZONE FOCUS FUND | 94.350 | 0,046% | L2 |
| BETURN | 10.374 | 0,005% | L2 |
| BEWAARSTICHTING NNIP I | 2.983 | 0,001% | L2 |

| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,012% | L2 |
|---|---|---|---|
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES | |||
| CORPORATE SERVICES LTD | 2.313 | 0,001% | L2 |
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,027% | L2 |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | L2 |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | L2 |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,049% | L2 |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT | |||
| GLOBAL GROWTH EQUITY MOTHE | 25.400 | 0,012% | L2 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | ||||
| MOTHER FUND(CURRENCY HEDGED) | 2.435 | 0,001% | L2 | |
| CYSTIC FIBROSIS FOUNDATION | 7.321 | 0,004% | L2 | |
| DBI-FONDS EBB | 2.399 | 0,001% | L2 | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO | 6.200 | 0,003% | L2 | |
| FUND | ||||
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | L2 | |
| DPAM B | 241.864 | 0,118% | L2 | |
| DPAM DBI RDT | 11.907 | 0,006% | L2 | |
| DPAM L | 4.150 | 0,002% | L2 | |
| DT EQUITY | 7.407 | 0,004% | L2 | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | L2 | |
| EAM - INCOME OPPORTUNITIES EBK-AKTIEN-UNIVERSAL-FONDS |
2.140 18.173 |
0,001% 0,009% |
L2 L2 |
|
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | L2 | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | L2 | |
| EMBO-FONDS | 5.813 | 0,003% | L2 | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | L2 | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | L2 | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | L2 | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | L2 | |
| EPS | 2.669 | 0,001% | L2 | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | L2 | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | L2 | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | L2 | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 | 946 | 0,000% | L2 | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 | 1.236 | 0,001% | L2 | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | L2 | |
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | L2 | |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | L2 | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | L2 | |
| EUF - ABSOLUTE RETURN SOLUTION EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG |
4.608 27.351 |
0,002% 0,013% |
L2 L2 |
|
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | L2 | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | L2 | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,005% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | L2 | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,084% | L2 | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,006% | L2 | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,033% | L2 | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,040% | L2 | |
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | L2 | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | L2 | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | L2 | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | L2 | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | L2 | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | L2 | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | L2 | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | L2 | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | L2 | |
| EUROPEAN CENTRAL BANK | 12.602 | 0,006% | L2 | |
| FCP BOURBON 7 | 20.180 | 0,010% | L2 | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | L2 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,005% | L2 | |
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,003% | L2 | |
| FCP SODIUM I | 17.051 | 0,008% | L2 | |
| FDC A2 TITRES | 5.962 | 0,003% | L2 | |
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,002% | L2 | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | L2 | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | L2 | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | L2 | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | L2 | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | L2 | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | L2 | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | L2 | |
| FLOURISH INVESTMENT CORPORATION | 353.509 | 0,172% | L2 | |
| FONDITALIA | 201.000 | 0,098% | L2 | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | L2 | |
| FONSOLBANK FP | 201 | 0,000% | L2 | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | L2 | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | L2 | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,004% | L2 | |
| FOVERUKA PENSION UNIVERSAL | 6.566 | 0,003% | L2 | |
| FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND | 9.341 | 0,005% | L2 | |
| FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 2.332 | 0,001% | L2 | |
| FRANK RUSSELL INVESTMENT CO II PLC | 6.218 | 0,003% | L2 | |
| FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 74 | 0,000% | L2 | |
| FULCRUM UCITS SICAV | 1.638 | 0,001% | L2 | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 6.195 | 0,003% | L2 | |
| G.A.-FUND-B - WORLD EQUITIES | 2.169 | 0,001% | L2 | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 103.072 | 0,050% | L2 | |
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA | 10.222 | 0,005% | L2 | |
| GENERALI INVESTMENTS SICAV | 1.830 | 0,001% | L2 | |
| GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS | 34.000 | 0,017% | L2 | |
| GENERALI ITALIA SPA | 26.722 | 0,013% | L2 | |
| GENERALI SMART FUNDS | 15.413 | 0,007% | L2 | |
| GENERALI VIE | 134.803 | 0,066% | L2 | |
| GERANA SICAV-SIF, S.A. | 53.252 | 0,026% | L2 | |
| GID-FONDS ALAET | 40.240 | 0,020% | L2 | |
| GID-FONDS CEAOT | 68.126 | 0,033% | L2 | |
| GID-FONDS DLAET | 6.220 | 0,003% | L2 | |
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,003% | L2 | |
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES | 5.009 | 0,002% | L2 | |
| LIMIT GLG PARTNERS LP |
8.509 | 0,004% | L2 | |
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | L2 | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | L2 | |
| GOLDMAN SACHS FUNDS | 15.313 | 0,007% | L2 | |
| GOVERNMENT PENSION INVESTMENT FUND | 59.682 | 0,029% | L2 | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | L2 | |
| GRD 12 ACTIONS | 35.360 | 0,017% | L2 | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | L2 | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | L2 | |
| HALEVY A1 | 35.923 | 0,017% | L2 | |
| HALEVY A2 | 36.004 | 0,017% | L2 | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | L2 | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | L2 | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | L2 | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | L2 | |
| HI-172915-Fonds | 1.508 | 0,001% | L2 | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT | ||||
| EXCHANGE | 2.177 | 0,001% | L2 | |
| HSBC ETFS PLC | 3.185 | 0,002% | L2 | |
| HSBC ETF'S PLC | 348 | 0,000% | L2 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS | 507 | 0,000% | L2 | |
| ETF | ||||
| HSBC ETFS PUBLIC LIMITED COMPANY | 478 | 0,000% | L2 | |
| HSBC EUROPEAN INDEX FUND HSBC Global Funds ICAV |
100.074 37.129 |
0,049% 0,018% |
L2 L2 |
|
| HSBC INDEX TRACKER INVESTMENT FUNDS ICVC | 12.285 | 0,006% | L2 | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 3.479 | 0,002% | L2 | |
| HSBC Life (International) Limited | 12.817 | 0,006% | L2 | |
| HSBC Managed Balanced Fund | 637 | 0,000% | L2 | |
| HSBC Managed Growth Fund | 1.023 | 0,000% | L2 | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
3.231 | 0,002% | L2 | |
| HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund | 17.572 | 0,009% | L2 | |
| HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY FUND |
10.759 | 0,005% | L2 | |
| HYMNOS | 13.980 | 0,007% | L2 | |
| IBM PERSONAL PENSION PLAN TRUST | 11.214 | 0,005% | L2 | |
| ICARE | 3.918 | 0,002% | L2 | |
| ICBCCS GLOBAL SELECTIVE EQUITY FUND | 11.445 | 0,006% | L2 | |
| IFM GLOBAL INDEXED EQUITIES FUND | 468 | 0,000% | L2 | |
| IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND | 225.983 | 0,110% | L2 | |
| II | 3.800 | 0,002% | L2 | |
| INDEP'AM | 139.100 | 0,068% | L2 | |
| INKA PBEAKK | 2.090 | 0,001% | L2 | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES |
25.561 | 0,012% | L2 | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | L2 | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | L2 | |
| INTERFUND SICAV | 15.000 | 0,007% | L2 | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | L2 | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | L2 | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L |
3.936 | 0,002% | L2 | |
| Internationale Kapitalanlagegesellschaft mbH | 232.221 | 0,113% | L2 | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | L2 | |
| INVESTITORI EUROPA | 3.300 | 0,002% | L2 | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | L2 | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | L2 | |
| IP ACTIONS EURO | 3.877 | 0,002% | L2 | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | L2 | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | L2 | |
| JAMES S QUARFORTH TUA DTD APRIL 25 2005 | 706 | 0,000% | L2 | |
| JOHN HANCOCK FUNDS III INTERNATIONAL GROWTH FUND. | 2.383.446 | 1,158% | L2 | |
| KAIROS INTERNATIONAL SICAV ITALIA | 74.000 | 0,036% | L2 | |
| KAIROS INTERNATIONAL SICAV ITALIA PIR | 5.000 | 0,002% | L2 | |
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | L2 | |
| KIEGER UCITS FUND | 14.982 | 0,007% | L2 | |
| LACM GLOBAL EQUITY FUND LP | 6.195 | 0,003% | L2 | |
| LACM WORLD EQUITY - DIVIDEND GROWTH CIT | 5 | 0,000% | L2 | |
| LACM WORLD EQUITY - WEALTH BUILDER CIT | 13 | 0,000% | L2 | |
| LATVIJAS BANKA | 2.798 | 0,001% | L2 | |
| LAUDUS INTERNATIONAL MARKETMASTERS FUND | 4.685 | 0,002% | L2 | |
| LCL ACTIONS EURO CORE+ | 7.185 | 0,003% | L2 | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 4.476 | 0,002% | L2 | |
| LCL ACTIONS MONDE HORS EUROPE EURO | 16.975 | 0,008% | L2 | |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,005% | L2 | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | L2 | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY FOC |
71.955 | 0,035% | L2 | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES FUND | 19.163 | 0,009% | L2 |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 82 | 0,000% | L2 | |
| LEGAL & GENERAL REAL CAPITAL BUILDER FUND | 29.340 | 0,014% | L2 | |
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | L2 | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) | 197.353 | 0,096% | L2 | |
| LIMITED | ||||
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | L2 | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | L2 | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | L2 | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,018% | L2 | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,057% | L2 | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | L2 | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | L2 | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | L2 | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | L2 | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | L2 | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | L2 | |
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS | 267.025 | 0,130% | L2 | |
| UMBRELLA | ||||
| LGIASUPER | 10.474 | 0,005% | L2 | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,004% | L2 | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | L2 | |
| LVUI EQUITY EUROPE | 15.960 | 0,008% | L2 | |
| LVUI EQUITY WORLD EX EUROPE | 1.500 | 0,001% | L2 | |
| LYX IND FD-LYXOR CORE STOXX EU | 96.735 | 0,047% | L2 | |
| LYX INV FDS - GARI EUROPEAN EQ | 35.026 | 0,017% | L2 | |
| LYXINDX FUND - LYXOR MSCI EMU | 5.605 | 0,003% | L2 | |
| LYXOR CORE MSCI WORLD (DR) UCI | 6.748 | 0,003% | L2 | |
| LYXOR FTSE MIB UCITS ETF | 281.217 | 0,137% | L2 | |
| LYXOR MSCI EUROPE UCITS ETF | 17.943 | 0,009% | L2 | |
| MACKENZIE EUROPEAN SMALL-MIDCAPFUND | 36.813 | 0,018% | L2 | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT ETF | 165 | 0,000% | L2 | |
| MACKENZIE GLOBAL LEADERSHIP IMPACT FUND | 225 | 0,000% | L2 | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 3.958 | 0,002% | L2 | |
| MAIN I - UNIVERSAL - FONDS | 32.574 | 0,016% | L2 | |
| MAIN VI-UNIVERSAL-FONDS | 461 | 0,000% | L2 | |
| MAN AHL DIVERSIFIED MARKETS EU BEUR- WORLD TRADE CENTER | 126 | 0,000% | L2 | |
| MAN DESERTWOOD FUND LIMITED C/O CITCO TRUSTEES (CAYMAN | 18.728 | 0,009% | L2 | |
| LIMITED) | ||||
| MAN FUNDS PLC MAN GLG PAN EUROPEAN EQUITY GROWTH | 260.406 | 0,127% | L2 | |
| MAN FUNDS PLC MAN GLG RI GLOBAL SUSTAINABLE GROWTH | 93.065 | 0,045% | L2 | |
| MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | 6.810 | 0,003% | L2 | |
| MAN FUNDS PLC MAN NUMERIC RI GLOBAL EQUITY | 3.140 | 0,002% | L2 | |
| MAN FUNDS VI PLC | 3.997 | 0,002% | L2 | |
| MAN FUNDS VIII ICAV-MAN AHL DIVERSIFIED. | 1.280 | 0,001% | L2 | |
| MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES | 3.905 | 0,002% | L2 | |
| (CAYMAN) LIMITED MAN FUNDS XII SPC-MAN 1783 III SP |
25 | 0,000% | L2 | |
| MAN GLG CONTINENTAL EUROPEAN GROWTH FUND | 1.269.306 | 0,617% | L2 | |
| MAN GLG EUROPEAN EQUITY ALTERNATIVE | 29.560 | 0,014% | L2 | |
| MAN INSIGHT LIMITED | 91 | 0,000% | L2 | |
| MAN INTERNATIONAL ICVC MAN DYNAMIC ALLOCATION FUND | 961 | 0,000% | L2 | |
| MAN MULTI-STRATEGY MASTER FUND MAPLES CORPORATE SERVICES | ||||
| LIMITES | 8.728 | 0,004% | L2 | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA QUALITY | 102 | 0,000% | L2 | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 4.390 | 0,002% | L2 | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN | ||||
| NUMERIC DIVERSIFIED RISK P REMIA PROGRESSIVE | 1.444 | 0,001% | L2 | |
| MAN NUMERIC EXPLORER MAPLES CORPORATE SERVICES LIMITED | 50 | 0,000% | L2 | |
| MAN NUMERIC INTERNATIONAL ALPHA (US) LP | 3.050 | 0,001% | L2 | |
| MAN NUMERIC LONG TERM ALPHA LP MAPLES CORPORATE SERVICES | ||||
| LIMITED | 2.570 | 0,001% | L2 | |
| MANAGED INVESTMENT FUNDS ICVCINTERNATIONAL EQUITY TRACKER FUND |
738 | 0,000% | L2 |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,005% | L2 | |
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,093% | L2 | |
| MANULIFE INVESTMENT MANAGEMENT I PLC | 27.279 | 0,013% | L2 | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | L2 | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | L2 | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | L2 | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 380.000 | 0,185% | L2 | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,058% | L2 | |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | L2 | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | L2 | |
| MERCER QIF CCF | 41.482 | 0,020% | L2 | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | L2 | |
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | L2 | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,013% | L2 | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | L2 | |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | L2 | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 760 | 0,000% | L2 | |
| MIGROS BANK (LUX) FONDS 50 | 730 | 0,000% | L2 | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 510 | 0,000% | L2 | |
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | L2 | |
| MLC INVESTMENTS, MLC LIMITED | 7.222 | 0,004% | L2 | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | L2 | |
| MTAA SUPERANNUATION FUND | 28.393 | 0,014% | L2 | |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND | 23.490 | 0,011% | L2 | |
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 45.755 | 0,022% | L2 | |
| MUL- LYX FTSE IT ALL CAP PIR | 4.088 | 0,002% | L2 | |
| MUL-LYX NET ZERO 2050 SP | 7.035 | 0,003% | L2 | |
| MUL-LYX NET ZERO 50 | 223.303 | 0,109% | L2 | |
| MUL-LYXOR MSCI EMU ESG LEADERS | 2.751 | 0,001% | L2 | |
| MUL-LYXOR MSCI WORLD CLIMATE | 866 | 0,000% | L2 | |
| MUL-LYXOR MSCI WORLD ESG LEADE | 4.911 | 0,002% | L2 | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,026% | L2 | |
| MULTI UNITS LUX-LYXOR CORE MSC | 13.880 | 0,007% | L2 | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 13.309 | 0,006% | L2 | |
| NATIONAL ELEVATOR INDUSTRY HEALTH BENEFIT PLAN | 5.202 | 0,003% | L2 | |
| NATIONAL PENSION INSURANCE FUND | 3.400 | 0,002% | L2 | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 17.073 | 0,008% | L2 | |
| NATIXIS INTERNATIONAL FUNDS (LUX) I | 92.122 | 0,045% | L2 | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 312.903 | 0,152% | L2 | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF | 6.350 | 0,003% | L2 | |
| ST. JAMES'S PLACE | ||||
| NBIMC EAFE EQUITY INDEX FUND. | 5.642 | 0,003% | L2 | |
| NCB CAPITAL COMPANY | 7.104 | 0,003% | L2 | |
| NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT GENERATION CONNECTED CONSUMER |
2.907 | 0,001% | L2 | |
| NGS SUPER | 279.139 | 0,136% | L2 | |
| NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 1.400 | 0,001% | L2 | |
| NN (L) SICAV | 6.599 | 0,003% | L2 | |
| OFI RS ALPHA SECTOR | 601 | 0,000% | L2 | |
| OMNIS PORTFOLIO INVESTMENTS ICVC - OMNIS DIVERSIFIED RETURNS | ||||
| FUND | 101 | 0,000% | L2 | |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | L2 | |
| ORANO DIVERSIFIE EQUILIBRE | 4.412 | 0,002% | L2 | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 22.106 | 0,011% | L2 | |
| PACE INTERNATIONAL EQUITY INVESTMENTS | 25.460 | 0,012% | L2 | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | L2 | |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | L2 | |
| PEOPLE'S BANK OF CHINA | 102.167 | 0,050% | L2 | |
| PERVALOR - ACTIONS | 1.150 | 0,001% | L2 | |
| PGIM BALANCED FUND | 1.092 | 0,001% | L2 | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | L2 | |
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,004% | L2 | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,000% | L2 |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | L2 | |
| PMPT INKA FONDS | 11.831 | 0,006% | L2 | |
| POOL REINSURANCE CO LTD | 544 | 0,000% | L2 | |
| PREDIQUANT A2 - ACTIONS EUROPE | 8.802 | 0,004% | L2 | |
| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | L2 | |
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | L2 | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | L2 | |
| PRIME SUPER | 3.439 | 0,002% | L2 | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND |
1.957 | 0,001% | L2 | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON NEXTGENERATION GLOBAL OPPORTUNITIES FUND |
3.943 | 0,002% | L2 | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,004% | L2 | |
| PUBLIC EMPLOYEES' LONG TERM CARE FUND | 421.861 | 0,205% | L2 | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 102.695 | 0,050% | L2 | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM 0F OHIO | 112.761 | 0,055% | L2 | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 25.744 | 0,013% | L2 | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF | ||||
| CHICAGO | 3.100 | 0,002% | L2 | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK Fund |
146.256 | 0,071% | L2 | |
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | L2 | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | L2 | |
| ReAssure Limited | 9.407 | 0,005% | L2 | |
| ROBECO CAPITAL GROWTH FUNDS | 1.108 | 0,001% | L2 | |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 1.465 | 0,001% | L2 | |
| ROPS EURO P | 18.805 | 0,009% | L2 | |
| ROPS-SMART INDEX EURO | 33.319 | 0,016% | L2 | |
| ROYAL LONDON EQUITY FUNDS ICVC | 30.791 | 0,015% | L2 | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | L2 | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | L2 | |
| RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND |
48.011 | 0,023% | L2 | |
| RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND |
20.563 | 0,010% | L2 | |
| RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND |
7.848 | 0,004% | L2 | |
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | L2 | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | L2 | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,010% | L2 | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL | 69.531 | 0,034% | L2 | |
| EQUITY FUND RUSSELL INVESTMENT COMPANY V PLC |
32.028 | 0,016% | L2 | |
| RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED MARKETS | 9.504 | 0,005% | L2 | |
| FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E |
175.855 | 0,085% | L2 | |
| PLUS FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI |
16.431 | 0,008% | L2 | |
| ASSET I-ASSET GROW RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL |
8.270 | 0,004% | L2 | |
| EQUIT RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND |
25.601 | 0,012% | L2 | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 3.137 | 0,002% | L2 | |
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.661 | 0,003% | L2 | |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 1.906 | 0,001% | L2 | |
| Russell Investments Sustainable Global Shares Fund | 843 | 0,000% | L2 | |
| RUSSELL INVESTMENTS SUSTAINABLEGLOBAL SHARES EX FOSSIL FUEL S | 294 | 0,000% | L2 | |
| FUND LVL 3 RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES FUND |
65.147 | 0,032% | L2 | |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 4.602 | 0,002% | L2 | |
| RUSSELL OVERSEAS EQUITY POOL . | 5.355 | 0,003% | L2 | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 1.885 | 0,001% | L2 | |
| SANLAM UNIVERSAL FUNDS PLC | 4.492 | 0,002% | L2 | |
| SAS TRUSTEE CORPORATION POOLED FUND | 10.974 | 0,005% | L2 |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 49.395 | 0,024% | L2 | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | 11.923 | 0,006% | L2 | |
| FUND SCHWAB INTERNATIONAL EQUITY ETF |
307.652 | 0,150% | L2 | |
| SCHWAB INTERNATIONAL INDEX FUND | 110.081 | 0,053% | L2 | |
| SDA INTL EQUITY INDEX FD-WORLD | 6.231 | 0,003% | L2 | |
| SEI GLOBAL MASTER FUND PLC | 2.321 | 0,001% | L2 | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION | ||||
| FUND | 1.664 | 0,001% | L2 | |
| SG ACTIONS EURO | 6.991 | 0,003% | L2 | |
| SG ACTIONS FRANCE LARGECAP | 1.345 | 0,001% | L2 | |
| SG ACTIONS LUXE | 135.089 | 0,066% | L2 | |
| SG DIVERSIFIE FRANCE | 2.204 | 0,001% | L2 | |
| SOGECAP ACTIONS | 110.578 | 0,054% | L2 | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | L2 | |
| SOLIDARITES | 1.917 | 0,001% | L2 | |
| STANDARD BANK OF SOUTH AFRICA LTD | 7.338 | 0,004% | L2 | |
| STAR PASTEUR | 7.107 | 0,003% | L2 | |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | L2 | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,111% | L2 | |
| STICHTING PENSIOENFONDS ING | 10.633 | 0,005% | L2 | |
| STICHTING PENSIOENFONDS NOTARIAAT | 915 | 0,000% | L2 | |
| STICHTING PGGM DEPOSITARY | 123.225 | 0,060% | L2 | |
| STICHTING RABOBANK PENSIOENFONDS | 31.214 | 0,015% | L2 | |
| STICHTING SPOORWEGPENSIOENFONDS | 9.340 | 0,005% | L2 | |
| STRATEGY SICAV | 1.750 | 0,001% | L2 | |
| STYRAX EQUITIES LTD. | 150.000 | 0,073% | L2 | |
| SUEBIA-FONDS | 16.399 | 0,008% | L2 | |
| Swiss National Bank | 747.726 | 0,363% | L2 | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,003% | L2 | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | L2 | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 4.853 | 0,002% | L2 | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
18.297 | 0,009% | L2 | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 144.020 | 0,070% | L2 | |
| THE BANK OF KOREA | 13.437 | 0,007% | L2 | |
| THE ENDEAVOUR II FUND. | 528 | 0,000% | L2 | |
| THE HARTFORD INTERNATIONAL GROWTH FUND | 171.859 | 0,084% | L2 | |
| THE INCUBATION FUND LTD | 254 | 0,000% | L2 | |
| THE LABOUR UNION CO-OPERATIVE RETIREMENT FUND | 794 | 0,000% | L2 | |
| The Marks And Spencer Worldwide Managed Fund | 9.864 | 0,005% | L2 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| GOVERNMENT PENSION INVESTMENT FUND 400045887 | 15.443 | 0,008% | L2 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MTBJ400045832 |
34.619 | 0,017% | L2 | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MUTB400045795 |
193.020 | 0,094% | L2 | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | L2 | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | L2 | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | L2 | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION | ||||
| MULTIPLE COLLECTIVE INVESTMENT | 308.939 | 0,150% | L2 | |
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE | 68.017 | 0,033% | L2 | |
| THREADNEEDLE (LUX | 21.528 | 0,010% | L2 | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. | 124.892 | 0,061% | L2 | |
| THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA THREADNEEDLE INVESTMENTS |
14.497 | 0,007% | L2 | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | L2 | |
| TJ-NONQUALIFIED LLC | 15.758 | 0,008% | L2 | |
| TJ-QUALIFIED LLC | 11.225 | 0,005% | L2 | |
| TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 461 | 0,000% | L2 | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 45.023 | 0,022% | L2 |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TRINITY COLLEGE CAMBRIDGE | 3.467 | 0,002% | L2 | |
| TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION | 36.008 | 0,017% | L2 | |
| U.S. GLOBAL INVESTORS FUNDS | 9.000 | 0,004% | L2 | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 13.513 | 0,007% | L2 | |
| UBS (IRL) INVESTOR SELECTION PLC | 10.309 | 0,005% | L2 | |
| UBS (LUX) EQUITY SICAV | 103.750 | 0,050% | L2 | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 47.129 | 0,023% | L2 | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,042% | L2 | |
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE | 1.901 | 0,001% | L2 | |
| UBS (LUX) KEY SELECTION SICAV | 5.631 | 0,003% | L2 | |
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY | ||||
| (USD) | 1.641 | 0,001% | L2 | |
| UBS (LUX) SICAV 1 | 133 | 0,000% | L2 | |
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 824 | 0,000% | L2 | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE | 540 | 0,000% | L2 | |
| (USD) | ||||
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM | 2.156 | 0,001% | L2 | |
| (USD) | ||||
| UBS (US) GROUP TRUST | 13.145 | 0,006% | L2 | |
| UBS AM (D) GMBH / UBS412 | 13.300 | 0,006% | L2 | |
| UBS ASSET MANAGEMENT LIFE LTD | 39.500 | 0,019% | L2 | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH | 9.869 | 0,005% | L2 | |
| INVESTINSTITUTIONAL FUN | ||||
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 10.962 | 0,005% | L2 | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 182.621 | 0,089% | L2 | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 281 | 0,000% | L2 | |
| UBS LUX FUND SOLUTIONS | 175.192 | 0,085% | L2 | |
| UF 6 | 4.278 | 0,002% | L2 | |
| UI-FONDS BAV RBI AKTIEN | 17.551 | 0,009% | L2 | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 5.758 | 0,003% | L2 | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 9.708 | 0,005% | L2 | |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL | 9.009 | 0,004% | L2 | |
| FONDS | ||||
| Universal Investment GmbH UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG AKTIEN |
94.420 | 0,046% | L2 | |
| GLOBAL PLUS | 67.000 | 0,033% | L2 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG MULTI | ||||
| ASSETDEFENSIVE | 10.000 | 0,005% | L2 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | 1.100 | 0,001% | L2 | |
| COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO | 13.441 | 0,007% | L2 | |
| UNIVERSAL-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT | 5.980 | 0,003% | L2 | |
| EURO AKTIEN SOLVENCY UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT |
||||
| EURO AKTIEN VOLCONTROL | 6.000 | 0,003% | L2 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US | ||||
| UNIVERSAL-FONDS | 77.354 | 0,038% | L2 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB | 375 | 0,000% | L2 | |
| UNIVERSAL-FONDS | ||||
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 17.328 | 0,008% | L2 | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | L2 | |
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | L2 | |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | L2 | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | L2 | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.551.670 | 0,754% | L2 |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 2.626 | 0,001% | L2 |
|---|---|---|---|
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | L2 |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
10.454 | 0,005% | L2 |
| VANGUARD EUROPEAN STOCK INDEX FUND | 467.062 | 0,227% | L2 |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
6.838 | 0,003% | L2 |

| HC RENTE | 1.558 | 0,001% | C |
|---|---|---|---|
| OPTIMUM GESTION DE PLACEMENTS INC | 5.630 | 0,003% | C |
| SIEMENS ABSOLUTE RETURN | 1.739 | 0,001% | C |
| SIEMENS BALANCED | 3.629 | 0,002% | C |
| SIEMENS DC BALANCED | 445 | 0,000% | C |
| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | C |
| SIEMENS EMU EQUITIES | 13.972 | 0,007% | C |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,001% | C |
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,016% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AQUARIUS INTERNATIONAL FUND | 774 | 0,000% | A | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | A | |
| CANADIAN WORLD FUND LIMITED . | 22.000 | 0,011% | A | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,000% | A | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | A | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | A | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| HUSSMAN STRATEGIC INTERNATIONAL FUND | 1.000 | 0,000% | A | |
| ILA - RAFIMF | 2.531 | 0,001% | A | |
| ILA-LA WORLD ESG SCREENED FUND | 3.306 | 0,002% | A | |
| IRISH LIFE ASSURANCE PLC | 94.732 | 0,046% | A | |
| IRISH LIFE ASSURANCE. | 22.012 | 0,011% | A | |
| MERCER QIF CCF | 16.179 | 0,008% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A | |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | A | |
| SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF |
11.983 | 0,006% | A | |
| SEASONS SERIES TRUST SA PUTNAM ASSET ALLOCATION DIVERSIFIED GROW |
1.902 | 0,001% | A | |
| STATE OF WISCONSIN INVESTMENT BOARD | 16.802 | 0,008% | A | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 18.637 | 0,009% | A | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,004% | A | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT |
229 | 0,000% | A | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO |
489 | 0,000% | A | |
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL EQUITIES |
140.429 | 0,068% | A | |
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL ALLOCATION PORT |
1.613 | 0,001% | A | |
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED PORTFOLIO |
25.178 | 0,012% | A | |
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION GROWTHPORTF |
9.070 | 0,004% | A | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | A | |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | A | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | A | |
| WISDOMTREE ISSUER ICAV | 15.102 | 0,007% | A | |
| KUTXABANK GESTION SGIIC, S.A. | 210.135 | 0,102% | NV |
Totale votanti 205.772.104 100%
NE - Non espresso
C - Contrario A - Astenuto Lx - Lista x NV - Non votante
Legenda

Nomina del Consiglio di Amministrazione: Determinazione del compenso dei componenti il Consiglio di Amministrazione.
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 110.070.270 | 53,49134% | 40,21819% |
| Contrario | 94.378.078 | 45,86534% | 34,48448% |
| Astenuto | 1.017.721 | 0,49459% | 0,37186% |
| Non Votante | 306.035 | 0,14873% | 0,11182% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica CF/PI Azioni % su Votanti Voto ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET 5.355 0,003% F ALLOCATION PORTFOLIO ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION 3.330 0,002% F PORTFOLIO AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH AND INCOME 44.828 0,022% F FUND AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH FUND 217.370 0,106% F ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST 1.420 0,001% F AQUARIUS INTERNATIONAL FUND 774 0,000% F AST QMA INTERNATIONAL CORE EQUITY PORTFOLIO 912 0,000% F BLOOMBERG FINANCE L.P. 148.344 0,072% F BRIDGE BUILDER INTERNATIONAL 9.810 0,005% F CANADIAN WORLD FUND LIMITED . 22.000 0,011% F CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST 64.910 0,032% F CAPITAL INTERNATIONAL FUND 7.623 0,004% F CAPITAL WORLD GROWTH AND INCOME FUND 2.567.919 1,248% F CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA 453 0,000% F COGEFI ELIXIR ISR 2.330 0,001% F CORONATION GLOBAL EMERGING MARKETS FLEXIBLE (ZAR) FUND 7.380 0,004% F CORONATION GLOBAL OPPORTUNITIES FUND 10.962 0,005% F CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH 4.197.287 2,040% F QUALITY GROWTH EQUITY MOT DOUBLE SRL 09589910963 54.414.063 26,444% F EIFFEL NOVA MIDCAP 19.146 0,009% F EPSILON SGR - EPSILON DLONGRUN 61 0,000% F EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 946 0,000% F EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 1.236 0,001% F EPSILON SGR - EPSILON QRETURN 3.155 0,002% F ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER 544.610 0,265% F FUND EURIZON CAPITAL SGR - EURIZON AM MITO 50 28.847 0,014% F EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR 546 0,000% F |
|---|
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO 3.182 0,002% F |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO 10.304 0,005% F |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO 4.525 0,002% F |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO 7.991 0,004% F |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND 7.432 0,004% F |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II 1.828 0,001% F |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA 172.647 0,084% F |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI 13.270 0,006% F |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 68.006 0,033% F |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 81.693 0,040% F |
| EURIZON CAPITAL SGR - EURIZON RENDITA 1.931 0,001% F |
| FCP MANDARINE OPTIMAL VALUE 5.942 0,003% F |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED 58.400 0,028% F |
| POOL FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS 342.300 0,166% F |
Nomina del Consiglio di Amministrazione: Determinazione del compenso dei componenti il Consiglio di Amministrazione.

Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Spafid S.p.A. nella persona della Dott.ssa Elena Perani

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND | 58.667 | 0,029% | F | |
| FIDELITY FOUNDERS INVESTMENT TRUST | 33.300 | 0,016% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,022% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,012% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,040% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 0,826% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F | |
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,231% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,006% | F | |
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 161.097 | 0,078% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | F | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,001% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F | |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,001% | F | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | F | |
| GIN S.R.L. | 11666950966 | 779.732 | 0,379% | F |
| GLOBAL ESG HIGHQUALITY GROWTH EQUITY MOTHER FUND | 5.016.687 | 2,438% | F | |
| GLOBAL OPPORTUNITY FUND I | 141.617 | 0,069% | F | |
| GLOBAL OPPORTUNITY FUND N (FOR TAXEXEMPT QII ONLY) | 72.921 | 0,035% | F | |
| Hitachi Master Fund - GL Opportunity Equity Fund | 58.991 | 0,029% | F | |
| HUSSMAN STRATEGIC INTERNATIONAL FUND | 1.000 | 0,000% | F | |
| INTERNATIONAL OPPORTUNITY FUND I | 66.547 | 0,032% | F | |
| JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN | 57.962 | 0,028% | F | |
| KAIROS INTERNATIONAL SICAV ITALIA KAIROS INTERNATIONAL SICAV ITALIA PIR |
74.000 5.000 |
0,036% 0,002% |
F F |
|
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | F | |
| KINSTED GLOBAL EQUITY POOL | 59.251 | 0,029% | F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL | ||||
| EQUITY MASTER INVESTMENT TRUST 3 | 145.559 | 0,071% | F | |
| KUTXABANK GESTION SGIIC, S.A. | 210.135 | 0,102% | F | |
| LEFEVI S.R.L. | 11656180962 | 711.507 | 0,346% | F |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS MASTER TR |
25.875 | 0,013% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 55.671 | 0,027% | F | |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK INDEX Fund |
34.007 | 0,017% | F | |
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT | 9.900 | 0,005% | F | |
| MANDARINE UNIQUE SMALLandMID CAPS EUROPE | 192.000 | 0,093% | F | |
| MARS S.R.L. | 11666960965 | 779.732 | 0,379% | F |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O MARSHALL WACE IRELAND LTD |
1.802.175 | 0,876% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | F | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,170% | F | |
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,377% | F | |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO | 4.361.926 | 2,120% | F | |
| MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO | 1.942.734 | 0,944% | F | |
| MORGAN STANLEY EUROPE OPPORTUNITY FUND INC | 264.491 | 0,129% | F | |
| MUNICIPAL EMPLOYEES PENSION PLAN NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT |
72.164 271.608 |
0,035% 0,132% |
F F |
|
| TRUST NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF |
||||
| ST. JAMES'S PLACE | 154.869 | 0,075% | F | |
| NINETY ONE GLOBAL STRATEGY FUND | 212.168 | 0,103% | F | |
| NINETY ONE PROFESSIONAL INVESTMENT FUNDS PCC LIMITED - GLOBAL BALANCED (SA) FUND |
274.576 | 0,133% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| NISSAN NORTH AMERICA INC. EMPLOYEE RETIREMENT PLAN MASTER | 35.126 | 0,017% | F | |
| TRUST | ||||
| OPTIMUM GESTION DE PLACEMENTS INC | 5.630 | 0,003% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND PGIM QMA INTERNATIONAL EQUITY FUND |
865 1.836 |
0,000% 0,001% |
F F |
|
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| Prudential Pensions Limited | 3.218 | 0,002% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,004% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| SAN JOSE FEDERATED CITY EMPLOYEES RETIREMENT SYST | 27.282 | 0,013% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 18.637 | 0,009% | F | |
| TAMBURI INVESTMENT PARTNERS S.P.A. | 10869270156 | 2.050.000 | 0,996% | F |
| THE GLENCORE CANADIAN PENSION FUNDS TRUST-FOREIGN EQUITY | 52.245 | 0,025% | F | |
| FUND | ||||
| THE GROWTH FUND OF AMERICA | 5.358.544 | 2,604% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | F | |
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | F | |
| VENEZIO INVESTMENTS PTE. LTD. | 1.409.998 | 0,685% | F | |
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | C | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | C | |
| 1895 FONDS FGR | 16.454 | 0,008% | C | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | C | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | C | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | C | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | C | |
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | C | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO |
606 | 0,000% | C | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | C | |
| ABB PENSION FUND | 500 | 0,000% | C | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | ||||
| EQUITY ENHANCED INDEX FUND | 16.513 | 0,008% | C | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY TRACKER FUND |
13.079 | 0,006% | C | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | ||||
| ENHANCED INDEX FUND | 2.032 | 0,001% | C | |
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | C | |
| ABN AMRO FUNDS | 30.141 | 0,015% | C | |
| ABU DHABI PENSION FUND | 29.056 | 0,014% | C | |
| ADVANCE PLANNING LIMITED | 895 | 0,000% | C | |
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | C | |
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | C | |
| ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND | 3.380 | 0,002% | C | |
| AEGON CUSTODY B.V. | 58.811 | 0,029% | C | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | C | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | C | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE |
11.547 | 0,006% | C | |
| SERVICES LIMITED | 852 | 0,000% | C | |
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | C | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | C | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | C | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | C | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | C | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | C | |
| Aktien Europa - UI | 6.384 | 0,003% | C | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | C | |
| ALASKA PERMANENT FUND CORPORATION | 8.028 | 0,004% | C | |
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,001% | C | |
| ALGEBRIS UCITS FUNDS PLC ALGEBRIS CORE ITALY FUND | 40.000 | 0,019% | C | |
| ALGER GLOBAL FOCUS FUND | 14.053 | 0,007% | C | |
| ALICE A PROIETTI FAMILY TRUST UAD 09/27/13 | 684 | 0,000% | C | |
| ALIGHT SOLUTIONS LLC 401(K) PLAN TRUST | 3.660 | 0,002% | C | |
| ALLEANZA OBBLIGAZIONARIO | 25.134 | 0,012% | C | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 84.000 | 0,041% | C | |
| ALLIANZ CHOICE BEST STYLES EUROPE ALLIANZ EUROPEAN PENSION INVESTMENTS |
16.980 128.320 |
0,008% 0,062% |
C C |
|
| ALLIANZ GLOBAL INVESTORS FUND | 107.277 | 0,052% | C | |
| Allianz Global Investors GmbH | 49.200 | 0,024% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 19.391 | 0,009% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT | ||||
| MASTER | 2.155 | 0,001% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH RE ALLIANZGI-FONDS AOKNW-AR | 704 | 0,000% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 2.500 | 0,001% | C | |
| Allianz PV-WS RCM SysPro Value Europe | 4.270 | 0,002% | C | |
| ALLIANZGI FONDS LUNA A | 53.791 | 0,026% | C | |
| ALLIANZGI S AKTIEN | 6.191 | 0,003% | C | |
| ALLIANZGI-FONDS AFE SEGMENT AFE-AA3 | 17.830 | 0,009% | C | |
| ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO | 8.500 | 0,004% | C | |
| ALLIANZGI-FONDS DSPT | 29.365 | 0,014% | C | |
| ALLIANZGI-FONDS DUNHILL ALLIANZGI-FONDS GANO 2 |
1.820 1.366 |
0,001% 0,001% |
C C |
|
| ALLIANZGI-FONDS MAF5 | 4.350 | 0,002% | C | |
| ALLIANZGI-FONDS PF1 SEGMENT PF1-GM1-G_MA | 9.274 | 0,005% | C | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-AA1-E_EUA | 10.561 | 0,005% | C | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-GM1-G_MA (MERITEN IM) | 6.986 | 0,003% | C | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-AA1-E_EUA | 30.087 | 0,015% | C | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-GM1-G_MA | 8.677 | 0,004% | C | |
| ALLIANZGI-FONDS SHL | 1.200 | 0,001% | C | |
| ALLIANZGI-SUBFONDS HNE AKTIEN A | 50.000 | 0,024% | C | |
| ALLSTATE INSURANCE COMPANY | 13.511 | 0,007% | C | |
| ALPS GLOBAL TRAVEL BENEFICIARIES ETF | 499 | 0,000% | C | |
| ALTE LEIPZIGER TRUST INVESTMENT GESELLSCHAFT MBH | 2.537 | 0,001% | C | |
| AMCETF QUALITY DIVERSIFIED INTERNATIONAL ETF | 3.677 | 0,002% | C | |
| AMERICAN BUREAU OF SHIPPING | 97 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 8.725 | 0,004% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 821 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF |
29 | 0,000% | C | |
| AMERICAN HEART ASSOCIATION, INC. | 166 | 0,000% | C | |
| AMG GW AND K EMERGING WEALTH EQUITY FUND | 13.283 | 0,006% | C | |
| AMG GW AND K GLOBAL ALLOCATION FUND | 25.206 | 0,012% | C | |
| AMO UCITS FUND | 95.702 | 0,047% | C | |
| AMONIS NV | 15.346 | 0,007% | C | |
| AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND | 5.248 | 0,003% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 17.825 | 0,009% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | C | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | C | |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | C | |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | C |

| AQR INNOVATION FUND, L.P. | 184 | 0,000% | C |
|---|---|---|---|
| AQR STOCK SELECTION II MASTER ACCOUNT L.P. C/O AQR | 264 | 0,000% | C |
| MANAGEMENT LLC | |||
| AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC | 71 | 0,000% | C |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | C |
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,060% | C |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,010% | C |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | C |
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ARIZONA STATE RETIREMENT SYSTEM | 55.292 | 0,027% | C | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | C | |
| ARPEGE ACTIONS | 1.500 | 0,001% | C | |
| ARRCO LONG TERME F | 47.791 | 0,023% | C | |
| ARRCO QUANT 1 | 10.271 | 0,005% | C | |
| ARRCO QUANT 2 | 17.676 | 0,009% | C | |
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,025% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,033% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,014% | C | |
| ARROWSTREET GLOBAL EQUITY FUND | 59.945 | 0,029% | C | |
| ARROWSTREET US GROUP TRUST | 9.825 | 0,005% | C | |
| ARTEMIS EUROPEAN OPPORTUNITIES FUND | 46.019 | 0,022% | C | |
| ARTISAN INTERNATIONAL SMALL-MID FUND | 436.900 | 0,212% | C | |
| ARTISAN INTERNATIONAL SMALL-MID TRUST | 8.557 | 0,004% | C | |
| ARUSHA BOURKE SEPARATE PROPERTY TRUST UAD 11/16/09 | 97 | 0,000% | C | |
| ARVEST FOUNDATION | 8 | 0,000% | C | |
| AS INTL EQUI - AEF II NON FLIP | 11.806 | 0,006% | C | |
| ASCENSION ALPHA FUND LLC | 624 | 0,000% | C | |
| ASR LEVENSVERZEKERING N.V. | 48.293 | 0,023% | C | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,003% | C | |
| ASSOCIATED BRITISH FOODS PENSION SCHEME | 208.770 | 0,101% | C | |
| ASSURDIX | 21.462 | 0,010% | C | |
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,006% | C | |
| ATCP-UI-FONDS | 1.905 | 0,001% | C | |
| ATOUT EUROLAND CORE + | 11.106 | 0,005% | C | |
| ATRIUM HEALTH FOUNDATION | 485 | 0,000% | C | |
| AUDIENS A3 | 2.250 | 0,001% | C | |
| AURION GLOBAL EQUITY FUND | 645 | 0,000% | C | |
| AUSTRALIA POST SUPERANNUATION SCHEME | 795 | 0,000% | C | |
| AUSTRALIAN CAPITAL TERRITORY | 6.435 | 0,003% | C | |
| Australian Catholic Superannuation and Retirement Fund | 1.933 | 0,001% | C | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,057% | C | |
| AUSTRALIANSUPER | 89.403 | 0,043% | C | |
| Aviva Investors Funds ACS - AI Europe Equity Ex UK Fund | 693.293 | 0,337% | C | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | ||||
| INTERNATIONAL INDEX TRACKING FUND | 3.020 | 0,001% | C | |
| Aviva Investors Passive Funds ACS - AI 30:70 Global Equity (Currency Hedged) Index Fund |
4.609 | 0,002% | C | |
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index | 30.843 | 0,015% | C | |
| Fund Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index |
||||
| Fund | 8.078 | 0,004% | C | |
| Aviva Investors Passive Funds ACS - AI Continental European Equity Index Fund |
44.931 | 0,022% | C | |
| Aviva Investors Passive Funds ACS - AI Developed European ex UK Equity Index Fund |
58.891 | 0,029% | C | |
| Aviva Investors Passive Funds ACS - AI Developed World ex UK | 10.931 | 0,005% | C | |
| Equity Index Fund AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
55 | 0,000% | C | |
| ASSET CORE FUND I AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND II | 323 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND III |
617 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND IV |
461 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 167 | 0,000% | C | |
| ASSET CORE FUND V AVIVA LIFE & PENSIONS IRELAND DAC |
6.814 | 0,003% | C | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | C | |
| AWARE SUPER | 37.693 | 0,018% | C | |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,006% | C | |
| AXA ROSENBERG EQUITY ALPHA TRUST | 1.910 | 0,001% | C | |
| AZ FUND 1 AZ ALLOCATION EUROPEAN DYNAMIC | 7.800 | 0,004% | C |
| AZ FUND 1 AZ ALLOCATION GLOBAL 1.250 0,001% C AZ FUND 1 AZ ALLOCATION GLOBAL INCOME 100.000 0,049% C AZ FUND 1 AZ ALLOCATION ITALIAN TREND 87.500 0,043% C AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 2.000 0,001% C AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 38.500 0,019% C AZ FUND 1 AZ ALTERNATIVE CORE BRANDS 90.000 0,044% C AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE 5.000 0,002% C AZ FUND 1 AZ EQUITY BORLETTI GLOBAL LIFESTYLE 150.000 0,073% C AZIMUT CAPITAL MANAGEMENT SGR S.P.A 7.625 0,004% C AZIMUT STRATEGIC TREND 220 0,000% C AZIMUT TRADING 220 0,000% C AZL DFA INTERNATIONAL CORE EQUITY FUND 1.945 0,001% C AZL INTERNATIONAL INDEX FUND 20.158 0,010% C AZL MSCI GLOBAL EQUITY INDEX FUND 1.545 0,001% C BANCO BILBAO VIZCAYA ARGENTARIA SA 10.666 0,005% C BANCO CENTRAL DE TIMOR-LESTE (BCTL) 12.768 0,006% C BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE 1.448 0,001% C FIDEICOMISO DE FOND O DE AHORRO DE PANAMA BANCOPOSTA EQUITY DEVELOPED COUNTRIES 1.604 0,001% C BANCOPOSTA GLOBAL EQUITY HEDGED LTE 321 0,000% C BANCOPOSTA GLOBAL EQUITY LTE 473 0,000% C BANCOPOSTA RINASCIMENTO 14.536 0,007% C BANK OF BOTSWANA. 1.396 0,001% C BANK OF KOREA 112.603 0,055% C BANSABADELL 18 FP 365 0,000% C BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY 1.883 0,001% C FUND BEAR CREEK INC 2.075 0,001% C BEAT DRUGS FUND ASSOCIATION 359 0,000% C BEL EQUITY EUROPE ESG 22.163 0,011% C BELFIUS EQUITIES NV 8.701 0,004% C BELFIUS PENSION FUND BALANCED PLUS 25.281 0,012% C BELFIUS PENSION FUND HIGH 79.211 0,038% C BELFIUS PENSION FUND LOW EQUITIES 10.754 0,005% C BELL ATLANTIC MASTER TRUST 691 0,000% C BELL GLOBAL TRUST 25.474 0,012% C BELLEVUE FUNDS (LUX) - BB ENTREPRENEUR EUROPE SMALL 10.552 0,005% C BELLSOUTH CORP RFA VEBA TRUST 2.800 0,001% C BERENBERG ABSOLUTE RETURN EUROPEAN 12.554 0,006% C BERENBERG AKTIEN 21.674 0,011% C BERENBERG EUROPEAN FOCUS FUND 665.492 0,323% C BERENBERG EUROZONE FOCUS FUND 94.350 0,046% C BESSEMER TRUST CO CLEARING ACCT 1.955 0,001% C BEST BUSINESS MODELS SRI 460.000 0,224% C Best Investment Corporation 2.311 0,001% C BETURN 10.374 0,005% C BEWAARSTICHTING NNIP I 2.983 0,001% C BFT EURO FUTUR ISR 7.250 0,004% C BFT PARTNERS VIA EQUITY EUROPE SRI 24.227 0,012% C BI Aktienfonds 3.196 0,002% C BIMCOR OVERSEAS POOLED FUND 21.207 0,010% C BLACKROCK - IG INTERNATIONALEQUITY POOL 500 0,000% C BLACKROCK ADVANTAGE GLOBAL FUN 282 0,000% C BLACKROCK ADVANTAGE INTERNATIONAL FUND 6.583 0,003% C BLACKROCK AUTHORISED CONTRACTUAL SCHEME I 229.060 0,111% C BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND 4.800 0,002% C BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND 93.391 0,045% C BLACKROCK CDN WORLD INDEX FUND 10.012 0,005% C BLACKROCK EUROFUND 27.878 0,014% C BLACKROCK FUND MANAGERS LTD 11.179 0,005% C BLACKROCK FUNDS I ICAV 27.166 0,013% C BLACKROCK GLOBAL FUNDS 479.224 0,233% C BLACKROCK GLOBAL INDEX FUNDS 11.696 0,006% C |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BLACKROCK INDEX SELECTION FUND | 139.296 | 0,068% | C | |
| BLACKROCK INSTITUTIONAL JERSEY FUNDS | 430 | 0,000% | C | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 37.571 | 0,018% | C | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | ||||
| FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 1.746.749 | 0,849% | C | |
| BLACKROCK INTERNATIONAL ALPHA TILTS FUND | 2.598 | 0,001% | C | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK | 2.575 | 0,001% | C | |
| VARIABLE SERIES FUNDS, INC. | ||||
| BLACKROCK LIFE LIMITED | 5.398 | 0,003% | C | |
| BLACKROCK LIFE LTD | 171.323 | 0,083% | C | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 41.254 | 0,020% | C | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | C | |
| BLACKROCK STRATEGIC FUNDS | 1.115 | 0,001% | C | |
| BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY FUND OF BLACKROCK FUNDS |
118 | 0,000% | C | |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND | ||||
| LIMITED | 23.740 | 0,012% | C | |
| BLK MAGI FUND A SERIES TRUST | 45 | 0,000% | C | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | C | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | ||||
| ETF | 1.444 | 0,001% | C | |
| BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 56.611 | 0,028% | C | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | C | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | C | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | C | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | C | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,031% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,048% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,009% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,003% | C | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,006% | C | |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 CAPPED | 100.000 | 0,049% | C | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | C | |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,005% | C | |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,008% | C | |
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,015% | C | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,012% | C | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 1.456 | 0,001% | C | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 6.047 | 0,003% | C | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | C | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | C | |
| BNZ Wholesale International Equities (Index) Fund | 3.882 | 0,002% | C | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | 4.893 | 0,002% | C | |
| AMERICA | ||||
| BOC PENSION INVESTMENT FUND | 45.308 | 0,022% | C | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | C | |
| BP PENSION FUND BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED |
3.370 | 0,002% | C | |
| RISKPORTFOLIO II | 8.687 | 0,004% | C | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | ||||
| PORTFOLIO | 982 | 0,000% | C | |
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET | ||||
| PORTFOLIO | 4.233 | 0,002% | C | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | C | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | C | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR | 231.446 | 0,112% | C | |
| FIDELITY FUNDS - ITALY | ||||
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 3.827 | 0,002% | C | |
| BS PENTAPENSION EMPRESA | 283 | 0,000% | C | |
| BT INTERNATIONAL SHARES INDEX FUND | 18.884 | 0,009% | C | |
| BT PENSION SCHEME. | 123.868 | 0,060% | C | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,002% | C | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 884 | 0,000% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 5.207 | 0,003% | C | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 19.498 | 0,009% | C | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,082% | C | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | C | |
| CALCIUM QUANT CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM |
7.645 205.374 |
0,004% 0,100% |
C C |
|
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,000% | C | |
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,044% | C | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,005% | C | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 1.629 | 0,001% | C | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 51.459 | 0,025% | C | |
| CANADIAN BROADCASTING CORPORATION | 9.177 | 0,004% | C | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | C | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | C | |
| CARDIF BNPP IP SMID CAP EURO | 106.666 | 0,052% | C | |
| CARDIF BNPP IP SMID CAP EUROPE | 40.970 | 0,020% | C | |
| CARPIMKO ACTIONS LO | 110.786 | 0,054% | C | |
| CATHAY LIFE INSURANCE CO LTD | 373.015 | 0,181% | C | |
| CAVOM DIVERSIFIE - POCHE ACT | 3.834 | 0,002% | C | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 1.019 | 0,000% | C | |
| CBIS GLOBAL FUNDS PUBLIC LTD CO | 9.236 | 0,004% | C | |
| CBP GROWTH SMC | 20.212 | 0,010% | C | |
| CC AND L Q 130/30 FUND II | 319 | 0,000% | C | |
| CC AND L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 2.628 | 0,001% | C | |
| CC AND L Q MARKET NEUTRAL FUND | 926 | 0,000% | C | |
| CC AND L Q MARKET NEUTRAL FUND II | 484 | 0,000% | C | |
| CC&L GLOBAL EQUITY FUND | 12 | 0,000% | C | |
| CC&L MULTI-STRATEGY FUND | 308 | 0,000% | C | |
| CC&L Q 130/30 FUND II | 12 | 0,000% | C | |
| CC&L Q EQUITY EXTENSION FUND | 38 | 0,000% | C | |
| CCANDL ALTERNATIVE GLOBAL EQUITY Central Bank of Ireland |
46 1.525 |
0,000% 0,001% |
C C |
|
| CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATIN | ||||
| ICIPATING EMPLOYERS | 12.295 | 0,006% | C | |
| CENTRAL PROVIDENT FUND BOARD | 526 | 0,000% | C | |
| CERVURITE INTERNATIONAL LLC | 10.806 | 0,005% | C | |
| CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | 3.274 | 0,002% | C | |
| CHEVRON MASTER PENSION TRUST | 77.866 | 0,038% | C | |
| CHEVRON UK PENSION PLAN. | 1.299 | 0,001% | C | |
| CHRISTIAN SUPER | 561 | 0,000% | C | |
| CHRISTOPHER J MILLERCHIP | 32 | 0,000% | C | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 942 | 0,000% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH INDEX ETF | 5.716 | 0,003% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH | 1.075 | 0,001% | C | |
| VARIABLY HEDG INDEX ETF | ||||
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | C | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | C | |
| CIBC INTERNATIONAL INDEX FUND | 12.163 | 0,006% | C | |
| CIBC POOLED INTERNATIONAL EQUITY INDEX FUND | 330 | 0,000% | C | |
| CINDY SPRINGS LLC | 14.524 | 0,007% | C | |
| CIPAV DIVERSIFIE - POCHE ACTIO | 21.685 | 0,011% | C | |
| CIT_WLDEXUS130 - NON FLIP | 5.291 | 0,003% | C | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) EUROP | 201.667 | 0,098% | C | |
| CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) INTER CITITRUST LIMITED |
13.123 4.805 |
0,006% 0,002% |
C C |
|
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS | ||||
| BLACKROCK WORLD EQUITY INDEX FUND | 1.702 | 0,001% | C | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 16.338 | 0,008% | C | |
| CITY OF MILWAUKEE EMPLOYEES RETIREMENT SYSTEM | 11.678 | 0,006% | C | |
| CITY OF NEW YORK GROUP TRUST | 368.864 | 0,179% | C | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 12.387 | 0,006% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CITY UNIVERSITY OF NEW YORK | 281 | 0,000% | C | |
| Civil Service Employees Pension Fund | 2.500 | 0,001% | C | |
| CLASS N AHL ALPHA 2.5XL EUR TRADING LIMITED. | 9.323 | 0,005% | C | |
| CLEOME INDEX - EMU EQUITIES | 7.915 | 0,004% | C | |
| CLEOME INDEX - EUROPE EQUITIES | 19.181 | 0,009% | C | |
| CLOSE ASSET MANAGEMENT LIMITED. | 291 | 0,000% | C | |
| CLOSE ASSET MANAGEMENT UK LTD | 360.000 | 0,175% | C | |
| CM-AM ALIZES TEMPERE | 287 | 0,000% | C | |
| CM-AM SMALL & MIDCAP EURO | 60.500 | 0,029% | C | |
| CM-CIC SICAV | 318.134 | 0,155% | C | |
| CMLA INDEXED GLOBAL SHARE FUND | 1.023 | 0,000% | C | |
| CNP ASSUR SMID CAP EUROPE | 10.779 | 0,005% | C | |
| COLLEGE RETIREMENT EQUITIES FUND | 1.845.499 | 0,897% | C | |
| COLONIAL FIRST STATE INVESTMENT FUND 105 | 1.111 | 0,001% | C | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.459 | 0,003% | C | |
| COLONIAL FIRST STATE INVESTMENTS LIMITED | 3.353 | 0,002% | C | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 9.430 | 0,005% | C | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE OPPORTUNITIES |
378.857 | 0,184% | C | |
| COMGEST GROWTH PLC - COMGEST GROWTH EUROPE SMALLER | ||||
| COMPANIES | 652.667 | 0,317% | C | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. |
95.326 | 0,046% | C | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 3.826 | 0,002% | C | |
| COMMONSPIRIT HEALTH OPERATING INVESTMENT POOL LLC | 12.722 | 0,006% | C | |
| COMMONSPIRIT HEALTH RETIREMENT MASTER TRUST | 4.966 | 0,002% | C | |
| COMMONWEALTH BANK GROUP SUPER GROUND FLOOR | 2.930 | 0,001% | C | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES | ||||
| RETIR | 22.588 | 0,011% | C | |
| COMMONWEALTH OF PENNSYLVANIA TREASURY | 2.356 | 0,001% | C | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA |
41.653 | 0,020% | C | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 3.646 | 0,002% | C | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 409 | 0,000% | C | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | C | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | C | |
| CONSTELLATION DEFINED CONTRIBUTION RETIREMENT PLAN TRUST | 39.098 | 0,019% | C | |
| CONSTELLATION PENSION MASTER TRUST | 99.796 | 0,048% | C | |
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 7.304 | 0,004% | C | |
| COOPER INVESTORS PTY LIMITED ATF CI ASIAN TIGER FUND | 25.359 | 0,012% | C | |
| CORNELL UNIVERSITY | 819 | 0,000% | C | |
| COSMIC INVESTMENT FUND | 48.529 | 0,024% | C | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 976 | 0,000% | C | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | C | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAPLES CORPORATE SERVICES LTD |
2.313 | 0,001% | C | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 54.824 | 0,027% | C | |
| CPR CONSOMMATEUR ACTIONNAIRE P | 26.803 | 0,013% | C | |
| CPR SILVER AGE POCHE PEA | 335.474 | 0,163% | C | |
| CREDIT SUISSE FUNDS AG | 5.554 | 0,003% | C | |
| CREDIT SUISSE INDEX FUND (LUX) | 100.177 | 0,049% | C | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | C | |
| CUSTODY BANK OF JAPAN, LTD | 156.446 | 0,076% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 |
3.855 | 0,002% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATI |
23.707 | 0,012% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO | 63.515 | 0,031% | C | |
| TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT |
25.400 | 0,012% | C | |
| GLOBAL GROWTH EQUITY MOTHE CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER |
632 | 0,000% | C | |
| FUND II |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | ||||
| MOTHER FUND(CURRENCY HEDGED) | 2.435 | 0,001% | C | |
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES | 9.878 | 0,005% | C | |
| (BVI) LIMITED CYSTIC FIBROSIS FOUNDATION |
7.321 | 0,004% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND | ||||
| L | 81 | 0,000% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | C | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | C | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | C | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | C | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | C | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | C | |
| DBI-FONDS EBB | 2.399 | 0,001% | C | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | C | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | C | |
| DEAM FONDS ZDV | 3.329 | 0,002% | C | |
| DEAM-FONDS CPT | 1.596 | 0,001% | C | |
| DEKA-MASTER HAEK I | 12.525 | 0,006% | C | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | C | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | C | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | C | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | C | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | C | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | C | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | C | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | C | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | C | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | C | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O KESWICK MANAGEMENT |
779 | 0,000% | C | |
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | C | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | C | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | C | |
| DT EQUITY | 7.407 | 0,004% | C | |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | C | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | C | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | C | |
| DUPONT PENSION TRUST | 42.808 | 0,021% | C | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN EQUITY FUND) |
2.079 | 0,001% | C | |
| DWS GLOBAL SMALL CAP FUND | 26.722 | 0,013% | C | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | C | |
| DWS INVEST | 900 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | C | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | C | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | C | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | C | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,019% | C | |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | C | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | C | |
| DYNASTY INVEST LTD | 361 | 0,000% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EAST RIDING PENSION FUND | 117.283 | 0,057% | C | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | C | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | C | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | C | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | C | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | C | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 5.277 | 0,003% | C | |
| EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP | ||||
| COMMON TR | 3.515 | 0,002% | C | |
| EBK-AKTIEN-UNIVERSAL-FONDS | 18.173 | 0,009% | C | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | C | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | C | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | C | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | C | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | C | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | C | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | C | |
| EMBO-FONDS | 5.813 | 0,003% | C | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | C | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | C | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | C | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | C | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | C | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | C | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | C | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | C | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | C | |
| EPS | 2.669 | 0,001% | C | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 4.988 | 0,002% | C | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH | 1.187 | 0,001% | C | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO |
2.265 | 0,001% | C | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | ||||
| PORTFOLIO | 5.002 | 0,002% | C | |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
6.291 | 0,003% | C | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
9.008 | 0,004% | C | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 24.816 | 0,012% | C | |
| EQUIPSUPER | 16.691 | 0,008% | C | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 1.952 | 0,001% | C | |
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | C | |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | C | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | C | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 7.817 | 0,004% | C | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,005% | C | |
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | C | |
| EUROPEAN CENTRAL BANK | 22.272 | 0,011% | C | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | 45.984 | 0,022% | C | |
| MASTER TRUST | ||||
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST EXELON FITZPATRICK QUALIFIED FUND |
139.220 872 |
0,068% 0,000% |
C C |
|
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | C | |
| Exxonmobil Savings and Retirement Fund FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL |
636 | 0,000% | C | |
| LP | 154.615 | 0,075% | C | |
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,023% | C | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 5.627 | 0,003% | C | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND |
3.442 | 0,002% | C | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | C | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | C | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | C | |
| FCP BOURBON 7 | 20.180 | 0,010% | C | |
| FCP CARPIMKO EUROPE | 11.386 | 0,006% | C | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | C | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,008% | C | |
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,005% | C | |
| FCP SODIUM I | 17.051 | 0,008% | C | |
| FDC A2 TITRES | 5.962 | 0,003% | C | |
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,002% | C | |
| FDF2 ALL IN ONE | 800 | 0,000% | C | |
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | C | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | C | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | C | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | C | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | C | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX | ||||
| FUND | 495.003 | 0,241% | C | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL | ||||
| INDEX FUND | 3.716 | 0,002% | C | |
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | C | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | C | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL | 67.470 | 0,033% | C | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | C | |
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | C | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | C | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | C | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,007% | C | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,008% | C | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 198.038 | 0,096% | C | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,033% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,035% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
59.913 | 0,029% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX | 24.219 | 0,012% | C | |
| FUND FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND |
258.605 | 0,126% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 718 | 0,000% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | C | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF BALTIMORE |
12.966 | 0,006% | C | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | C | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,001% | C | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | C | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | C | |
| FJARDE AP-FONDEN. | 27.645 | 0,013% | C | |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX | 1.334 | 0,001% | C | |
| FUND FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT |
3.696 | 0,002% | C | |
| INDEX FUND FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND |
1.300 | 0,001% | C | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | C | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | C | |
| FLOURISH INVESTMENT CORPORATION | 366.913 | 0,178% | C | |
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | C | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,000% | C | |
| FONDITALIA | 201.000 | 0,098% | C | |
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,029% | C | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| FONSOLBANK FP | 201 | 0,000% | C | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,002% | C | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 503 | 0,000% | C | |
| FORD PENSION UNIVERSAL | 1.031 | 0,001% | C | |
| FOREIGN STOCK INDEX MOTHER FUND | 7.800 | 0,004% | C | |
| FOREST FOUNDATION | 94 | 0,000% | C | |
| FORSTA AP - FONDEN | 45.427 | 0,022% | C | |
| FOVERUKA PENSION UNIVERSAL | 6.566 | 0,003% | C | |
| FP BRUNEL PENS PARTNERSHIP ACS FP BRUNEL SMALLER CMPEQUITIES | ||||
| FND | 130.000 | 0,063% | C | |
| FP RUSSELL INVS ICVC FP RUSSELLINVS INT GROWTH ASSETS FUND | 9.341 | 0,005% | C | |
| FRANCIS FAMILY FUND APS C/O GRANT THORTON PER LUNDAHL | 710 | 0,000% | C | |
| FRANK RUSSEL INSTITUTIONAL FUNDS PLC | 2.332 | 0,001% | C | |
| FRANK RUSSELL INVESTMENT CO II PLC | 6.218 | 0,003% | C | |
| FRANKLIN FTSE EUROPE EX U.K. INDEX ETF | 1.771 | 0,001% | C | |
| FRANKLIN LIBERTYQT INTERNATIONAL EQUITY INDEX ETF | 165 | 0,000% | C | |
| FRANKLIN LIBERTYSHARES ICAV | 1.212 | 0,001% | C | |
| FRANKLIN MARTIN CURRIE SUSTAINABLE GLOBAL EQUITY FUND | 99.148 | 0,048% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 3.672 | 0,002% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF | 432 | 0,000% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 2.037 | 0,001% | C | |
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ GLOBAL EQUITY | 208 | 0,000% | C | |
| ETF FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT'L EQUITY |
||||
| HEDG | 864 | 0,000% | C | |
| FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 74 | 0,000% | C | |
| FULCRUM UCITS SICAV | 1.638 | 0,001% | C | |
| FUNDACAO CALOUSTE GULBENKIAN | 1.279 | 0,001% | C | |
| FUNDO DE PENSOES. | 1.850 | 0,001% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR | 24.261 | 0,012% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF | 48.223 | 0,023% | C | |
| FUTURE F. FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE |
||||
| MEDI | 5.578 | 0,003% | C | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 6.195 | 0,003% | C | |
| G.A.-FUND-B - WORLD EQUITIES | 2.169 | 0,001% | C | |
| GAM FUNDS GAM CONTINENTAL EUROPEAN EQUITY | 8.632 | 0,004% | C | |
| GAM MULTISTOCK | 345.315 | 0,168% | C | |
| GAM STAR FUND PLC | 552.141 | 0,268% | C | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 196.190 | 0,095% | C | |
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY GPSSA | 10.222 | 0,005% | C | |
| GENERALI INVESTMENTS SICAV | 1.830 | 0,001% | C | |
| GENERALI INVESTMENTS SICAV EURO FUTURE LEADERS | 34.000 | 0,017% | C | |
| GENERALI SMART FUNDS | 15.413 | 0,007% | C | |
| GERANA SICAV-SIF, S.A. | 53.252 | 0,026% | C | |
| GIC PRIVATE LIMITED | 18.988 | 0,009% | C | |
| GLG EUROPEAN LONG/SHORT FUND | 6.291 | 0,003% | C | |
| GLG EUROPEAN LONG-SHORT FUND MAPLES CORPORATE SERVICES LIMIT |
5.009 | 0,002% | C | |
| GLG PARTNERS LP | 8.509 | 0,004% | C | |
| GLOBAL ALPHA TILTS FUND B (ACWITILTB) | 211 | 0,000% | C | |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE | 650 | 0,000% | C | |
| PORTFOLIO GLOBAL BOND FUND WAYCROSSE INC |
6.277 | 0,003% | C | |
| Global Equities Enhanced Index fund | 10.439 | 0,005% | C | |
| GLOBAL EX-U.S. ALPHA TILTS FUND B (ACWITLB) | 756 | 0,000% | C | |
| GLOBAL MULTI FACTOR EQUITY FUND | 1.426 | 0,001% | C | |
| GLOBAL X S&P CATHOLIC VALUES DEVELOPED EX-U.S. ETF | 88 | 0,000% | C | |
| GMI INVESTMENT TRUST | 7.967 | 0,004% | C | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE | 851 | 0,000% | C | |
| E GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA |
||||
| INTERNAT | 109.577 | 0,053% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS FUTURE GOLDMAN | 5.568 | 0,003% | C | |
| SACHS AND CO | ||||
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA | 4.735 | 0,002% | C | |
| INTERNATIO | ||||
| GOLDMAN SACHS FUNDS GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA |
1.024.289 | 0,498% | C | |
| FUND | 1.919 | 0,001% | C | |
| GOLDMAN SACHS UK RETIREMENT PLAN | 645 | 0,000% | C | |
| GOODBODY GLOBAL SMALLER COMPANIES F | 40.436 | 0,020% | C | |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 34.921 | 0,017% | C | |
| GOVERNMENT OF NORWAY | 2.841.347 | 1,381% | C | |
| GOVERNMENT OF SINGAPORE | 1.461.262 | 0,710% | C | |
| GOVERNMENT PENSION INVESTMENT FUND | 116.367 | 0,057% | C | |
| GR-AVENIR | 1.000 | 0,000% | C | |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | C | |
| GRD 12 ACTIONS | 35.360 | 0,017% | C | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | C | |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | C | |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | C | |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | C | |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | C | |
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | C | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | C | |
| HALEVY A1 | 35.923 | 0,017% | C | |
| HALEVY A2 | 36.004 | 0,017% | C | |
| HALIFAX REGIONAL MUNICIPALITY MASTER TRUST | 2.009 | 0,001% | C | |
| HAMELIN ACTIONS EUROPE PMC | 36.241 | 0,018% | C | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | C | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 1.523 | 0,001% | C | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY | 587 | 0,000% | C | |
| HARTFORD INTERNATIONAL EQUITY FUND | 65.916 | 0,032% | C | |
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | C | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | C | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | C | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
11.101 | 0,005% | C | |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | C | |
| HC RENTE | 1.558 | 0,001% | C | |
| Helium Alpha | 3.829 | 0,002% | C | |
| Henderson Eurotrust plc | 137.894 | 0,067% | C | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | C | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | C | |
| HESTA | 506.496 | 0,246% | C | |
| HI-172915-Fonds | 1.508 | 0,001% | C | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE |
200.034 | 0,097% | C | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENTEXCHANGE FUND |
4.426 | 0,002% | C | |
| HOSTPLUS POOLED SUPERANNUATION TRUST | 17.065 | 0,008% | C | |
| HRW TESTAMENTARY TRUST NO 2 | 855 | 0,000% | C | |
| HRW TESTAMENTARY TRUST NO 3. | 1.326 | 0,001% | C | |
| HRW TESTAMENTARY TRUST NO. 11. | 995 | 0,000% | C | |
| HRW TESTAMENTARY TRUST NO. 12. | 1.853 | 0,001% | C | |
| HRW TRUST NO 1 UAD 01/17/03. | 2.051 | 0,001% | C | |
| HRW TRUST NO 2 UAD 01/17/03. | 2.184 | 0,001% | C | |
| HRW TRUST NO 3 UAD 01/17/03. | 652 | 0,000% | C | |
| HRW TRUST NO 4 UAD 01/17/03 | 1.367 | 0,001% | C | |
| HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ | 130.788 | 0,064% | C | |
| FND | ||||
| HSBC ETFS PLC | 3.185 | 0,002% | C | |
| HSBC ETF'S PLC | 348 | 0,000% | C | |
| HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS ETF |
507 | 0,000% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| HSBC ETFS PUBLIC LIMITED COMPANY | 478 | 0,000% | C | |
| HSBC EUROPEAN INDEX FUND | 100.074 | 0,049% | C | |
| HSBC Global Funds ICAV | 37.129 | 0,018% | C | |
| HSBC INDEX TRACKER INVESTMENT FUNDS ICVC | 12.285 | 0,006% | C | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 3.479 | 0,002% | C | |
| HSBC Life (International) Limited | 12.817 | 0,006% | C | |
| HSBC Managed Balanced Fund | 637 | 0,000% | C | |
| HSBC Managed Growth Fund HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY |
1.023 | 0,000% | C | |
| INDEX TRACKING FUND | 3.231 | 0,002% | C | |
| HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund | 17.572 | 0,009% | C | |
| HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY FUND |
10.759 | 0,005% | C | |
| HYMNOS | 13.980 | 0,007% | C | |
| IA CLARINGTON GLOBAL VALUE FUND | 2.162 | 0,001% | C | |
| IBM 401(K) PLUS PLAN TRUST | 33.731 | 0,016% | C | |
| IBM 401(K) PLUS PLAN TRUST | 7.788 | 0,004% | C | |
| IBM DIVERSIFIED GLOBAL EQUITY FUND | 3.443 | 0,002% | C | |
| IBM PERSONAL PENSION PLAN TRUST | 11.214 | 0,005% | C | |
| IBM RETIREMENT PLAN | 854 | 0,000% | C | |
| ICARE | 3.918 | 0,002% | C | |
| ICBCCS GLOBAL SELECTIVE EQUITY FUND | 11.445 | 0,006% | C | |
| IF IST - GLOBE INDEX | 7.442 | 0,004% | C | |
| IFM GLOBAL INDEXED EQUITIES FUND | 468 | 0,000% | C | |
| IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND | 225.983 | 0,110% | C | |
| ILA - RAFIMF | 2.531 | 0,001% | C | |
| ILA-LA WORLD ESG SCREENED FUND | 3.306 | 0,002% | C | |
| ILLINOIS MUNICIPAL RETIREMENT FUND | 43.301 | 0,021% | C | |
| IMCO GLOBAL PUBLIC EQUITY LP | 626 | 0,000% | C | |
| IMCO GLOBAL PUBLIC EQUITY LP ACCT 17 | 16.815 | 0,008% | C | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 7.521 | 0,004% | C | |
| IN EQ ACWI EX US AETF NON FLIP | 20.864 | 0,010% | C | |
| INDEP'AM | 139.100 | 0,068% | C | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 13.804 | 0,007% | C | |
| INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES INC | 16.583 | 0,008% | C | |
| ING DIRECT SICAV | 11.919 | 0,006% | C | |
| INKA PBEAKK | 2.090 | 0,001% | C | |
| INSTITUTIONAL RETIREMENT TRUST | 9.092 | 0,004% | C | |
| INSTITUTIONELLA AKTIEFONDEN VARLDEN | 31.285 | 0,015% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES |
25.561 | 0,012% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | C | |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN |
18.885 | 0,009% | C | |
| INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 44.059 | 0,021% | C | |
| INTERFUND SICAV | 15.000 | 0,007% | C | |
| INTERNATIONAL ALPHA TILTS FUND B (INTLTB) | 1.149 | 0,001% | C | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | C | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | C | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | C | |
| INTERNATIONAL EQUITY FUND LLC | 1.343 | 0,001% | C | |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | C | |
| INTERNATIONAL EQUITY TRUST II | 131.257 | 0,064% | C | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 789 | 0,000% | C | |
| INTERNATIONAL MONETARY FUND | 12.591 | 0,006% | C | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS | ||||
| INVESTMENT ACCOUNT | 214 | 0,000% | C | |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 828 | 0,000% | C |


| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,036% | C |
|---|---|---|---|
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 214.092 | 0,104% | C |
| ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS ETF DE |
17.245 | 0,008% | C |
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF | 22.359 | 0,011% | C |
| ISHARES EDGE MSCI INTL QUALITY FACTOR ETF | 143.992 | 0,070% | C |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,005% | C |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 1.618 | 0,001% | C |

| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 10.999 | 0,005% | C |
|---|---|---|---|
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 13.247 | 0,006% | C |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 830 | 0,000% | C |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. |
7.601 | 0,004% | C |
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST |
33.254 | 0,016% | C |
| JPMORGAN ACCESS BALANCED FUND | 514 | 0,000% | C |


| 197.353 | 0,096% | C |
|---|---|---|
| 603.029 | 0,293% | C |
| 201 | 0,000% | C |
| 6.139 | 0,003% | C |
| 36.749 | 0,018% | C |
| 116.262 | 0,057% | C |


| 225 | 0,000% | C |
|---|---|---|
| 3.958 | 0,002% | C |
| 4.410 | 0,002% | C |
| 1.315 | 0,001% | C |
| 32.574 | 0,016% | C |
| 461 | 0,000% | C |
| 126 | 0,000% | C |
| 18.728 | 0,009% | C |


| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | C |
|---|---|---|---|
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | C |
| MERCY INVESTMENT SERVICES INC | 951 | 0,000% | C |
| MERSEYSIDE PENSION FUND | 36.979 | 0,018% | C |
| METROPOLITAN LIFE INSURANCE COMPANY | 9.668 | 0,005% | C |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 27.321 | 0,013% | C |
| METZLER ASSET MANAGEMENT GMBH FOR MIFONDS 415 | 30.000 | 0,015% | C |
| METZLER INTERNATIONAL INVESTME | 44.450 | 0,022% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| METZLER UNIVERSAL TRUST KILMOR | 27.300 | 0,013% | C | |
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | C | |
| MGI FUNDS PLC | 11.427 | 0,006% | C | |
| MI - FONDS K12 | 11.854 | 0,006% | C | |
| MI - FONDS K14 | 36.000 | 0,017% | C | |
| MICHAEL A PIETSCH 2003 FAMILY TRUST UAD 04/03/03 WILLIAM H | 281 | 0,000% | C | |
| REEVES TTEE PO BOX | ||||
| MICHIGAN CATHOLIC CONFERENCE | 358 | 0,000% | C | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 724 | 0,000% | C | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | C | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 940 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 30 | 540 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 760 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 50 MIGROS BANK (LUX) FONDS INTERSTOCK |
730 510 |
0,000% 0,000% |
C C |
|
| MINE SUPERANNUATION FUND | 7.726 | 0,004% | C | |
| MINISTRY OF ECONOMY AND FINANCE | 121.467 | 0,059% | C | |
| MLC INVESTMENTS, MLC LIMITED | 18.086 | 0,009% | C | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | C | |
| MML STRATEGIC EMERGING MARKETS FUND | 595 | 0,000% | C | |
| MOMENTUM GLOBAL FUNDS | 2.776 | 0,001% | C | |
| MONCEAU ACTIONS EEE | 16.990 | 0,008% | C | |
| MONETARY AUTHORITY OF MACAO | 29.770 | 0,014% | C | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,186% | C | |
| MONETARY AUTHORITY OF SINGAPORE | 54.012 | 0,026% | C | |
| MORAINE MASTER FUND LP CO FALCON EDGE CAPITAL, LP | 421.022 | 0,205% | C | |
| MORG ST COUNTERPOINT GLOBAL PORTFOLIO | 3.371 | 0,002% | C | |
| MORG ST INTERNATIONAL EQUITY PORTFOLIO | 667.639 | 0,324% | C | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | 975 | 0,000% | C | |
| PORTFOLIO | ||||
| MORGAN STANLEY INVESTMENT FUNDS | 32.761 | 0,016% | C | |
| MORGAN STANLEY PATHWAY FUNDS | 4.198 | 0,002% | C | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL | 189 | 0,000% | C | |
| STRATEGI ST PORTFOLIO MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST |
1.804 | 0,001% | C | |
| MOTHER CABRINI HEALTH FOUNDATION, INC. | 2.713 | 0,001% | C | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,005% | C | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | C | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,045% | C | |
| MTAA SUPERANNUATION FUND | 35.090 | 0,017% | C | |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND | 23.490 | 0,011% | C | |
| MTBJ LTD AS TRUSTEE OF EUROPEANGROWTH STOCK MOTHER FUND | 14.900 | 0,007% | C | |
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 45.755 | 0,022% | C | |
| MUGUET VENTURES LLC | 250 | 0,000% | C | |
| MUL- LYX FTSE IT ALL CAP PIR | 4.088 | 0,002% | C | |
| MUL-LYX NET ZERO 2050 SP | 7.035 | 0,003% | C | |
| MUL-LYX NET ZERO 50 | 223.303 | 0,109% | C | |
| MUL-LYXOR MSCI EMU ESG LEADERS | 2.751 | 0,001% | C | |
| MUL-LYXOR MSCI WORLD CLIMATE | 866 | 0,000% | C | |
| MUL-LYXOR MSCI WORLD ESG LEADE | 4.911 | 0,002% | C | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,026% | C | |
| MULTI UNITS LUX-LYXOR CORE MSC | 13.880 | 0,007% | C | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | C | |
| MUNICIPAL POLICE EMPLOYEES RETIREMENT SYSTEM | 7.531 | 0,004% | C | |
| MUSASHI SMART PREMIA FUND | 6.244 | 0,003% | C | |
| NATIONAL BANK FINANCIAL INC | 594 | 0,000% | C | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 4.114 | 0,002% | C | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 53.403 | 0,026% | C | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND. | 110.744 | 0,054% | C | |
| NATIONAL ELEVATOR INDUSTRY HEALTH BENEFIT PLAN | 5.202 | 0,003% | C | |
| NATIONAL PENSION INSURANCE FUND | 3.400 | 0,002% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 70.569 | 0,034% | C | |
| NATIONAL TREASURY MANAGEMENT AGCY | 1.457 | 0,001% | C | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 15.524 | 0,008% | C | |
| NATIXIS INTERNATIONAL FUNDS (LUX) I | 92.122 | 0,045% | C | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 321.625 | 0,156% | C | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
6.350 | 0,003% | C | |
| NAV CANADA PENSION PLAN | 2.980 | 0,001% | C | |
| NAVIGERA AKTIE 2 | 273.738 | 0,133% | C | |
| NBIMC EAFE EQUITY INDEX FUND. | 5.642 | 0,003% | C | |
| NCB CAPITAL COMPANY | 7.104 | 0,003% | C | |
| NEF EURO EQUITY | 159.607 | 0,078% | C | |
| NEI GLOBAL DIVIDEND RS FUND | 11.830 | 0,006% | C | |
| NEMOURS FOUNDATION | 184 | 0,000% | C | |
| NEUBERGER BERMAN ETF TRUST - NEUBERGER BERMAN NEXT | ||||
| GENERATION CONNECTED CONSUMER | 2.907 | 0,001% | C | |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | C | |
| NEW CAPITAL STRATEIC PORTFOLIO UCITS FUND | 34.200 | 0,017% | C | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 89.262 | 0,043% | C | |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 714 | 0,000% | C | |
| NEW YORK STATE COMMON RETIREMENT FUND | 3.613 | 0,002% | C | |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | C | |
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 10.081 | 0,005% | C | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 103.513 | 0,050% | C | |
| NEW ZEALAND SUPERANNUATION FUND. | 40.791 | 0,020% | C | |
| NEWBURG NOMINEES LIMITED INVESTORSWHOLESALE GLOBAL EQUITY | ||||
| (INDEX) TRUST | 15.678 | 0,008% | C | |
| NEXTERA ENERGY DUANE ARNOLD LLC NON QUALIFIED | 179 | 0,000% | C | |
| DECOMMISSIONI | ||||
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED | ||||
| DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR | 32 | 0,000% | C | |
| POW NFS LIMITED |
12.960 | 0,006% | C | |
| NGS SUPER | 279.139 | 0,136% | C | |
| NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 1.400 | 0,001% | C | |
| NN (L) SICAV | 6.599 | 0,003% | C | |
| NORDEA 1 SICAV | 8.120 | 0,004% | C | |
| NORDEA 2 SICAV | 47.185 | 0,023% | C | |
| NORDEA DONATIONSMEDELSFOND | 1.620 | 0,001% | C | |
| NORDEA EUROPEAN PASSIVE FUND | 3.431 | 0,002% | C | |
| NORDEA GENERATIONSFOND 50-TAL | 2.188 | 0,001% | C | |
| NORDEA GENERATIONSFOND 60-TAL | 35.983 | 0,017% | C | |
| NORDEA GENERATIONSFOND 70-TAL | 44.137 | 0,021% | C | |
| NORDEA GENERATIONSFOND 80-TAL | 23.147 | 0,011% | C | |
| NORDEA GENERATIONSFOND 90-TAL | 3.153 | 0,002% | C | |
| NORDEA GLOBAL PASSIVE FUND | 9.663 | 0,005% | C | |
| NORGES BANK | 49.639 | 0,024% | C | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 60.221 | 0,029% | C | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 438.128 | 0,213% | C | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 119.059 | 0,058% | C | |
| NORTHERN TRUST UCITS FGR FUND | 30.088 | 0,015% | C | |
| NOTTINGHAMSHIRE COUNTY COUNCIL PENSION FUND | 61.481 | 0,030% | C | |
| NPF TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL | 189 | 0,000% | C | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 657 | 0,000% | C | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 594 | 0,000% | C | |
| NSP MONTICELLO MINNESOTA RETAIL | 1.267 | 0,001% | C | |
| NT WORLD GREEN TRANSITION INDEX FUND | 168 | 0,000% | C | |
| NTGI - QM COMMON DAILY ALL COUNTRY WORLD EX-US EQUITY | ||||
| INDEX | 9.906 | 0,005% | C | |
| NTGI-QM COMMON DAILY ALL COUNTRY WORLD EX-US INVESTABLE | ||||
| MARKET INDEX FUND - NON LENDING | 7.437 | 0,004% | C | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - LENDING | 10.139 | 0,005% | C | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - NON LENDING | 30.497 | 0,015% | C | |
| NUVEEN MULTI-ASSET INCOME FUND | 22.808 | 0,011% | C |


| PREDIQUANT EUROCROISSANCE A2 | 6.481 | 0,003% | C |
|---|---|---|---|
| PREDIQUANT PREMIUM TITRE VIF A | 98.670 | 0,048% | C |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 1.316 | 0,001% | C |
| PRESCIENT ICAV. | 11.412 | 0,006% | C |
| PRIME SUPER | 3.439 | 0,002% | C |
| PRINCIPAL EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL | |||
| ADAPTIVE MULTI-FACTOR ET | 395 | 0,000% | C |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 14.056 | 0,007% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| PRINCIPAL LIFE INSURANCE COMPANY | 71.589 | 0,035% | C | |
| PRINCIPAL TRUST COMPANY ASIA LIMITED | 2.757 | 0,001% | C | |
| PRIVILEDGE | 30.000 | 0,015% | C | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | C | |
| PRUDENTIAL BANK AND TRUST FSB | 19.691 | 0,010% | C | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | ||||
| INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND | 1.957 | 0,001% | C | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | 3.943 | 0,002% | C | |
| NEXTGENERATION GLOBAL OPPORTUNITIES FUND | ||||
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | C | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 9.705 | 0,005% | C | |
| PUBLIC EMPLOYEES' LONG TERM CARE FUND | 421.861 | 0,205% | C | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 102.695 | 0,050% | C | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM 0F OHIO | 112.761 | 0,055% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 102.756 | 0,050% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 25.744 | 0,013% | C | |
| PUBLIC SCHOOL TEACHERS PENSION & RETIREMENT FUND OF CHICAGO |
217.925 | 0,106% | C | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF | ||||
| CHICAGO | 31.178 | 0,015% | C | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 101.900 | 0,050% | C | |
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK | 146.256 | 0,071% | C | |
| Fund | ||||
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,005% | C | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | C | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | C | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | C | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | C | |
| PUTNAM INVESTMENT HOLDINGS LLC. | 23 | 0,000% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAABALANCE PORTFOLIO | 5.389 | 0,003% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAACONSERVATIVE PORTFOLIO | 2.076 | 0,001% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAAEQUITY PORTFOLIO | 3.472 | 0,002% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAAGROWTH PORTFOLIO | 11.909 | 0,006% | C | |
| PUTNAM RETIREMENT ADVANTAGE GAAINCOME STRATEGIES | 1.572 | 0,001% | C | |
| PORTFOLIO | ||||
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION FUND |
741 | 0,000% | C | |
| QS INVESTORS INTERNATIONAL EQUITY DBI CIT | 264 | 0,000% | C | |
| QTRON GLOBAL EQUITY | 6.228 | 0,003% | C | |
| QUADRATOR SRI | 111.000 | 0,054% | C | |
| QUADRIGE MULTICAPS EUROPE | 27.000 | 0,013% | C | |
| QUADRIGE PATRIMOINE | 6.000 | 0,003% | C | |
| QUALITY EDUCATION FUND | 385 | 0,000% | C | |
| QUEENSLAND INVESTMENT TRUST NO. 2 | 4.691 | 0,002% | C | |
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND | 400 | 0,000% | C | |
| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | C | |
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | C | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | C | |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | C | |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | C | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT | ||||
| TRUST | 3.584 | 0,002% | C | |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | C | |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | C | |
| RDM LIQUID LLC | 9.080 | 0,004% | C | |
| ReAssure Limited | 9.407 | 0,005% | C | |
| REGARD ACT CROISSAN | 5.000 | 0,002% | C | |
| REGIME DE RENTES DU MOUVEMENT DESJARDINS | 3.743 | 0,002% | C | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 918 | 0,000% | C | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | C | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 5.342 | 0,003% | C |

| SCHRODER EUROPEAN SMALLER COMPANIES FUND | 9.331 | 0,005% | C |
|---|---|---|---|
| SCHRODER EUROPEAN SUSTAINABLE EQUITY FUND | 26.691 | 0,013% | C |
| SCHRODER GAIA | 16.562 | 0,008% | C |
| SCHRODER GLOBAL QUALITY FUND (CANADA) | 1.655 | 0,001% | C |
| SCHRODER INSTITUTIONAL POOLED FUNDS | 56.917 | 0,028% | C |
| SCHRODER INTERNATIONAL SELECTION FUND | 757.714 | 0,368% | C |
| SCHRODER QEP GLOBAL CORE FUND | 18.580 | 0,009% | C |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 49.395 | 0,024% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | 11.923 | 0,006% | C | |
| FUND | ||||
| SCHWAB INTERNATIONAL EQUITY ETF | 307.652 | 0,150% | C | |
| SCHWAB INTERNATIONAL INDEX FUND SCORE SEMKO PPK |
110.081 500 |
0,053% 0,000% |
C C |
|
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 366 | 0,000% | C | |
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 2.269 | 0,001% | C | |
| SCOTIA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 147 | 0,000% | C | |
| SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- DEVELOPED | 34.170 | 0,017% | C | |
| EUROPE (EX UK) EQUIT | ||||
| SDA INTL EQUITY INDEX FD-WORLD SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY |
6.231 | 0,003% | C | |
| PORTF | 11.983 | 0,006% | C | |
| SEASONS SERIES TRUST SA PUTNAM ASSET ALLOCATION DIVERSIFIED GROW |
1.902 | 0,001% | C | |
| SEB ACTIVE 55 | 653 | 0,000% | C | |
| SEB ACTIVE 80 | 446 | 0,000% | C | |
| SEI GLOBAL MASTER FUND PLC | 2.321 | 0,001% | C | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
1.664 | 0,001% | C | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 127 | 0,000% | C | |
| SEMPRA ENERGY PENSION MASTER TRUST | 3.701 | 0,002% | C | |
| SENTINEL INTERNATIONAL TRUST | 1.212 | 0,001% | C | |
| SG ACTIONS EURO | 6.991 | 0,003% | C | |
| SG ACTIONS FRANCE LARGECAP | 1.345 | 0,001% | C | |
| SG ACTIONS LUXE | 135.089 | 0,066% | C | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | C | |
| SG DIVERSIFIE FRANCE | 2.204 | 0,001% | C | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | C | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | C | |
| SHELL NEDERLAND PENSIOENFONDS STICHTING | 538 | 0,000% | C | |
| SHELL PENSION TRUST | 4.014 | 0,002% | C | |
| SHELL PENSIONS TRUST LIMITED AS TRUSTEE OF SHELL CONTRIBUTORY PENSION FUND |
16.585 | 0,008% | C | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
5.913 | 0,003% | C | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 25.959 | 0,013% | C | |
| CONTRIBUTORY PENSION FUND | ||||
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | C | |
| SIEMENS ABSOLUTE RETURN | 1.739 | 0,001% | C | |
| SIEMENS BALANCED | 3.629 | 0,002% | C | |
| SIEMENS DC BALANCED | 445 | 0,000% | C | |
| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | C | |
| SIEMENS EMU EQUITIES | 13.972 | 0,007% | C | |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,001% | C | |
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,016% | C | |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | C | |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | C | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 255.356 | 0,124% | C | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
179.400 | 0,087% | C | |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,001% | C | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | C | |
| SOGECAP ACTIONS | 110.578 | 0,054% | C | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | C | |
| SOLIDARITES | 1.917 | 0,001% | C | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | C | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | C | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | C | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | C | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | C | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | C | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | C | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | C | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | C | |
| SPP EUROPA PLUS | 463 | 0,000% | C | |
| SPP GENERATION 50-TAL | 142 | 0,000% | C | |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | C | |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | C | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | C | |
| SPRING 625 | 2.946 | 0,001% | C | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
5.388 | 0,003% | C | |
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND |
7.976 | 0,004% | C | |
| SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 170.925 | 0,083% | C | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | C | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | C | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 32.688 | 0,016% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 799.683 | 0,389% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 29.759 | 0,014% | C | |
| STANDARD BANK OF SOUTH AFRICA LTD | 28.109 | 0,014% | C | |
| STANLIB FUNDS LIMITED | 1.416 | 0,001% | C | |
| STAR PASTEUR | 7.107 | 0,003% | C | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,030% | C | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,014% | C | |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | C | |
| STATE OF MINNESOTA | 78.948 | 0,038% | C | |
| STATE OF MINNESOTA | 241.152 | 0,117% | C | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 116.563 | 0,057% | C | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 93.124 | 0,045% | C | |
| STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST FUNDS |
1.563 | 0,001% | C | |
| STATE OF WISCONSIN INVESTMENT BOARD | 16.802 | 0,008% | C | |
| STATE OF WYOMING | 9.297 | 0,005% | C | |
| STATE STREET CCF | 990 | 0,000% | C | |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.302 | 0,002% | C | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 57.073 | 0,028% | C | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 32.334 | 0,016% | C | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 54.037 | 0,026% | C | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 4.522 | 0,002% | C | |
| STATE STREET IRELAND UNIT TRUST | 15.688 | 0,008% | C | |
| STATE STREET TOTAL RETURN VIS FUND | 3.190 | 0,002% | C | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 28.058 | 0,014% | C | |
| STELLAR INSURANCE, LTD. | 1.391 | 0,001% | C | |
| STEUART L. WALTON FAMILY TRUST UAD 3/19/13 | 2.739 | 0,001% | C | |
| STEWARDSHIP PARA GLB | 158 | 0,000% | C | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 14.061 | 0,007% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 47.701 | 0,023% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET BEROEPSVERVOER OVER DE WEG |
1.412 | 0,001% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF |
10.570 | 0,005% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. |
5.817 | 0,003% | C | |
| STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS | 10.919 | 0,005% | C | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,111% | C | |
| STICHTING HEINEKEN PENSIOENFONDS | 8.660 | 0,004% | C | |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS |
26.243 | 0,013% | C | |
| STICHTING KONINGIN WILHELMINA FONDS VOOR DE NEDERLANDSE KANK |
359 | 0,000% | C | |
| STICHTING PENSIOENFONDS APF. | 24.213 | 0,012% | C | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 15.746 | 0,008% | C | |
| STICHTING PENSIOENFONDS ING | 10.633 | 0,005% | C | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 88.980 | 0,043% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| STICHTING PENSIOENFONDS NOTARIAAT | 915 | 0,000% | C | |
| STICHTING PENSIOENFONDS PGB | 124.625 | 0,061% | C | |
| STICHTING PENSIOENFONDS PROVISUM | 1.850 | 0,001% | C | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 5.640 | 0,003% | C | |
| STICHTING PGGM DEPOSITARY | 123.225 | 0,060% | C | |
| STICHTING PHILIPS PENSIOENFONDS | 3.901 | 0,002% | C | |
| STICHTING RABOBANK PENSIOENFONDS | 31.214 | 0,015% | C | |
| STICHTING SHELL PENSIOENFONDS | 45.698 | 0,022% | C | |
| STICHTING SPOORWEGPENSIOENFONDS | 9.340 | 0,005% | C | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 2.596 | 0,001% | C | |
| STRATEGIE CONSOMMA LUXE ET LOW COST | 8.699 | 0,004% | C | |
| STRATEGY SICAV | 1.750 | 0,001% | C | |
| STYRAX EQUITIES LTD. | 150.000 | 0,073% | C | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 1.810 | 0,001% | C | |
| SUE ANN ARNALL | 3.312 | 0,002% | C | |
| SUEBIA-FONDS | 16.399 | 0,008% | C | |
| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | C | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET |
9.201 | 0,004% | C | |
| PORT | 229 | 0,000% | C | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED | ||||
| PORTFOLIO | 489 | 0,000% | C | |
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL | ||||
| EQUITIES | 140.429 | 0,068% | C | |
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | 1.613 | 0,001% | C | |
| ALLOCATION PORT | ||||
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED | 25.178 | 0,012% | C | |
| PORTFOLIO | ||||
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION | 9.070 | 0,004% | C | |
| GROWTHPORTF SUNSUPER SUPERANNUATION FUND |
31.443 | 0,015% | C | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | ||||
| AUSTRAL | 1.135 | 0,001% | C | |
| Swiss National Bank | 747.726 | 0,363% | C | |
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,009% | C | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,003% | C | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,042% | C | |
| T. ROWE PRICE FUNDS SICAV | 161 | 0,000% | C | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,002% | C | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,474% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,004% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,003% | C | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | C | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 0,925% | C | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,039% | C | |
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,009% | C | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,015% | C | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,028% | C | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | C | |
| TANGERINE BALANCED GROWTH PORTFOLIO | 3.712 | 0,002% | C | |
| TANGERINE BALANCED INCOME PORTFOLIO | 509 | 0,000% | C | |
| TANGERINE BALANCED PORTFOLIO | 3.238 | 0,002% | C | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 4.363 | 0,002% | C | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 4.853 | 0,002% | C | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - | ||||
| HEDGED) FUND | 18.297 | 0,009% | C | |
| TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF | 45.923 | 0,022% | C | |
| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | C | |
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | C | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | C | |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | C | |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,097% | C | |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | C | |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | C | |
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,002% | C | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,015% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,099% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 31.304 | 0,015% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 105.926 | 0,051% | C | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 2.050 | 0,001% | C | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 144.020 | 0,070% | C | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 19.162 | 0,009% | C | |
| TELSTRA SUPERANNUATION SCHEME | 5.558 | 0,003% | C | |
| TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 527.412 | 0,256% | C | |
| TEXAS EDUCATION AGCY | 57.379 | 0,028% | C | |
| TEXAS EDUCATION AGENCY | 8.056 | 0,004% | C | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 512 | 0,000% | C | |
| THE ALGER FUNDS - ALGER MID CAP GROWTH FUND | 43.253 | 0,021% | C | |
| THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND | 94.386 | 0,046% | C | |
| THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH INSTITUTIONAL FUND |
14.745 | 0,007% | C | |
| THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO | 27.679 | 0,013% | C | |
| THE AMERICAN UNIVERSITY IN CAIRO | 813 | 0,000% | C | |
| THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 145 | 0,000% | C | |
| THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 18.802 | 0,009% | C | |
| THE BANK OF KOREA THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE |
35.154 | 0,017% | C | |
| INV | 32.799 | 0,016% | C | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE | ||||
| INVESTMENT FUND PLAN | 135.195 | 0,066% | C | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 771 | 0,000% | C | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITED | 201.414 | 0,098% | C | |
| THE BANKERS INVESTMENT TRUST PLC | 161.788 | 0,079% | C | |
| THE BARCLAYS BANK UK RETIREMENT FUND | 1.080 | 0,001% | C | |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 5.456 | 0,003% | C | |
| THE CHARLOTTE-MECKLENBURG HOSPITAL AUTHORITY | 10.928 | 0,005% | C | |
| THE CIVIL SERVICE SUPERANNUATION FUND | 47.703 | 0,023% | C | |
| THE COMMONWEALTH FUND | 94 | 0,000% | C | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 1.258 | 0,001% | C | |
| THE DIRECTORS OF THE CHINESE YOUNG MEN'S CHRISTIAN ASSOCIATI | 513 | 0,000% | C | |
| THE ENDEAVOUR II FUND. | 528 | 0,000% | C | |
| THE HARTFORD INTERNATIONAL GROWTH FUND | 171.859 | 0,084% | C | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 109 | 0,000% | C | |
| THE INCUBATION FUND LTD | 254 | 0,000% | C | |
| THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED MONTHLY | 2.039 | 0,001% | C | |
| RATED EMPLOYEES PROVIDENT FUND SCHEME THE LABOUR UNION CO-OPERATIVE RETIREMENT FUND |
794 | 0,000% | C | |
| THE LILLY RETIREMENT PLAN MASTER TRUST ELI LILLY AND COMPANY | 83.062 | 0,040% | C | |
| The Magna Foundation The Marks And Spencer Worldwide Managed Fund |
1.787 9.864 |
0,001% 0,005% |
C C |
|
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY | ||||
| INDEX MOTHER FUND | 5.621 | 0,003% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND |
466 | 0,000% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY | 16.410 | 0,008% | C | |
| INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL EQUITY |
||||
| ACTIVE FUND FOR QUALIFIED INSTITUTION | 10.232 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
10.408 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 15.443 | 0,008% | C | |
| GOVERNMENT PENSION INVESTMENT FUND 400045887 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MTBJ400045828 | 113.633 | 0,055% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 219.258 | 0,107% | C | |
| MTBJ400045829 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MTBJ400045832 |
34.619 | 0,017% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| MUTB400045792 | 233.264 | 0,113% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 273.582 | 0,133% | C | |
| MUTB400045794 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| MUTB400045795 | 193.020 | 0,094% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL | 4.530 | 0,002% | C | |
| PENSION FUND ASSOCIATION 400037061 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
1.672 | 0,001% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 8.182 | 0,004% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | 4.025 | 0,002% | C | |
| PASSIVE MOTHER FUND (ONLY FOR PENSION THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY |
||||
| HEDGED) (PRIVATELY PLACED INVESTMENT T | 23.472 | 0,011% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | 3.034 | 0,001% | C | |
| (JPY HEDGED) (PRIVATELY PLACED INVEST | ||||
| THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK | 5.242 | 0,003% | C | |
| ESG INSIGHTS EUROPE THE NATURE CONSERVANCY |
1 | 0,000% | C | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | C | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 61.856 | 0,030% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL |
119.604 | 0,058% | C | |
| UNIVERSITY | 5.369 | 0,003% | C | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | C | |
| THE STATE OF NEVADA | 1.656 | 0,001% | C | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | ||||
| (BERMUDA) LIMITED | 453 | 0,000% | C | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 5.401 | 0,003% | C | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,002% | C | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION | 308.939 | 0,150% | C | |
| MULTIPLE COLLECTIVE INVESTMENT | ||||
| THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & RICHARD WONG TTEES 535 |
199 | 0,000% | C | |
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE | 68.017 | 0,033% | C | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 | 1.891 | 0,001% | C | |
| THREADNEEDLE (LUX | 21.528 | 0,010% | C | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. | 124.892 | 0,061% | C | |
| THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA | ||||
| THREADNEEDLE INVESTMENTS | 14.497 | 0,007% | C | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | C | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | C | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 2.018 | 0,001% | C | |
| THYSSEN GLOBAL INVESTMENTS CORP | 157 | 0,000% | C | |
| TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND | 445.951 | 0,217% | C | |
| TIAACREF INTERNATIONAL EQUITY FUND | 1.307.128 | 0,635% | C | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 232.530 | 0,113% | C | |
| TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND | 28.282 | 0,014% | C | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 3.056 | 0,001% | C | |
| TJ-NONQUALIFIED LLC | 15.758 | 0,008% | C | |
| TJ-QUALIFIED LLC | 11.225 | 0,005% | C | |
| TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 461 | 0,000% | C | |
| TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 1.503 | 0,001% | C | |
| TOCQUEVILLE CROISSANCE EURO IS | 270.661 | 0,132% | C | |
| TONI ACTIONS ISR 100 | 10.297 | 0,005% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER | 11.041 | 0,005% | C | |
| INV | ||||
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 925 | 0,000% | C | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 2.638 | 0,001% | C | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 45.023 | 0,022% | C | |
| TRINITY COLLEGE CAMBRIDGE | 3.467 | 0,002% | C | |
| True Potential Investments LLP | 321.471 | 0,156% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 10 | 6.735 | 0,003% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 1.646 | 0,001% | C | |
| INVESTMENT FUND TRUST NUMBER 21 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION |
||||
| INVESTMENT FUND TRUST NUMBER 3 | 11.160 | 0,005% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 693 | 0,000% | C | |
| INVESTMENT FUND TRUST NUMBER 8 | ||||
| TRUST FOR THE PENSION PLAN OF THE CHUBB CORPORATION | 36.008 | 0,017% | C | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | C | |
| TRUTH INITIATIVE FOUNDATION TWO SIGMA ABSOLUTE RETURN PORTFOLIO LLC C/O TWO SIGMA |
1.163 | 0,001% | C | |
| ADVISERS LP ACTING AS INVESTMENT ADVISER | 377.000 | 0,183% | C | |
| TWO SIGMA EQUITY RISK PREMIA PORTFOLIO LLC. | 405 | 0,000% | C | |
| TWU Superannuation Fund | 1.687 | 0,001% | C | |
| U.S. GLOBAL INVESTORS FUNDS | 9.000 | 0,004% | C | |
| UBAM | 31.734 | 0,015% | C | |
| UBAM - EUROPE SMALL CAP EQUITY | 13.499 | 0,007% | C | |
| UBP FLEX-BELL GLOBAL EX-ASIA SMIDCAP EQUITY | 32.954 | 0,016% | C | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 13.513 | 0,007% | C | |
| UBS (IRL) INVESTOR SELECTION PLC | 10.309 | 0,005% | C | |
| UBS (LUX) EQUITY SICAV | 103.750 | 0,050% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 47.129 | 0,023% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 87.226 | 0,042% | C | |
| UBS (LUX) INSTITUTIONAL SICAV EQUITIES GLOBAL (EX USA) PASSIVE | 1.901 | 0,001% | C | |
| UBS (LUX) KEY SELECTION SICAV | 5.631 | 0,003% | C | |
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY | 1.641 | 0,001% | C | |
| (USD) | ||||
| UBS (LUX) SICAV 1 | 133 | 0,000% | C | |
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 824 | 0,000% | C | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
540 | 0,000% | C | |
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM | 2.156 | 0,001% | C | |
| (USD) | ||||
| UBS (US) GROUP TRUST | 13.145 | 0,006% | C | |
| UBS AM (D) GMBH / UBS412 | 13.300 | 0,006% | C | |
| UBS ASSET MANAGEMENT LIFE LTD UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH |
39.500 | 0,019% | C | |
| INVESTINSTITUTIONAL FUN | 9.869 | 0,005% | C | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 24.069 | 0,012% | C | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 182.621 | 0,089% | C | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 281 | 0,000% | C | |
| UBS LUX FUND SOLUTIONS | 175.192 | 0,085% | C | |
| UF 6 | 4.278 | 0,002% | C | |
| UFF VALEUR PME | 206.481 | 0,100% | C | |
| UI-E | 5.465 | 0,003% | C | |
| UI-FONDS BAV RBI AKTIEN | 17.551 | 0,009% | C | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 5.970 | 0,003% | C | |
| UNI-GLOBAL SICAV | 2.886 | 0,001% | C | |
| UNION INVESTMENT INSTITUTIONAL GMBH UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE |
9.708 | 0,005% | C | |
| REFUGEE | 1.095 | 0,001% | C | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | 50.244 | 0,024% | C | |
| MASTER TRU | ||||
| UNITY FUND | 20.474 | 0,010% | C | |
| UNIVERSAL INVEST SICAV | 223.368 | 0,109% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL | 9.009 | 0,004% | C | |
| FONDS | ||||
| Universal Investment GmbH | 94.420 | 0,046% | C | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG AKTIEN GLOBAL PLUS |
67.000 | 0,033% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR BERENBERG MULTI | ||||
| ASSETDEFENSIVE | 10.000 | 0,005% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK A1-FONDS |
224.924 | 0,109% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK A4-FONDS |
19.415 | 0,009% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS |
2.945 | 0,001% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | 1.100 | 0,001% | C | |
| COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO |
13.441 | 0,007% | C | |
| UNIVERSAL-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT |
||||
| EURO AKTIEN SOLVENCY | 5.980 | 0,003% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT | 6.000 | 0,003% | C | |
| EURO AKTIEN VOLCONTROL UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US |
||||
| UNIVERSAL-FONDS | 77.354 | 0,038% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL-CA V |
2.004 | 0,001% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB UNIVERSAL-FONDS |
375 | 0,000% | C | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 17.328 | 0,008% | C | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | C | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO |
17.216 | 0,008% | C | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN ENHANCE |
228 | 0,000% | C | |
| UPS GROUP TRUST | 58.308 | 0,028% | C | |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | C | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | C | |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | C | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | C | |
| VALORACTIONS | 2.500 | 0,001% | C | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | C | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.551.670 | 0,754% | C | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 2.626 | 0,001% | C | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | C | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
10.454 | 0,005% | C | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 467.062 | 0,227% | C | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS | 6.838 | 0,003% | C | |
| INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
||||
| INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
135.516 | 0,066% | C | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II | 1.115.258 | 0,542% | C | |
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 420.620 | 0,204% | C | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.269 | 0,012% | C | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 2.598 | 0,001% | C | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 165.716 | 0,081% | C | |
| VANGUARD INTERNATIONAL EXPLORER FUND | 79.023 | 0,038% | C | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 77.383 | 0,038% | C | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 4.268 | 0,002% | C | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 236.750 | 0,115% | C | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD |
5.037 | 0,002% | C |


| WHEELS COMMON INVESTMENT FUND. | 1.612 | 0,001% | C |
|---|---|---|---|
| WHOLESALE INTERNATIONAL CORE EQUITIES | 316 | 0,000% | C |
| WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED | 496 | 0,000% | C |
| WHOLESALE UNIT TRUST MSCI GLOBAL INDEX SHARE FUND | 732 | 0,000% | C |
| WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST | 40.400 | 0,020% | C |
| WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND | 48.062 | 0,023% | C |
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,039% | C |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST - WILSHIRE MULT | 1.084 | 0,001% | C | |
| WILSHIRE MUTUAL FUNDS, INC. - WILSHIRE INTERNATIONAL EQUITY FUND |
2.615 | 0,001% | C | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 7.925 | 0,004% | C | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,048% | C | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | C | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | C | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
36.694 | 0,018% | C | |
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | C | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,006% | C | |
| WISDOMTREE ISSUER ICAV | 15.102 | 0,007% | C | |
| WISDOMTREE WORLD EX-US GROWTH FUND | 20.724 | 0,010% | C | |
| WORLD EQUITIES | 479 | 0,000% | C | |
| WTCN MULTIPLE COLLECTIVE INVESTMENT FUNDS TRUST II | 96.539 | 0,047% | C | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,003% | C | |
| XTRACKERS | 208.841 | 0,101% | C | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 98.205 | 0,048% | C | |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 966 | 0,000% | C | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 1.244 | 0,001% | C | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 54.610 | 0,027% | C | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 9.949 | 0,005% | C | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 473 | 0,000% | C | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 1.376 | 0,001% | C | |
| YORKTOWN GROWTH FUND | 7.700 | 0,004% | C | |
| ZURICH ASSURANCE LTD | 263.686 | 0,128% | C | |
| ZURICH FINANCIAL SERVICES UK PENSION SCHEME. | 39.461 | 0,019% | C | |
| ZURICH INVEST ICAV | 32.795 | 0,016% | C | |
| ZURICH LIFE ASSURANCE PLC | 69.257 | 0,034% | C | |
| ZURICH VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 470 | 0,000% | C | |
| ZVK KVS FONDS | 6.000 | 0,003% | C | |
| ALLEANZA ASSICURAZIONI SPA | 38.144 | 0,019% | A | |
| ARGENTA DP | 43.850 | 0,021% | A | |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA | ||||
| PENSIOENSPAARFONDS | 150.000 | 0,073% | A | |
| CHALLENGE FUNDS - CHALLENGE INTERNATIONAL EQUITY FUND | 16.394 | 0,008% | A | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,035% | A | |
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,014% | A | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | A | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO FUND |
6.200 | 0,003% | A | |
| DPAM B | 241.864 | 0,118% | A | |
| DPAM DBI RDT | 11.907 | 0,006% | A | |
| DPAM L | 4.150 | 0,002% | A | |
| GENERALI ITALIA SPA | 26.722 | 0,013% | A | |
| GENERALI VIE | 134.803 | 0,066% | A | |
| GID-FONDS ALAET | 40.240 | 0,020% | A | |
| GID-FONDS CEAOT | 68.126 | 0,033% | A | |
| GID-FONDS DLAET | 6.220 | 0,003% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| II | 3.800 | 0,002% | A | |
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,001% | A | |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | A | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,012% | A | |
| KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DM PRIVATE EQUITY MASTER INVESTMENT TRUST |
3.454 | 0,002% | A | |
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A | |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | A |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV |
Totale votanti 205.772.104 100%
F - Favorevole
NE - Non espresso NV - Non votante
C - Contrario A - Astenuto
Lx - Lista x
Legenda

Piano di incentivazione avente a oggetto azioni ordinarie di Moncler denominato "Piano di Performance Shares 2022" riservato agli amministratori esecutivi, ai dirigenti con responsabilità strategiche, ai dipendenti e/o ai collaboratori e/o i consulenti di Moncler e delle società da questa controllate. Deliberazioni inerenti e conseguenti.
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 205.772.104 | 100% | 75,18635% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 205.772.104 | 100,000% | 75,18635% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0 | 0,000% | 0,00000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 146.289.394 | 71,09292% | 53,45217% |
| Contrario | 57.215.802 | 27,80542% | 20,90588% |
| Astenuto | 1.879.873 | 0,91357% | 0,68688% |
| Non Votante | 387.035 | 0,18809% | 0,14142% |
| Totali | 205.772.104 | 100,000% | 75,18635% |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AB SICAV III - DYNAMIC ALL MAR | 491 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 606 | 0,000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 2.053 | 0,001% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEAN | 16.513 | 0,008% | F | |
| EQUITY ENHANCED INDEX FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN | 13.079 | 0,006% | F | |
| EQUITY TRACKER FUND | ||||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN WORLD EQUITY | 2.032 | 0,001% | F | |
| ENHANCED INDEX FUND | ||||
| ABU DHABI PENSION FUND | 29.056 | 0,014% | F | |
| ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET | 5.355 | 0,003% | F | |
| ALLOCATION PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST BLACKROCK GLOBAL STRATEGIES POR | 824 | 0,000% | F | |
| ADVANCED SERIES TRUST AST PRESERVATION ASSET ALLOCATION | 3.330 | 0,002% | F | |
| PORTFOLIO | ||||
| ADVANCED SERIES TRUST AST T ROWE PRICE ASSET ALLOCATION | 214.434 | 0,104% | F | |
| AEMA OBJECTIF NEUTRE CARBONE 2050 | 4.284 | 0,002% | F | |
| AIA Global Multi-Factor Equity Fund | 3.658 | 0,002% | F | |
| ALASKA COMMON TRUST FUND | 6.304 | 0,003% | F | |
| ALASKA PERMANENT FUND CORPORATION | 2.449 | 0,001% | F | |
| ALFRED I. DUPONT CHARITABLE TRUST | 2.929 | 0,001% | F | |
| ALICE A PROIETTI FAMILY TRUST UAD 09/27/13 | 684 | 0,000% | F | |
| ALLSTATE INSURANCE COMPANY | 13.511 | 0,007% | F | |
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH AND INCOME | 44.828 | 0,022% | F | |
| FUND | ||||
| AMERICAN FUNDS INSURANCE SERIESGLOBAL GROWTH FUND | 217.370 | 0,106% | F | |
| AMG GW AND K EMERGING WEALTH EQUITY FUND | 13.283 | 0,006% | F | |
| AMG GW AND K GLOBAL ALLOCATION FUND | 25.206 | 0,012% | F | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.280 | 0,001% | F | |
| ANNETTE HEMMRICH FAMILY 2019 DYNASTY TRUST | 1.420 | 0,001% | F | |
| API RETRAITE DIVERSIFIE | 36.271 | 0,018% | F | |
| AQUARIUS INTERNATIONAL FUND | 774 | 0,000% | F | |
| ARAMCO US RETIREMENT INCOME PLAN TRUST | 354 | 0,000% | F | |
| ARIZONA PSPRS TRUST | 20.274 | 0,010% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 44.689 | 0,022% | F | |
| ARVEST FOUNDATION | 8 | 0,000% | F | |
| AST QMA INTERNATIONAL CORE EQUITY PORTFOLIO | 912 | 0,000% | F | |
| AURION GLOBAL EQUITY FUND | 645 | 0,000% | F | |
| AUSTRALIA POST SUPERANNUATION SCHEME | 795 | 0,000% | F | |
| Australian Catholic Superannuation and Retirement Fund | 863 | 0,000% | F | |
| AXA AA DIVERSIFIE INDICIEL 1 | 12.875 | 0,006% | F | |
| AXA ROSENBERG EQUITY ALPHA TRUST | 1.910 | 0,001% | F | |
| AZL INTERNATIONAL INDEX FUND | 20.158 | 0,010% | F | |
| AZL MSCI GLOBAL EQUITY INDEX FUND | 1.545 | 0,001% | F | |
| BANK OF BOTSWANA. | 1.396 | 0,001% | F |
Piano di incentivazione avente a oggetto azioni ordinarie di Moncler denominato "Piano di Performance Shares 2022" riservato agli amministratori esecutivi, ai dirigenti con responsabilità strategiche, ai dipendenti e/o ai collaboratori e/o i consulenti di Moncler e delle società da questa controllate. Deliberazioni inerenti e conseguenti.


| BANK OF KOREA 745 0,000% F BEAR CREEK INC 2.075 0,001% F BEAT DRUGS FUND ASSOCIATION 359 0,000% F BELLSOUTH CORP RFA VEBA TRUST 2.800 0,001% F BIMCOR OVERSEAS POOLED FUND 21.207 0,010% F BLACKROCK - IG INTERNATIONALEQUITY POOL 500 0,000% F BLACKROCK ADVANTAGE GLOBAL FUN 282 0,000% F BLACKROCK ADVANTAGE INTERNATIONAL FUND 6.583 0,003% F BLACKROCK AUTHORISED CONTRACTUAL SCHEME I 229.060 0,111% F BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND 4.800 0,002% F BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND 93.391 0,045% F BLACKROCK CDN WORLD INDEX FUND 10.012 0,005% F BLACKROCK EUROFUND 27.878 0,014% F BLACKROCK FUND MANAGERS LTD 11.179 0,005% F BLACKROCK FUNDS I ICAV 27.166 0,013% F BLACKROCK GLOBAL FUNDS 479.224 0,233% F BLACKROCK GLOBAL INDEX FUNDS 11.696 0,006% F BLACKROCK INDEX SELECTION FUND 139.296 0,068% F BLACKROCK INSTITUTIONAL JERSEY FUNDS 430 0,000% F BLACKROCK INSTITUTIONAL POOLED FUNDS PLC 37.571 0,018% F BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT 1.746.749 0,849% F FUNDS FOR EMPLOYEE BENEFIT TRUSTS BLACKROCK INTERNATIONAL ALPHA TILTS FUND 2.598 0,001% F BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK 2.575 0,001% F VARIABLE SERIES FUNDS, INC. BLACKROCK LIFE LIMITED 5.398 0,003% F BLACKROCK LIFE LTD 171.323 0,083% F BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B 41.254 0,020% F BLACKROCK STRATEGIC FUNDS 1.115 0,001% F BLACKROCK SUSTAINABLE ADVANTAGE INTERNATIONAL EQUITY FUND 118 0,000% F OF BLACKROCK FUNDS BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND 23.740 0,012% F LIMITED BLK MAGI FUND A SERIES TRUST 45 0,000% F BNZ Wholesale International Equities (Index) Fund 3.882 0,002% F BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN 4.893 0,002% F AMERICA BRIDGE BUILDER INTERNATIONAL 9.810 0,005% F BRUNSWICK UNIT 2 QUALIFIED NUCLEAR 3.827 0,002% F BT INTERNATIONAL SHARES INDEX FUND 18.884 0,009% F BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND 884 0,000% F BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND 5.207 0,003% F BUREAU OF LABOR FUNDS-LABOR PENSION FUND 19.498 0,009% F CANADIAN WORLD FUND LIMITED . 22.000 0,011% F CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST 64.910 0,032% F CAPITAL INTERNATIONAL FUND 7.623 0,004% F CAPITAL WORLD GROWTH AND INCOME FUND 2.567.919 1,248% F CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA 453 0,000% F CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND 1.019 0,000% F CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATIN 12.295 0,006% F ICIPATING EMPLOYERS CENTRAL PROVIDENT FUND BOARD 526 0,000% F CHEVRON UK PENSION PLAN. 1.299 0,001% F CINDY SPRINGS LLC 14.524 0,007% F CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) EUROP 201.667 0,098% F CITIBANK UK LIMITED AS TRUSTEE FOR ASI (STANDARD LIFE) INTER 13.123 0,006% F CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS 1.702 0,001% F BLACKROCK WORLD EQUITY INDEX FUND CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN 16.338 0,008% F Civil Service Employees Pension Fund 2.500 0,001% F COGEFI ELIXIR ISR 2.330 0,001% F COLLEGE RETIREMENT EQUITIES FUND 1.845.499 0,897% F CONNECTICUT GENERAL LIFE INSURANCE COMPANY 3.646 0,002% F CONNECTICUT GENERAL LIFE INSURANCE COMPANY 409 0,000% F |
Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 115 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 9.096 | 0,004% | F | |
| CORNELL UNIVERSITY | 819 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 5.928 | 0,003% | F | |
| CSAA INSURANCE EXCHANGE | 516 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR GLOBAL HIGH | 4.197.287 | 2,040% | F | |
| QUALITY GROWTH EQUITY MOT | ||||
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND | 3.855 | 0,002% | F | |
| TECHNOLOGY AGENCY 16619-9962 CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR WCM SELECT |
||||
| GLOBAL GROWTH EQUITY MOTHE | 25.400 | 0,012% | F | |
| CYSTIC FIBROSIS FOUNDATION | 7.321 | 0,004% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 2.414 | 0,001% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.129 | 0,001% | F | |
| DFI LP EQUITY (PASSIVE | 2.256 | 0,001% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND C/O | ||||
| KESWICK MANAGEMENT | 779 | 0,000% | F | |
| DOUBLE SRL | 09589910963 | 54.414.063 | 26,444% | F |
| DUKE ENERGY CORPORATION MASTER RETIREMENT TRUST | 113.859 | 0,055% | F | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 10.716 | 0,005% | F | |
| DYNASTY INVEST LTD | 361 | 0,000% | F | |
| ECHIQUIER AGENOR EURO SRI MID CAP | 256.713 | 0,125% | F | |
| Echiquier Agenor Mid Cap Europe Fund | 89.444 | 0,043% | F | |
| ECHIQUIER AGENOR SRI MID CAP EUROPE | 1.359.794 | 0,661% | F | |
| ECHIQUIER APOLLINE SMID CAP EURO | 204.195 | 0,099% | F | |
| EIFFEL NOVA MIDCAP | 19.146 | 0,009% | F | |
| EMS OPPORTUNITY LTD. | 27.364 | 0,013% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 689 | 0,000% | F | |
| ENERGY INVESTMENT FUND | 1.429 | 0,001% | F | |
| EPSILON SGR - EPSILON DLONGRUN | 61 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE LUGLIO 2022 | 946 | 0,000% | F | |
| EPSILON SGR - EPSILON MULTIASSET VALORE GLOBALE MAGGIO 2022 | 1.236 | 0,001% | F | |
| EPSILON SGR - EPSILON QRETURN | 3.155 | 0,002% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
4.988 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
1.187 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 2.265 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | 5.002 | 0,002% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
6.291 | 0,003% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED | 9.008 | 0,004% | F | |
| VOLATILITY PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY |
24.816 | 0,012% | F | |
| PORTFOLIO | ||||
| EQUIPSUPER EQUITABLE FINANCIAL LIFE INSURANCE COMPANY |
4.408 1.952 |
0,002% 0,001% |
F F |
|
| ESTABLISHED COUNTRIES HIGHQUALITY GROWTH EQUITY MOTHER | ||||
| FUND | 544.610 | 0,265% | F | |
| EURIZON CAPITAL SGR - EURIZON AM MITO 50 | 28.847 | 0,014% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RILANCIO ITALIA TR | 546 | 0,000% | F | |
| EURIZON CAPITAL SGR - EURIZON AM RITORNO ASSOLUTO | 3.182 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN ATTIVO | 10.304 | 0,005% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN DIFENSIVO | 4.525 | 0,002% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TOTAL RETURN MODERATO | 7.991 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND | 7.432 | 0,004% | F | |
| EURIZON CAPITAL SGR - EURIZON AM TR MEGATREND II | 1.828 | 0,001% | F | |
| EURIZON CAPITAL SGR - EURIZON AZIONI ITALIA | 172.647 | 0,084% | F | |
| EURIZON CAPITAL SGR - EURIZON PIR ITALIA AZIONI | 13.270 | 0,006% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 40 | 68.006 | 0,033% | F | |
| EURIZON CAPITAL SGR - EURIZON PROGETTO ITALIA 70 | 81.693 | 0,040% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EURIZON CAPITAL SGR - EURIZON RENDITA | 1.931 | 0,001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 7.817 | 0,004% | F | |
| EUROPE EX-UK ALPHA TILTS ESG SCREENED FUND B (EUTLTBTTL) | 10.629 | 0,005% | F | |
| EUROPEAN CENTRAL BANK | 9.670 | 0,005% | F | |
| EXELON FITZPATRICK QUALIFIED FUND | 872 | 0,000% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED |
5.627 | 0,003% | F | |
| INTERNATIONALFUND | 3.442 | 0,002% | F | |
| FCM INTERNATIONAL LLC | 503 | 0,000% | F | |
| FCP CARPIMKO EUROPE | 11.386 | 0,006% | F | |
| FCP ECHIQUIER LUXURY | 15.462 | 0,008% | F | |
| FCP MANDARINE OPTIMAL VALUE | 5.942 | 0,003% | F | |
| FEDERATED KAUFMANN FUND | 480.000 | 0,233% | F | |
| FEDERATED KAUFMANN FUND II | 12.790 | 0,006% | F | |
| FEDERATED KAUFMANN SMALL CAP FUND | 271.200 | 0,132% | F | |
| FGTFEBP: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED | ||||
| POOL | 58.400 | 0,028% | F | |
| FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 342.300 | 0,166% | F | |
| FIDDLER PARTNERS LLC. | 93 | 0,000% | F | |
| FIDELITY BLUE CHIP GROWTH INSTITUTIONAL TRUST | 1.346 | 0,001% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX | ||||
| FUND | 495.003 | 0,241% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL | ||||
| INDEX FUND | 3.716 | 0,002% | F | |
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 700 | 0,000% | F | |
| FIDELITY DESTINY PORTFOLIOS FIDELITY ADV DIVERSIFIED STOCK FND | 58.667 | 0,029% | F | |
| FIDELITY FOUNDERS INVESTMENT TRUST | 33.300 | 0,016% | F | |
| FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS | 44.755 | 0,022% | F | |
| FIDELITY INTERNATIONAL EQUITY INSTITUTIONAL TRUST | 25.300 | 0,012% | F | |
| FIDELITY INTERNATIONAL EQUITY MULTIASSET BASE FUND | 82.100 | 0,040% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 14.443 | 0,007% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 17.185 | 0,008% | F | |
| FIDELITY INVESTMENT TRUST FIDELITY ENDURING OPPORTUNITIES FU | 697 | 0,000% | F | |
| FIDELITY INVESTMENT TRUST: FIDELITY SERIES OVERSEAS FUND | 1.700.500 | 0,826% | F | |
| FIDELITY INVESTMENTS MONEY MANAGEMENT INC | 468 | 0,000% | F | |
| FIDELITY LONGTERM LEADERS FUND | 1.457 | 0,001% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN FUND | 475.594 | 0,231% | F | |
| FIDELITY PURITAN TRUST FIDELITYPURITAN K6 FUND | 12.515 | 0,006% | F | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 148.841 | 0,072% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 67.794 | 0,033% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 71.471 | 0,035% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
59.913 | 0,029% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
24.219 | 0,012% | F | |
| FIDELITY SECURITIES FUND FIDELITY FLEX LARGE CAP GROWTH FUND | 419.702 | 0,204% | F | |
| FIDELITY SECURITIES FUND FIDELITY SERIES BLUE CHIP GROWTH FUND | 51.623 | 0,025% | F | |
| FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND | 674.410 | 0,328% | F | |
| FIDELITY TREND FUND: FIDELITY TREND FUND | 185.000 | 0,090% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 662 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX |
718 | 0,000% | F | |
| FUND | 1.334 | 0,001% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
3.696 | 0,002% | F | |
| FLOURISH INVESTMENT CORPORATION | 13.404 | 0,007% | F | |
| FMR CAPITAL INC | 139 | 0,000% | F | |
| FMR CAPITAL INC | 300 | 0,000% | F | |
| FND DE SEGURANCA SOCIAL DE MACAU | 7.164 | 0,003% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 1.002 | 0,000% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 4.322 | 0,002% | F |


| INTERNATIONAL TILTS MASTER PORTFOLIO OF MASTER INVESTMENT | |||
|---|---|---|---|
| PORTFO | 1.363 | 0,001% | F |
| IPROFILE INTERNATIONAL EQUITY PRIVATE POOL | 6.337 | 0,003% | F |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 715 | 0,000% | F |
| ISHARES CORE MSCI EAFE ETF | 1.100.037 | 0,535% | F |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 48.266 | 0,023% | F |
| ISHARES CORE MSCI EUROPE ETF | 89.783 | 0,044% | F |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 73.910 | 0,036% | F |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 214.092 | 0,104% | F |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ISHARES DOW JONES EUROZONE SUSTAINABILITY SCREENED UCITS ETF | 17.245 | 0,008% | F | |
| DE | ||||
| ISHARES EDGE MSCI INTL MOMENTUMFACTOR ETF | 22.359 | 0,011% | F | |
| ISHARES EDGE MSCI INTL QUALITY FACTOR ETF | 143.992 | 0,070% | F | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 9.493 | 0,005% | F | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF ISHARES EURO STOXX UCITS ETF (DE) |
1.618 88.412 |
0,001% 0,043% |
F F |
|
| ISHARES EUROPE ETF | 40.489 | 0,020% | F | |
| ISHARES GLOBAL CONSUMER DISCRETIONARY ETF | 12.789 | 0,006% | F | |
| ISHARES II PUBLIC LIMITED COMPANY | 91.277 | 0,044% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 250.342 | 0,122% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 298 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 315.397 | 0,153% | F | |
| ISHARES MSCI ACWI ETF | 42.539 | 0,021% | F | |
| ISHARES MSCI ACWI EX U.S. ETF | 36.276 | 0,018% | F | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 5.904 | 0,003% | F | |
| ISHARES MSCI EAFE ETF | 676.406 | 0,329% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 254.367 | 0,124% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 106.658 | 0,052% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 4.787 | 0,002% | F | |
| ISHARES MSCI EUROZONE ETF | 243.059 | 0,118% | F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 267 | 0,000% | F | |
| ISHARES MSCI ITALY ETF | 219.619 | 0,107% | F | |
| ISHARES MSCI KOKUSAI ETF | 615 | 0,000% | F | |
| ISHARES MSCI WORLD ETF | 7.193 | 0,003% | F | |
| ISHARES PUBLIC LIMITED COMPANY | 182.059 | 0,088% | F | |
| ISHARES STOXX EUROPE 600 PERSONALHOUSEHOLD GOODS UCITS ETF DE |
24.310 | 0,012% | F | |
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 141.793 | 0,069% | F | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 52.632 | 0,026% | F | |
| ISHARES V PUBLIC LIMITED COMPANY | 39.924 | 0,019% | F | |
| ISHARES VI PUBLIC LIMITED COMPANY | 72.641 | 0,035% | F | |
| ISHARES VII PLC | 192.179 | 0,093% | F | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 18.950 | 0,009% | F | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 1.497 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 2.211 | 0,001% | F | |
| ISHARES WORLD EX SWITZERLAND ESG EQUITY INDEX FUND (CH) | 4.360 | 0,002% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBO JMW DTD 1/1/2012 | 95 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOAAP C/O WALTON ENTERPRISES LLC |
97 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOSLW | 47 | 0,000% | F | |
| JCW 1987 ARTICLE II DESC TRUST FBOTLW | 89 | 0,000% | F | |
| JNL/BLACKROCK ADVANTAGE INTERNATIONAL FUND | 333 | 0,000% | F | |
| JNL/TROWE PRICE BALANCED FUND | 8.869 | 0,004% | F | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. |
7.601 | 0,004% | F | |
| JOSE POLICE AND FIRE DEPARTMENT RETIREMENT PLAN | 57.962 | 0,028% | F | |
| JTW TRUST NO. 1 UAD 9/19/02. | 696 | 0,000% | F | |
| JTW TRUST NO. 2 UAD 9/19/02. | 1.167 | 0,001% | F | |
| JTW TRUST NO. 3 UAD 9/19/02. | 1.188 | 0,001% | F | |
| JTW TRUST NO. 4 UAD 9/19/02. | 1.385 | 0,001% | F | |
| JTW TRUST NO. 5 UAD 9/19/02. | 732 | 0,000% | F | |
| K INVESTMENTS SH LIMITED. | 19.004 | 0,009% | F | |
| KAISER FOUNDATION HOSPITALS | 6.067 | 0,003% | F | |
| KAISER PERMANENTE GROUP TRUST | 9.965 | 0,005% | F | |
| KINSTED GLOBAL EQUITY POOL | 59.251 | 0,029% | F | |
| KOKUSAI EQUITY INDEX FUND KOOKMIN BANK ACTING AS TRUSTEE OF KIM PRIVATE PRIME GLOBAL |
6.832 | 0,003% | F | |
| EQUITY MASTER INVESTMENT TRUST 3 | 145.559 | 0,071% | F | |
| KUTXABANK GESTION SGIIC, S.A. | 210.135 | 0,102% | F | |
| LABORFONDS - FONDO PENSIONE COMPLEMENTARE LAVORATORI DIPENDENTIOPERANTI IN TRENT |
18.222 | 0,009% | F | |
| LEFEVI S.R.L. | 11656180962 | 711.507 | 0,346% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LORD MAYOR'S CHARITABLE FOUNDATION | 188 | 0,000% | F | |
| LTW INVESTMENTS LLC | 13.669 | 0,007% | F | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 35.950 | 0,017% | F | |
| M & G Securities Limited | 5.213 | 0,003% | F | |
| MANAGED INVESTMENT FUNDS ICVCINTERNATIONAL EQUITY TRACKER | 738 | 0,000% | F | |
| FUND | ||||
| MANAGED PENSION FUNDS LIMITED | 107.922 | 0,052% | F | |
| MANAGEMENT BOARD PUBLIC SERVICE PENSION FUND | 4.415 | 0,002% | F | |
| MANDARINE FUNDS - MANDARINE GLOBAL SPORT MANDARINE UNIQUE SMALLandMID CAPS EUROPE |
9.900 192.000 |
0,005% 0,093% |
F F |
|
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 909 | 0,000% | F | |
| MARS S.R.L. | 11666960965 | 779.732 | 0,379% | F |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O | ||||
| MARSHALL WACE IRELAND LTD | 1.802.175 | 0,876% | F | |
| MASSMUTUAL SELECT T ROWE PRICE INTERNATIONAL EQUITY FUND | 40.376 | 0,020% | F | |
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 32.322 | 0,016% | F | |
| MF/B PI ESG INSIGHTS WORLD EQUITY FUND | 418 | 0,000% | F | |
| MGI FUNDS PLC | 11.427 | 0,006% | F | |
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 53.844 | 0,026% | F | |
| MM MSCI EAFE INTERNATIONAL INDEX FUND | 1.753 | 0,001% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 381.927 | 0,186% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 9.094 | 0,004% | F | |
| MONTANARO SMALLER COMPANIES PLC | 350.000 | 0,170% | F | |
| MORG ST GLOBAL OPPORTUNITY PORTFOLIO | 2.833.678 | 1,377% | F | |
| MORG ST INTERNATIONAL ADVANTAGEPORTFOLIO | 4.361.926 | 2,120% | F | |
| MORG ST INTERNATIONAL OPPORTUNITY PORTFOLIO | 1.942.734 | 0,944% | F | |
| MORGAN STANLEY EUROPE OPPORTUNITY FUND INC | 264.491 | 0,129% | F | |
| MORGAN STANLEY PATHWAY FUNDS | 4.198 | 0,002% | F | |
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 1.804 | 0,001% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 9.298 | 0,005% | F | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 129 | 0,000% | F | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 92.584 | 0,045% | F | |
| MTBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUITY FUND | 23.490 | 0,011% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 53.342 | 0,026% | F | |
| MUNICIPAL EMPLOYEES' ANNUITY AND BENEFIT FUND OF CHICAGO | 219 | 0,000% | F | |
| MUNICIPAL EMPLOYEES PENSION PLAN | 72.164 | 0,035% | F | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 4.114 | 0,002% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 40.094 | 0,019% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 53.496 | 0,026% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 15.524 | 0,008% | F | |
| NATIXIS INTERNATIONAL FUNDS (LUX) I | 92.122 | 0,045% | F | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 8.722 | 0,004% | F | |
| NAV CANADA PENSION PLAN | 2.980 | 0,001% | F | |
| NEF EURO EQUITY | 159.607 | 0,078% | F | |
| NEMOURS FOUNDATION | 184 | 0,000% | F | |
| NEW AIRWAYS PENSION SCHEME | 1.615 | 0,001% | F | |
| NEW YORK STATE DEFERRED COMPENSATION PLAN | 2.926 | 0,001% | F | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM NEWBURG NOMINEES LIMITED INVESTORSWHOLESALE GLOBAL EQUITY |
103.513 | 0,050% | F | |
| (INDEX) TRUST | 15.678 | 0,008% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC NON QUALIFIED DECOMMISSIONI |
179 | 0,000% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED | ||||
| DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR | 32 | 0,000% | F | |
| POW | ||||
| NFS LIMITED NISSAN NORTH AMERICA INC. EMPLOYEE RETIREMENT PLAN MASTER |
12.960 | 0,006% | F | |
| TRUST | 35.126 | 0,017% | F | |
| NORGES BANK | 49.639 | 0,024% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 60.221 | 0,029% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 438.128 | 0,213% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 119.059 | 0,058% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| NORTHERN TRUST UCITS FGR FUND | 30.088 | 0,015% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND | 168 | 0,000% | F | |
| NTGI - QM COMMON DAILY ALL COUNTRY WORLD EX-US EQUITY | ||||
| INDEX | 9.906 | 0,005% | F | |
| NTGI-QM COMMON DAILY ALL COUNTRY WORLD EX-US INVESTABLE | ||||
| MARKET INDEX FUND - NON LENDING | 7.437 | 0,004% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - LENDING | 10.139 | 0,005% | F | |
| NTGI-QM COMMON DAILY EAFE INDEX FUND - NON LENDING | 30.497 | 0,015% | F | |
| NVIT INTERNATIONAL INDEX FUND | 23.688 | 0,012% | F | |
| OFI RS ALPHA SECTOR | 601 | 0,000% | F | |
| OHIO NATIONAL FUND, INC.- ON INTERNATIONAL EQUITY PORTFOLIO | 4.041 | 0,002% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 399 | 0,000% | F | |
| PACER TRENDPILOT INTERNATIONAL ETF | 1.710 | 0,001% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 1.251 | 0,001% | F | |
| PEOPLE'S BANK OF CHINA | 49.917 | 0,024% | F | |
| PERMANENT FUND INVESTMENTS LLC | 299 | 0,000% | F | |
| PGIM BALANCED FUND | 1.092 | 0,001% | F | |
| PGIM ETF TRUST-PGIM QUANT SOLU | 1.548 | 0,001% | F | |
| PGIM FUNDS PUBLIC LIMITED COMPANY | 8.173 | 0,004% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 865 | 0,000% | F | |
| PGIM QMA INTERNATIONAL EQUITY FUND | 1.836 | 0,001% | F | |
| PIONEER FLEXIBLE OPPORTUNITIES FUND | 22.516 | 0,011% | F | |
| PIT S.R.L. | 11666970964 | 779.732 | 0,379% | F |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 1.143 | 0,001% | F | |
| PRO-GEN INVESTMENTS LLC | 527 | 0,000% | F | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | ||||
| INTERNATIONAL SMALL MID CAP OPPORTUNITIES FUND | 1.957 | 0,001% | F | |
| PRUDENTIAL INVESTMENT PORTFOLIOS 12 PGIM JENNISON | ||||
| NEXTGENERATION GLOBAL OPPORTUNITIES FUND | 3.943 | 0,002% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 8.032 | 0,004% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 1.876 | 0,001% | F | |
| PUBLIC EMPLOYEES PENSION PLAN | 293.869 | 0,143% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 1.833 | 0,001% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 30.069 | 0,015% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 51.185 | 0,025% | F | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF | 3.100 | 0,002% | F | |
| CHICAGO | ||||
| Putm Authorised Contractual Scheme - Putm Acs European Ex UK Fund |
146.256 | 0,071% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONBALANCED FUND | 9.878 | 0,005% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONCONSERVATIVE FUND | 3.059 | 0,001% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONEQUITY FUND | 606 | 0,000% | F | |
| PUTNAM DYNAMIC ASSET ALLOCATIONGROWTH FUND | 16.503 | 0,008% | F | |
| PUTNAM DYNAMIC RISK ALLOCATION FUND | 85 | 0,000% | F | |
| PUTNAM VARIABLE TRUST - PUTNAM VT GLOBAL ASSET ALLOCATION | 741 | 0,000% | F | |
| FUND | ||||
| QUEENSLAND INVESTMENT TRUST NO. 2 | 2.046 | 0,001% | F | |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST |
3.584 | 0,002% | F | |
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 730 | 0,000% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 1.844 | 0,001% | F | |
| RIVETEX S.R.L. | 10537490962 | 7.680.413 | 3,732% | F |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 953 | 0,000% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 21.905 | 0,011% | F | |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 59.500 | 0,029% | F | |
| RUFFINI REMO | RFFRME61M27C933V | 187.889 | 0,091% | F |
| RUSSELL DEVELOPED LARGE CAP EM GEOEXPOSURE INDEX FUND B | ||||
| (REMGEOB) | 2.713 | 0,001% | F | |
| RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND |
48.011 | 0,023% | F | |
| RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND |
20.563 | 0,010% | F |


| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL | ||||
| EQUITY FUND | 7.848 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 8.270 | 0,004% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.528 | 0,009% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 19.767 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY TAXMANAGED INTERNATIONAL | 69.531 | 0,034% | F | |
| EQUITY FUND | ||||
| RUSSELL INVESTMENT COMPANY V PLC | 32.028 | 0,016% | F | |
| RUSSELL INVESTMENT FUNDS INTERNATIONAL DEVELOPED MARKETS | 9.504 | 0,005% | F | |
| FUND RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E |
||||
| PLUS FUND | 175.855 | 0,085% | F | |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI | ||||
| ASSET I-ASSET GROW | 16.431 | 0,008% | F | |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL | ||||
| EQUIT | 8.270 | 0,004% | F | |
| RUSSELL INVESTMENTS INTERNATIONAL SHARES FUND | 25.601 | 0,012% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 3.137 | 0,002% | F | |
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.661 | 0,003% | F | |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 1.906 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 843 | 0,000% | F | |
| RUSSELL INVESTMENTS SUSTAINABLEGLOBAL SHARES EX FOSSIL FUEL S | 294 | 0,000% | F | |
| FUND LVL 3 | ||||
| RUSSELL INVESTMENTS TAX EFFECTIVE GLOBAL SHARES FUND | 65.147 | 0,032% | F | |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 4.602 | 0,002% | F | |
| RUSSELL OVERSEAS EQUITY POOL . | 5.355 | 0,003% | F | |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 483 | 0,000% | F | |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 902 | 0,000% | F | |
| S. ROBSON WALTON 2010 TRUST | 1.076 | 0,001% | F | |
| SAKKARAH 7 FCP | 31.165 | 0,015% | F | |
| SALIX LLC | 10.816 | 0,005% | F | |
| SAN JOSE FEDERATED CITY EMPLOYEES RETIREMENT SYST | 27.282 | 0,013% | F | |
| SBC MASTER PENSION TRUST | 7.654 | 0,004% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 366 | 0,000% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 2.269 | 0,001% | F | |
| SCOTIA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 147 | 0,000% | F | |
| SEMPRA ENERGY PENSION MASTER TRUST | 3.701 | 0,002% | F | |
| SG BLACKROCK ACTIONS EURO I | 12.641 | 0,006% | F | |
| SG ECHIQUIER ACTIONS EUROPE | 12.436 | 0,006% | F | |
| SHELL CANADA 2007 PENSION PLAN | 1.818 | 0,001% | F | |
| SHELL PENSION TRUST | 4.014 | 0,002% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 255.356 | 0,124% | F | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL | ||||
| UNCONSTRAINED FUND | 179.400 | 0,087% | F | |
| SLW PORTFOLIO LLC | 1.441 | 0,001% | F | |
| SMALLCAP WORLD FUND INC | 2.015.000 | 0,979% | F | |
| SMITHSON INVESTMENT TRUST PLC | 2.037.545 | 0,990% | F | |
| SMITHSON LP | 92.000 | 0,045% | F | |
| SMTB GLOBAL OPPORTUNITY MOTHER FUND | 68.281 | 0,033% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 130.312 | 0,063% | F | |
| SPDR MSCI ACWI LOW CARBON TARGET ETF | 341 | 0,000% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 3.508 | 0,002% | F | |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 13.110 | 0,006% | F | |
| SPDR MSCI WORLD STRATEGICFACTORS ETF | 270 | 0,000% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 90.605 | 0,044% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.814 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 1.172 | 0,001% | F | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
5.388 | 0,003% | F | |
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST | 7.976 | 0,004% | F | |
| FUND | ||||
| SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 170.925 | 0,083% | F | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 1.128 | 0,001% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 23.230 | 0,011% | F |

| MUTB400045792 | 233.264 | 0,113% | F |
|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR MUTB400045794 |
273.582 | 0,133% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR NATIONAL PENSION FUND ASSOCIATION 400037061 |
4.530 | 0,002% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
1.672 | 0,001% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 5.694 | 0,003% | F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 17.479 | 0,008% | F |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | ||||
| HEDGED) (PRIVATELY PLACED INVESTMENT T | 23.472 | 0,011% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | ||||
| (JPY HEDGED) (PRIVATELY PLACED INVEST | 3.034 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN,LTD AS TRUSTEE FOR BLACKROCK | 5.242 | 0,003% | F | |
| ESG INSIGHTS EUROPE | ||||
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 7.432 | 0,004% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM 50 50 BALANCED PORTFOLIO | 432 | 0,000% | F | |
| THE PRUDENTIAL SERIES FUND PSF PGIM FLEXIBLE MANAGED PORT | 598 | 0,000% | F | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 3.814 | 0,002% | F | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 5.401 | 0,003% | F | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/19/13 | 1.891 | 0,001% | F | |
| THRIFT SAVINGS PLAN | 820.350 | 0,399% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP | 157 | 0,000% | F | |
| TIAACREF FUNDSTIAACREF INTERNATIONAL OPPORTUNITIES FUND | 445.951 | 0,217% | F | |
| TIAACREF INTERNATIONAL EQUITY FUND | 1.307.128 | 0,635% | F | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 232.530 | 0,113% | F | |
| TIAACREF LIFE FUNDS INTERNATIONAL EQUITY FUND | 28.282 | 0,014% | F | |
| TJ-NONQUALIFIED LLC | 15.758 | 0,008% | F | |
| TJ-QUALIFIED LLC | 11.225 | 0,005% | F | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER | 11.041 | 0,005% | F | |
| INV TRANSAMERICA INTERNATIONAL EQUITY INDEX VP |
925 | 0,000% | F | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 11.446 | 0,006% | F | |
| TWU Superannuation Fund | 1.687 | 0,001% | F | |
| UFF VALEUR PME | 206.481 | 0,100% | F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 212 | 0,000% | F | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE | ||||
| REFUGEE | 1.095 | 0,001% | F | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | 50.244 | 0,024% | F | |
| MASTER TRU | ||||
| UNITY FUND | 20.474 | 0,010% | F | |
| UNIVERSAL SHIPOWNERS MARINE INSURANCE ASSOCIATION LIMITED | 601 | 0,000% | F | |
| UPS GROUP TRUST | 58.308 | 0,028% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.551.670 | 0,754% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 2.626 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 36.719 | 0,018% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
10.454 | 0,005% | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 467.062 | 0,227% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS | ||||
| INDEX TRUST | 6.838 | 0,003% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 135.516 | 0,066% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
||||
| INTERNATIONAL STOCK MARKET INDEX TRUST II | 1.115.258 | 0,542% | F | |
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 420.620 | 0,204% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.269 | 0,012% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 2.598 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 165.716 | 0,081% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 77.383 | 0,038% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 4.268 | 0,002% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 236.750 | 0,115% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE | 5.037 | 0,002% | F | |
| DEVELOPED WRLD CMMN CONT FD | ||||
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD |
4.075 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD-VANGUARD | ||||
| FTSE DEV EUR EX UK CCF | 23.069 | 0,011% | F | |
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED | 56.850 | 0,028% | F | |
| WOR LD EX - U.K. EQUITY |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| VANGUARD INVESTMENTS II CCF - VANGUARD FTSE DEVELOPED | 5.861 | 0,003% | F | |
| WORLD II CCF | ||||
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED | 8.321 | 0,004% | F | |
| EUROPE II CCF VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED |
||||
| WORLD II CCF | 5.218 | 0,003% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.772.037 | 1,347% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 100.560 | 0,049% | F | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | 2.992 | 0,001% | F | |
| PORTFOLIO | ||||
| VENEZIO INVESTMENTS PTE. LTD. VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX |
1.409.998 | 0,685% | F | |
| FUND | 108.892 | 0,053% | F | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 6.424 | 0,003% | F | |
| VIRGINIA TECH FOUNDATION INC | 972 | 0,000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 62.194 | 0,030% | F | |
| WCM FOCUSED INTERNATIONAL OPPO | 8.390 | 0,004% | F | |
| WCM INTERNATIONAL LONG-TERM | 755 | 0,000% | F | |
| WCM INVESTMENT MANAGEMENT | 908 | 0,000% | F | |
| WHEELS COMMON INVESTMENT FUND. | 1.612 | 0,001% | F | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 7.925 | 0,004% | F | |
| WYOMING RETIREMENT SYSTEM | 6.151 | 0,003% | F | |
| YORKTOWN GROWTH FUND | 7.700 | 0,004% | F | |
| 1895 FONDS FGR | 16.454 | 0,008% | C | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 358 | 0,000% | C | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 355 | 0,000% | C | |
| A.A. ODDO TACTIQUE -A- | 65.270 | 0,032% | C | |
| AAA ACTIONS AGRO ALIMENTAIRE | 330.000 | 0,160% | C | |
| ABB PENSION FUND | 500 | 0,000% | C | |
| ABERDEEN STANDARD SICAV I | 38.073 | 0,019% | C | |
| ABN AMRO FUNDS | 30.141 | 0,015% | C | |
| ADVANCE PLANNING LIMITED ADVISER MANAGED TRUST - TACTICAL OFFENSIVE EQUITY FUND |
895 3.380 |
0,000% 0,002% |
C C |
|
| AEGON CUSTODY B.V. | 58.811 | 0,029% | C | |
| AFER ACTIONS ENTREPRISES | 9.890 | 0,005% | C | |
| AGFIQ ENHANCED GLOBAL ESG FACTORS ETF | 11.547 | 0,006% | C | |
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE | ||||
| SERVICES LIMITED | 852 | 0,000% | C | |
| AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED | 11.017 | 0,005% | C | |
| AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD | 157.716 | 0,077% | C | |
| AHL GENESIS 2 LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 3.758 | 0,002% | C | |
| AHL GENESIS LIMITED | 8.529 | 0,004% | C | |
| AHL INSTITUTIONAL SERIES 3 LTD | 10.839 | 0,005% | C | |
| AIB GROUP IRISH PENSION SCHEME | 6.516 | 0,003% | C | |
| Aktien Europa - UI | 6.384 | 0,003% | C | |
| ALASKA PERMANENT FUND CORPORATION | 5.579 | 0,003% | C | |
| ALGEBRIS UCITS FUNDS PLC ALGEBRIS CORE ITALY FUND | 40.000 | 0,019% | C | |
| ALGER GLOBAL FOCUS FUND | 14.053 | 0,007% | C | |
| ALIGHT SOLUTIONS LLC 401(K) PLAN TRUST | 3.660 | 0,002% | C | |
| ALLEANZA OBBLIGAZIONARIO | 25.134 | 0,012% | C | |
| ALPS GLOBAL TRAVEL BENEFICIARIES ETF | 499 | 0,000% | C | |
| ALTE LEIPZIGER TRUST INVESTMENT GESELLSCHAFT MBH AMCETF QUALITY DIVERSIFIED INTERNATIONAL ETF |
2.537 3.677 |
0,001% 0,002% |
C C |
|
| AMERICAN BUREAU OF SHIPPING | 97 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 8.725 | 0,004% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 821 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL | ||||
| EQUITY ETF | 29 | 0,000% | C | |
| AMERICAN HEART ASSOCIATION, INC. | 166 | 0,000% | C | |
| AMO UCITS FUND | 95.702 | 0,047% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AMONIS NV | 15.346 | 0,007% | C | |
| AMP CAPITAL SPECIALIST INTERNATIONAL SHARE FUND | 5.248 | 0,003% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 17.825 | 0,009% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 1.488 | 0,001% | C | |
| AMSELECT - BLACKROCK EURO EQUITY | 14.351 | 0,007% | C | |
| AMUNDI ACCUMULAZIONE ITALIA PIR 2023 | 25.600 | 0,012% | C | |
| AMUNDI ACTIONS EURO ISR | 36.965 | 0,018% | C | |
| AMUNDI ACTIONS EUROPE ISR | 2.819 | 0,001% | C | |
| AMUNDI ACTIONS FRANCE ISR | 56.902 | 0,028% | C | |
| AMUNDI ACTIONS PME | 205.868 | 0,100% | C | |
| AMUNDI ACTIONS RESTRUCTURATION | 52.075 | 0,025% | C | |
| AMUNDI DIVIDENDO ITALIA | 116.000 | 0,056% | C | |
| AMUNDI EURO iSTOXX CLIMATE PARIS ALIGNED PAB | 1.641 | 0,001% | C | |
| AMUNDI FUNDS - EUROPEAN EQUITY DYNAMIC MULTI FACTORS | 10.135 | 0,005% | C | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 2.441 | 0,001% | C | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 22.530 | 0,011% | C | |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 6.076 | 0,003% | C | |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION | 687 | 0,000% | C | |
| SCIENTIFIC BETA | ||||
| AMUNDI INDEX MSCI EUROPE | 74.087 | 0,036% | C | |
| AMUNDI INDEX MSCI WORLD | 12.983 | 0,006% | C | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 489 | 0,000% | C | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 1.881 | 0,001% | C | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 883 | 0,000% | C | |
| AMUNDI MSCI EUROPE | 13.460 | 0,007% | C | |
| AMUNDI MSCI EUROPE CLIMATE PARIS ALIGNED PAB | 196 | 0,000% | C | |
| AMUNDI MSCI EUROPE CLIMATE TRANSIT CTB | 1.318 | 0,001% | C | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 74 | 0,000% | C | |
| AMUNDI MSCI EUROPE EX UK | 139 | 0,000% | C | |
| AMUNDI MSCI WORLD CLIMATE PARIS AL.P.UM | 893 | 0,000% | C | |
| AMUNDI MSCI WORLD CLIMATE PARIS ALIG PAB | 1.869 | 0,001% | C | |
| AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 11.067 | 0,005% | C | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 16 | 0,000% | C | |
| AMUNDI PRIME EUROZONE | 5.068 | 0,002% | C | |
| AMUNDI RESA ACTIONS FRANCE | 88.100 | 0,043% | C | |
| AMUNDI REVENUS - ACTIONS HIGH DIV | 735 | 0,000% | C | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 76.186 | 0,037% | C | |
| AMUNDI SGR SPA / AMUNDI SVILUP PO ITALIA | 337.000 | 0,164% | C | |
| AMUNDI SIF Global Ethical Equities | 231 | 0,000% | C | |
| AMUNDI STOXX EUROPE 600 | 4.477 | 0,002% | C | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 13.141 | 0,006% | C | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 264 | 0,000% | C | |
| AMUNDI TRANSMISSION PATRIMOINE | 2.384 | 0,001% | C | |
| AMUNDI VALORE ITALIA PIR | 48.700 | 0,024% | C | |
| ANDRA AP-FONDEN | 36.924 | 0,018% | C | |
| ANIMA ALTO POTENZIALE ITALIA | 100.000 | 0,049% | C | |
| ANIMA AZIONARIO PAESI SVILUPPATI LTE | 1.468 | 0,001% | C | |
| ANIMA CRESCITA ITALIA | 27.500 | 0,013% | C | |
| ANIMA CRESCITA ITALIA NEW | 1.009 | 0,000% | C | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 8.356 | 0,004% | C | |
| ANIMA INIZIATIVA ITALIA | 62.995 | 0,031% | C | |
| ANIMA ITALIA | 141.727 | 0,069% | C | |
| ANIMA OBIETTIVO ITALIA | 15.000 | 0,007% | C | |
| AON HEWITT COLLECTIVE INVESTMENT TRUST | 6.380 | 0,003% | C | |
| AON SAVINGS PLAN TRUST | 5.802 | 0,003% | C | |
| AP ACTIONS 1 EURO | 8.665 | 0,004% | C | |
| AP ACTIONS 3 MIN VOL | 2.565 | 0,001% | C | |
| APERTURE INTERNATIONAL EQUITY FUND | 26.452 | 0,013% | C | |
| AQR FUNDS - AQR INTERNATIONAL MOMENTUM STYLE FUND | 3.288 | 0,002% | C | |
| AQR INNOVATION FUND, L.P. | 184 | 0,000% | C | |
| AQR STOCK SELECTION II MASTER ACCOUNT L.P. C/O AQR | ||||
| MANAGEMENT LLC | 264 | 0,000% | C | |
| AQR TAX-AWARE DELPHI PLUS LONG SHORT EQUITY FUND LLC | 71 | 0,000% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| ARCA FONDI SGR S.P.A. - FONDO ARCA AZIONI ITALIA | 123.000 | 0,060% | C | |
| ARCHITAS MULTIMANAGER GLOBAL FUNDS UNIT TRUST | 20.529 | 0,010% | C | |
| ARISON HOLDINGS (1998) LTD | 26.173 | 0,013% | C | |
| ARIZONA STATE RETIREMENT SYSTEM | 10.603 | 0,005% | C | |
| ARK LIFE ASSURANCE COMPANY DESIGNATED ACTIVITY COMPANY | 8.155 | 0,004% | C | |
| ARPEGE ACTIONS | 1.500 | 0,001% | C | |
| ARRCO LONG TERME F | 47.791 | 0,023% | C | |
| ARRCO QUANT 1 | 10.271 | 0,005% | C | |
| ARRCO QUANT 2 | 17.676 | 0,009% | C | |
| ARROWST CAP GBL EQ LS NON FLIP | 51.325 | 0,025% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND I | 68.505 | 0,033% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 28.541 | 0,014% | C | |
| ARROWSTREET GLOBAL EQUITY FUND | 59.945 | 0,029% | C | |
| ARROWSTREET US GROUP TRUST | 9.825 | 0,005% | C | |
| ARTEMIS EUROPEAN OPPORTUNITIES FUND | 46.019 | 0,022% | C | |
| ARTISAN INTERNATIONAL SMALL-MID FUND | 436.900 | 0,212% | C | |
| ARTISAN INTERNATIONAL SMALL-MID TRUST | 8.557 | 0,004% | C | |
| ARUSHA BOURKE SEPARATE PROPERTY TRUST UAD 11/16/09 | 97 | 0,000% | C | |
| AS INTL EQUI - AEF II NON FLIP | 11.806 | 0,006% | C | |
| ASCENSION ALPHA FUND LLC | 624 | 0,000% | C | |
| ASR LEVENSVERZEKERING N.V. | 48.293 | 0,023% | C | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 5.361 | 0,003% | C | |
| ASSOCIATED BRITISH FOODS PENSION SCHEME | 208.770 | 0,101% | C | |
| ASSURDIX | 21.462 | 0,010% | C | |
| AT AND T SAVINGS GROUP INVESTMENT TRUST | 12.633 | 0,006% | C | |
| ATCP-UI-FONDS | 1.905 | 0,001% | C | |
| ATOUT EUROLAND CORE + | 11.106 | 0,005% | C | |
| ATRIUM HEALTH FOUNDATION | 485 | 0,000% | C | |
| AUDIENS A3 | 2.250 | 0,001% | C | |
| AUSTRALIAN CAPITAL TERRITORY | 6.435 | 0,003% | C | |
| AUSTRALIAN CATHOLIC SUPERANNUATION AND RETIREMENT FUND | 1.070 | 0,001% | C | |
| AUSTRALIAN RETIREMENT TRUST | 117.517 | 0,057% | C | |
| AUSTRALIANSUPER | 89.403 | 0,043% | C | |
| Aviva Investors Funds ACS - AI Europe Equity Ex UK Fund | 693.293 | 0,337% | C | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | ||||
| INTERNATIONAL INDEX TRACKING FUND | 3.020 | 0,001% | C | |
| Aviva Investors Passive Funds ACS - AI 30:70 Global Equity (Currency | 4.609 | 0,002% | C | |
| Hedged) Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI 50:50 Global Equity Index | 30.843 | 0,015% | C | |
| Fund Aviva Investors Passive Funds ACS - AI 60:40 Global Equity Index |
||||
| Fund | 8.078 | 0,004% | C | |
| Aviva Investors Passive Funds ACS - AI Continental European Equity | ||||
| Index Fund | 44.931 | 0,022% | C | |
| Aviva Investors Passive Funds ACS - AI Developed European ex UK | 58.891 | 0,029% | C | |
| Equity Index Fund | ||||
| Aviva Investors Passive Funds ACS - AI Developed World ex UK Equity Index Fund |
10.931 | 0,005% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | ||||
| ASSET CORE FUND I | 55 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 323 | 0,000% | C | |
| ASSET CORE FUND II | ||||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI ASSET CORE FUND III |
617 | 0,000% | C | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI | 461 | 0,000% | C | |
| ASSET CORE FUND IV AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI |
||||
| ASSET CORE FUND V | 167 | 0,000% | C | |
| AVIVA LIFE & PENSIONS IRELAND DAC | 6.814 | 0,003% | C | |
| AVIVA LIFE & PENSIONS UK LIMITED | 193.089 | 0,094% | C | |
| AWARE SUPER | 37.693 | 0,018% | C | |
| AZ FUND 1 AZ ALLOCATION EUROPEAN DYNAMIC | 7.800 | 0,004% | C | |
| AZ FUND 1 AZ ALLOCATION GLOBAL | 1.250 | 0,001% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| AZ FUND 1 AZ ALLOCATION GLOBAL INCOME | 100.000 | 0,049% | C | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 87.500 | 0,043% | C | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 2.000 | 0,001% | C | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 38.500 | 0,019% | C | |
| AZ FUND 1 AZ ALTERNATIVE CORE BRANDS | 90.000 | 0,044% | C | |
| AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE | 5.000 | 0,002% | C | |
| AZ FUND 1 AZ EQUITY BORLETTI GLOBAL LIFESTYLE | 150.000 | 0,073% | C | |
| AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 7.625 | 0,004% | C | |
| AZIMUT STRATEGIC TREND | 220 | 0,000% | C | |
| AZIMUT TRADING | 220 | 0,000% | C | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 1.945 | 0,001% | C | |
| BANCO BILBAO VIZCAYA ARGENTARIA SA | 10.666 | 0,005% | C | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 12.768 | 0,006% | C | |
| BANCO NACIONAL DE PANAMA ACTING AS TRUSTEE OF THE | ||||
| FIDEICOMISO DE FOND O DE AHORRO DE PANAMA | 1.448 | 0,001% | C | |
| BANCOPOSTA EQUITY DEVELOPED COUNTRIES | 1.604 | 0,001% | C | |
| BANCOPOSTA GLOBAL EQUITY HEDGED LTE | 321 | 0,000% | C | |
| BANCOPOSTA GLOBAL EQUITY LTE | 473 | 0,000% | C | |
| BANCOPOSTA RINASCIMENTO | 14.536 | 0,007% | C | |
| BANK OF KOREA | 111.858 | 0,054% | C | |
| BANSABADELL 18 FP | 365 | 0,000% | C | |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY | ||||
| FUND | 1.883 | 0,001% | C | |
| BEL EQUITY EUROPE ESG | 22.163 | 0,011% | C | |
| BELFIUS EQUITIES NV | 8.701 | 0,004% | C | |
| BELFIUS PENSION FUND BALANCED PLUS | 25.281 | 0,012% | C | |
| BELFIUS PENSION FUND HIGH | 79.211 | 0,038% | C | |
| BELFIUS PENSION FUND LOW EQUITIES | 10.754 | 0,005% | C | |
| BELL ATLANTIC MASTER TRUST | 691 | 0,000% | C | |
| BELL GLOBAL TRUST | 25.474 | 0,012% | C | |
| BELLEVUE FUNDS (LUX) - BB ENTREPRENEUR EUROPE SMALL | 10.552 | 0,005% | C | |
| BERENBERG ABSOLUTE RETURN EUROPEAN | 12.554 | 0,006% | C | |
| BERENBERG AKTIEN | 21.674 | 0,011% | C | |
| BERENBERG EUROPEAN FOCUS FUND | 665.492 | 0,323% | C | |
| BERENBERG EUROZONE FOCUS FUND | 94.350 | 0,046% | C | |
| BESSEMER TRUST CO CLEARING ACCT | 1.955 | 0,001% | C | |
| BEST BUSINESS MODELS SRI | 460.000 | 0,224% | C | |
| Best Investment Corporation | 2.311 | 0,001% | C | |
| BETURN | 10.374 | 0,005% | C | |
| BEWAARSTICHTING NNIP I | 2.983 | 0,001% | C | |
| BFT EURO FUTUR ISR | 7.250 | 0,004% | C | |
| BFT PARTNERS VIA EQUITY EUROPE SRI | 24.227 | 0,012% | C | |
| BI Aktienfonds | 3.196 | 0,002% | C | |
| BLACKROCK SOLUTIONS FUNDS ICAV | 15.018 | 0,007% | C | |
| BLOOMBERG FINANCE L.P. | 148.344 | 0,072% | C | |
| BMO DIVERSIFIED INCOME PORTFOLIO | 2.983 | 0,001% | C | |
| BMO GLOBAL CONSUMER DISCRETIONARY HEDGED TO CAD INDEX | 1.444 | 0,001% | C | |
| ETF BMO LOW VOLATILITY INTERNATIONALEQUITY ETF |
56.611 | 0,028% | C | |
| BMO MSCI ALL COUNTRY WORLD HIGHQUALITY INDEX ETF | 2.897 | 0,001% | C | |
| BMO MSCI EAFE INDEX ETF | 53.271 | 0,026% | C | |
| BMO MSCI EUROPE HIGH QUALITY HEDGED TO CAD INDEX ETF | 31.557 | 0,015% | C | |
| BMO MSCI EUROPE QUALITY HEDGED TO USD ETF | 1.540 | 0,001% | C | |
| BNP PARIBAS ACTIONS ENTREPRENEURS | 63.493 | 0,031% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 99.417 | 0,048% | C |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 17.953 | 0,009% | C |
|---|---|---|---|
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 5.986 | 0,003% | C |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 12.505 | 0,006% | C |
| BNP PARIBAS EASY - MSCI EUROPE SMALL CAPS SRI S-SERIES 5 CAPPED | 100.000 | 0,049% | C |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 3.665 | 0,002% | C |
| BNP PARIBAS FUNDS - EURO DEFENSIVE EQUITY | 9.639 | 0,005% | C |
| BNP PARIBAS FUNDS - EURO MID CAP | 16.003 | 0,008% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| BNP PARIBAS FUNDS - SUSTAINABLE EURO LOW VOL EQUITY | 30.494 | 0,015% | C | |
| BNP PARIBAS MIDCAP EURO | 23.682 | 0,012% | C | |
| BNY MELLON INTERNATIONAL EQUITY ETF BNY MELLON INTERNATIONAL STOCK INDEX FUND |
1.456 6.047 |
0,001% 0,003% |
C C |
|
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.311 | 0,007% | C | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 8.913 | 0,004% | C | |
| BOC PENSION INVESTMENT FUND | 45.308 | 0,022% | C | |
| BON SECOURS MERCY HEALTH | 10.394 | 0,005% | C | |
| BP PENSION FUND | 3.370 | 0,002% | C | |
| BRIGHTHOUSE FUNDS TRUST I - PANAGORA GLOBAL DIVERSIFIED | ||||
| RISKPORTFOLIO II | 8.687 | 0,004% | C | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO |
982 | 0,000% | C | |
| BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET PORTFOLIO |
4.233 | 0,002% | C | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 13.551 | 0,007% | C | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 5.382 | 0,003% | C | |
| BROWN BROTHERS HARRIMAN(LUXEMBOURG) SCA CUSTODIAN FOR | 231.446 | 0,112% | C | |
| FIDELITY FUNDS - ITALY BS PENTAPENSION EMPRESA |
283 | 0,000% | C | |
| BT PENSION SCHEME. | 123.868 | 0,060% | C | |
| BUMA-UNIVERSAL-FONDS I | 4.617 | 0,002% | C | |
| CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 167.999 | 0,082% | C | |
| CAISSE DES DEPOTS ET CONSIGNATIONS | 81.321 | 0,040% | C | |
| CALCIUM QUANT | 7.645 | 0,004% | C | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 205.374 | 0,100% | C | |
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 800 | 0,000% | C | |
| CALVERT INTERNATIONAL OPPORTUNITIES FUND | 89.881 | 0,044% | C | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 10.120 | 0,005% | C | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 1.629 | 0,001% | C | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 51.459 | 0,025% | C | |
| CANADIAN BROADCASTING CORPORATION | 9.177 | 0,004% | C | |
| CANDRIAM SUSTAINABLE - EQUITY EUROPE | 98.358 | 0,048% | C | |
| CANDRIAM SUSTAINABLE EQUITY EMU | 41.259 | 0,020% | C | |
| CARDIF BNPP IP SMID CAP EURO | 106.666 | 0,052% | C | |
| CARDIF BNPP IP SMID CAP EUROPE | 40.970 | 0,020% | C | |
| CARPIMKO ACTIONS LO | 110.786 | 0,054% | C | |
| CATHAY LIFE INSURANCE CO LTD | 373.015 | 0,181% | C | |
| CAVOM DIVERSIFIE - POCHE ACT | 3.834 | 0,002% | C | |
| CBIS GLOBAL FUNDS PUBLIC LTD CO | 9.236 | 0,004% | C | |
| CC AND L Q 130/30 FUND II | 319 | 0,000% | C | |
| CC AND L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 2.628 | 0,001% | C | |
| CC AND L Q MARKET NEUTRAL FUND | 926 | 0,000% | C | |
| CC AND L Q MARKET NEUTRAL FUND II | 484 | 0,000% | C | |
| CC&L GLOBAL EQUITY FUND | 12 | 0,000% | C | |
| CC&L MULTI-STRATEGY FUND | 308 | 0,000% | C | |
| CC&L Q 130/30 FUND II | 12 | 0,000% | C | |
| CC&L Q EQUITY EXTENSION FUND | 38 | 0,000% | C | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 46 | 0,000% | C | |
| Central Bank of Ireland | 1.525 | 0,001% | C | |
| CERVURITE INTERNATIONAL LLC | 10.806 | 0,005% | C | |
| CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED | 3.274 | 0,002% | C | |
| CHEVRON MASTER PENSION TRUST | 77.866 | 0,038% | C | |
| CHRISTIAN SUPER | 561 | 0,000% | C | |
| CHRISTOPHER J MILLERCHIP | 32 | 0,000% | C | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 942 | 0,000% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH INDEX ETF | 5.716 | 0,003% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH VARIABLY HEDG INDEX ETF |
1.075 | 0,001% | C | |
| CIBC EUROPEAN INDEX FUND | 1.101 | 0,001% | C | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 160 | 0,000% | C |


| BANKING CO., LTD. AS TRUSTEE FOR INTERNATI | 23.707 | 0,012% | C |
|---|---|---|---|
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR THE SUMITOMO TRUST & BANKING CO., LTD. AS TRUSTEE FOR SCH |
63.515 | 0,031% | C |
| CUSTODY BANK OF JAPAN, LTD. RE: STB EUROPE EQUITY MOTHER FUND II |
632 | 0,000% | C |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) |
2.435 | 0,001% | C |
| CX QUANTITATIVE CLIMATE LTD C/O MAPLES CORPORATE SERVICES (BVI) LIMITED |
9.878 | 0,005% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION CUSTOM FUND L |
81 | 0,000% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 6 | 0,000% | C | |
| DANICA PENSION, LIVSFORSIKRINGSAKTIESELSKAB | 25 | 0,000% | C | |
| DANSKE INVEST INDEX GLOBAL AC RESTRICTED - ACCUMULATING KL | 11.553 | 0,006% | C | |
| DANSKE INVEST SICAV - GLOBAL INDEX | 10.260 | 0,005% | C | |
| DANSKE INVEST SICAV - GLOBAL PORTFOLIO SOLUTION - BALANCED | 596 | 0,000% | C | |
| DAVY FUNDS PLC. | 8.478 | 0,004% | C | |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 35 | 0,000% | C | |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 16 | 0,000% | C | |
| DEAM FONDS ZDV | 3.329 | 0,002% | C | |
| DEAM-FONDS CPT | 1.596 | 0,001% | C | |
| DEKA-MASTER HAEK I | 12.525 | 0,006% | C | |
| DELEN PRIVATE BANK NV | 93.164 | 0,045% | C | |
| DELTASHARES S+P INTERNATIONAL MANAGED RISK ETF | 51 | 0,000% | C | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 975 | 0,000% | C | |
| DEUTSCHE DCG EQ | 1.309 | 0,001% | C | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 420 | 0,000% | C | |
| DIA HOLDING B.V. (PARAMETRIC) | 927 | 0,000% | C | |
| DIGNITY PRE ARRANGEMENT LIMITED | 1.178 | 0,001% | C | |
| DIMENSIONAL INTERNATIONAL HIGH PROFITABILITY ETF OF DIMENSI | 896 | 0,000% | C | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 190 | 0,000% | C | |
| DOMINI IMPACT INTERNATIONAL EQUITY FUND | 55.118 | 0,027% | C | |
| DT EQUITY | 7.407 | 0,004% | C | |
| DUPONT PENSION TRUST | 23.663 | 0,011% | C | |
| DUPONT PENSION TRUST | 42.808 | 0,021% | C | |
| DWS ESG INTERNATIONAL CORE EQUITY FUND (FKA DWS EUROPEAN EQUITY FUND) |
2.079 | 0,001% | C | |
| DWS GLOBAL SMALL CAP FUND | 26.722 | 0,013% | C | |
| DWS GLOBAL SMALL CAP VIP | 10.050 | 0,005% | C | |
| DWS INVEST | 900 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR BALOISE-AKTIENFONDS DWS | 11.000 | 0,005% | C | |
| DWS INVESTMENT GMBH FOR DEAM FONDS SLM 1 | 11.600 | 0,006% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 2.502 | 0,001% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 600 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 5.018 | 0,002% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PPC GEQ | 244 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DWS QI EUROZONE EQUITY | 7.546 | 0,004% | C | |
| DWS INVESTMENT GMBH FOR DWS QI LOWVOL EUROPE | 274 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 1.750 | 0,001% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 30.476 | 0,015% | C | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 4.190 | 0,002% | C | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 38.904 | 0,019% | C | |
| DWS INVESTMENT SA FOR ZURICH GLOBAL EQUITY | 2.646 | 0,001% | C | |
| DWS MULTI ASSET PIR FUND | 40.000 | 0,019% | C | |
| EAST RIDING PENSION FUND | 117.283 | 0,057% | C | |
| EASTSPRING INVESTMENTS | 302 | 0,000% | C | |
| EATON VANCE GLOBAL SMALLCAP EQUITY FUND | 2.113 | 0,001% | C | |
| EATON VANCE INTERNATIONAL SMALLCAP FUND | 9.446 | 0,005% | C | |
| EATON VANCE MANAGEMENT | 86 | 0,000% | C | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 688 | 0,000% | C | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT TRUST EATON VANCE TRUST COMPANY INTERNATIONAL SMALL CAP |
5.277 | 0,003% | C | |
| COMMON TR | 3.515 | 0,002% | C | |
| EBK-AKTIEN-UNIVERSAL-FONDS | 18.173 | 0,009% | C | |
| ECOFI ACTIONS RENDEMENT EURO | 6.500 | 0,003% | C | |
| E-L FINANCIAL CORPORATION LIMITED | 3.220 | 0,002% | C | |
| ELEVA UCITS FUND - ELEVA LEADERS SMALL & MIDCAP EUROPE FUND | 76.525 | 0,037% | C |
<-- PDF CHUNK SEPARATOR -->

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| EMBO-FONDS | 5.813 | 0,003% | C | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 756 | 0,000% | C | |
| EMLES LUXURY GOODS ETF | 1.280 | 0,001% | C | |
| EMPLOYEES RETIREMENT SYSTEM OF TEXAS | 22.000 | 0,011% | C | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.120 | 0,012% | C | |
| ENSIGN PEAK ADVISORS INC. | 84.611 | 0,041% | C | |
| EPARGNE ETHIQUE FLEXIBLE | 1.549 | 0,001% | C | |
| EPS | 2.669 | 0,001% | C | |
| EQUIPSUPER | 12.283 | 0,006% | C | |
| ETOILE ACTIONS INTERNATIONALES | 8.189 | 0,004% | C | |
| ETOILE CONSOMMATION EUROPE | 38.579 | 0,019% | C | |
| ETOILE ROTATION SECTORIELLE | 1.232 | 0,001% | C | |
| Europe Restricted - Accumulating KL | 23.427 | 0,011% | C | |
| EUROPEAN CENTRAL BANK | 12.602 | 0,006% | C | |
| EXELON CORPORATION DEFINED CONTRIBUTION RETIREMENT PLANS | ||||
| MASTER TRUST | 45.984 | 0,022% | C | |
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 139.220 | 0,068% | C | |
| EXPERT DIVERSIFIE -A- | 5.879 | 0,003% | C | |
| Exxonmobil Savings and Retirement Fund | 636 | 0,000% | C | |
| FALCON EDGE GLOBAL MASTER FUND LP CO FALCON EDGE CAPITAL | 154.615 | 0,075% | C | |
| LP | ||||
| FAM SER CH LSTYLE FAM FD | 48.261 | 0,023% | C | |
| FCA CANADA INC. ELECTED MASTER TRUST | 19.302 | 0,009% | C | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 7.947 | 0,004% | C | |
| FCA US LLC MASTER RETIREMENT TRUST | 80.157 | 0,039% | C | |
| FCP BOURBON 7 | 20.180 | 0,010% | C | |
| FCP CNP ACTIONS EMU UBS | 45.736 | 0,022% | C | |
| FCP IRCOM RETRAITE DIVERSIFIE 2 | 10.098 | 0,005% | C | |
| FCP SODIUM I | 17.051 | 0,008% | C | |
| FDC A2 TITRES | 5.962 | 0,003% | C | |
| FDC PREMIUM TITRES VIFS ACTION | 4.774 | 0,002% | C | |
| FDF2 ALL IN ONE | 800 | 0,000% | C | |
| FDF2 GLOBAL JEAMBRUN | 2.500 | 0,001% | C | |
| FIDELITY FUNDS - FIDELITY GLOBAL FUTURE LEADERS POOL | 108.074 | 0,053% | C | |
| FIDELITY FUNDS - GLOBAL DEMOGRAPHICS POOL FIDELITY GLOBAL DEMOGRAPHICS FUND |
67.470 1.417 |
0,033% 0,001% |
C C |
|
| FIDELITY GLOBAL DEMOGRAPHICS FUND | 1.417 | 0,001% | C | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | C | |
| FIDELITY GLOBAL FUTURE LEADERS FUND | 7.826 | 0,004% | C | |
| FIDELITY RUTLAND SQUARE TRUST II STRATEGIC ADVISERS INT FUND | 49.197 | 0,024% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - FIDEURAM ITALIA | 5.000 | 0,002% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO AZIONI ITALIA | 100.000 | 0,049% | C | |
| FIDEURAM ASSET MANAGEMENT SGR - PIANO BILANCIATO ITALIA 50 | 18.000 | 0,009% | C | |
| FIDUCIE GLOBALEDE LA SOCIETE DETRANSPORT DE MONTREAL | 23.663 | 0,011% | C | |
| FIRE AND POLICE EMPLOYEES' RETIREMENT SYSTEM OF THE CITY OF | ||||
| BALTIMORE | 12.966 | 0,006% | C | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 2.669 | 0,001% | C | |
| FIREMEN'S ANNUITY AND BENEFIT FUND OF CHICAGO | 2.612 | 0,001% | C | |
| FIRST CHURCH OF CHRIST SCIENTIST | 542 | 0,000% | C | |
| FIRST INITIATIVES INSURANCE LTD | 2.392 | 0,001% | C | |
| FIRSTRBANK AS TRUSTEE NINETY ONE WORLDWIDE FLEXIBLE FND | 2.643 | 0,001% | C | |
| FJARDE AP-FONDEN. | 27.645 | 0,013% | C | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 1.300 | 0,001% | C | |
| FLORIDA GLOBAL EQUITY FUND, LLC | 1.508 | 0,001% | C | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 608.895 | 0,296% | C | |
| FLOURISH INVESTMENT CORPORATION | 353.509 | 0,172% | C | |
| FONDITALIA | 201.000 | 0,098% | C | |
| FONDS DE RESERVE POUR LES RETRAITES | 58.999 | 0,029% | C | |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 2.857 | 0,001% | C | |
| FONDS OBJECTIF CLIMAT ACTIONS | 12.210 | 0,006% | C | |
| FONSOLBANK FP | 201 | 0,000% | C | |
| FOORD GLOBAL EQUITY FUND (LUXEMBOURG) | 167.418 | 0,081% | C |

| GOVERNMENT PENSION INVESTMENT FUND | 59.682 | 0,029% | C |
|---|---|---|---|
| GR-AVENIR | 1.000 | 0,000% | C |
| GRAYHAWK GLOBAL GROWTH POOL | 15.958 | 0,008% | C |
| GRD 12 ACTIONS | 35.360 | 0,017% | C |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 1.794 | 0,001% | C |
| GREAT WEST INTERNATIONAL INDEX FUND | 18.047 | 0,009% | C |
| GREGORY J BOURKE SEPARATE PROPERTY TR UAD 11/16/09 | 100 | 0,000% | C |
| GROUPE CEA CROISSANCE_FCPE | 3.389 | 0,002% | C |
| GUIDEMARK WORLD EX-US FUND | 3.033 | 0,001% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 19.299 | 0,009% | C | |
| HAGER INVESTMENT FUND | 1.200 | 0,001% | C | |
| HALEVY A1 | 35.923 | 0,017% | C | |
| HALEVY A2 | 36.004 | 0,017% | C | |
| Hang Seng Insurance Company Limited | 1.447 | 0,001% | C | |
| HARTFORD ACCIDENT AND INDEMNITY COMPANY HARTFORD INTERNATIONAL EQUITY FUND |
587 65.916 |
0,000% 0,032% |
C C |
|
| HBOS INTERNATIONAL INVESTMENT FUNDS ICVC EUROPEAN FUND | 4.903 | 0,002% | C | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 450 | 0,000% | C | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 131 | 0,000% | C | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
11.101 | 0,005% | C | |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 7.356 | 0,004% | C | |
| HC RENTE | 1.558 | 0,001% | C | |
| Helium Alpha | 3.829 | 0,002% | C | |
| Henderson Eurotrust plc | 137.894 | 0,067% | C | |
| HENDERSON HORIZON PAN EUROPEAN EQUITY FUND | 172.386 | 0,084% | C | |
| HERITAGE AND STABILISATION FUND | 18.977 | 0,009% | C | |
| HESTA | 506.496 | 0,246% | C | |
| HI-172915-Fonds | 1.508 | 0,001% | C | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT | ||||
| EXCHANGE | 2.177 | 0,001% | C | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENTEXCHANGE FUND |
4.426 | 0,002% | C | |
| HOSTPLUS POOLED SUPERANNUATION TRUST | 17.065 | 0,008% | C | |
| HSBC ETFS PLC | 3.185 | 0,002% | C | |
| HSBC ETF'S PLC | 348 | 0,000% | C | |
| HSBC ETFS PLC - HSBC MSCI EUROPE CLIMATE PARIS ALIGNED UCITS | 507 | 0,000% | C | |
| ETF HSBC ETFS PUBLIC LIMITED COMPANY |
478 | 0,000% | C | |
| HSBC EUROPEAN INDEX FUND | 100.074 | 0,049% | C | |
| HSBC Global Funds ICAV | 37.129 | 0,018% | C | |
| HSBC INDEX TRACKER INVESTMENT FUNDS ICVC | 12.285 | 0,006% | C | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 3.479 | 0,002% | C | |
| HSBC Life (International) Limited | 12.817 | 0,006% | C | |
| HSBC Managed Balanced Fund | 637 | 0,000% | C | |
| HSBC Managed Growth Fund | 1.023 | 0,000% | C | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY | ||||
| INDEX TRACKING FUND | 3.231 | 0,002% | C | |
| HSBC Pooled Investment Fund - HSBC Pooled Global Equity Fund | 17.572 | 0,009% | C | |
| HSBC POOLED INVESTMENT FUND -HSBC POOLED EUROPEAN EQUITY | 10.759 | 0,005% | C | |
| FUND HUSSMAN STRATEGIC INTERNATIONAL FUND |
1.000 | 0,000% | C | |
| HYMNOS | 13.980 | 0,007% | C | |
| IA CLARINGTON GLOBAL VALUE FUND | 2.162 | 0,001% | C | |
| IBM DIVERSIFIED GLOBAL EQUITY FUND | 3.443 | 0,002% | C | |
| IBM PERSONAL PENSION PLAN TRUST | 11.214 | 0,005% | C | |
| ICARE | 3.918 | 0,002% | C | |
| ICBCCS GLOBAL SELECTIVE EQUITY FUND | 11.445 | 0,006% | C | |
| IF IST - GLOBE INDEX | 7.442 | 0,004% | C | |
| IFM GLOBAL INDEXED EQUITIES FUND | 468 | 0,000% | C | |
| IG MACKENZIE EUROPEAN MID-CAP EQUITY FUND | 225.983 | 0,110% | C | |
| ILA - RAFIMF | 2.531 | 0,001% | C | |
| ILA-LA WORLD ESG SCREENED FUND | 3.306 | 0,002% | C | |
| ILLINOIS MUNICIPAL RETIREMENT FUND | 43.301 | 0,021% | C | |
| IMCO GLOBAL PUBLIC EQUITY LP | 626 | 0,000% | C | |
| IMCO GLOBAL PUBLIC EQUITY LP ACCT 17 | 16.815 | 0,008% | C | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 7.521 | 0,004% | C | |
| IN EQ ACWI EX US AETF NON FLIP | 20.864 | 0,010% | C | |
| INDEP'AM | 139.100 | 0,068% | C | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 9.544 | 0,005% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| INDUSTRIAL ALLIANCE INSURANCE AND FINANCIAL SERVICES INC | 16.583 | 0,008% | C | |
| INKA PBEAKK | 2.090 | 0,001% | C | |
| INSTITUTIONAL RETIREMENT TRUST | 9.092 | 0,004% | C | |
| INSTITUTIONELLA AKTIEFONDEN VARLDEN | 31.285 | 0,015% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES |
25.561 | 0,012% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 403.672 | 0,196% | C | |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 10.000 | 0,005% | C | |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN |
18.885 | 0,009% | C | |
| INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 44.059 | 0,021% | C | |
| INTERFUND SICAV | 15.000 | 0,007% | C | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 1.356 | 0,001% | C | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 610 | 0,000% | C | |
| INTERNATIONAL EQUITY FUND | 1.485 | 0,001% | C | |
| INTERNATIONAL EQUITY TRUST | 439.545 | 0,214% | C | |
| INTERNATIONAL EQUITY TRUST II INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS |
131.257 | 0,064% | C | |
| INVESTMENT ACCOUNT | 107 | 0,000% | C | |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 402 | 0,000% | C | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L |
3.936 | 0,002% | C | |
| INTERNATIONAL SMALL CO FUND | 37.342 | 0,018% | C | |
| Internationale Kapitalanlagegesellschaft mbH | 261.281 | 0,127% | C | |
| Internationale Kapitalanlagegesellschaft mbH (INKA) | 5.634 | 0,003% | C | |
| INV. DANSKE INVEST EUROPA INDEKS BNP | 2.266 | 0,001% | C | |
| INV. DANSKE INVEST EUROPA INDEKS KL | 4.153 | 0,002% | C | |
| INV. DANSKE INVEST GLOBAL INDEKS KL INV. DANSKE INVEST, GLOBAL INDEKS - AKKUMULERENDE KL |
6.857 1.036 |
0,003% 0,001% |
C C |
|
| INVESCO DEVELOPING MARKETS FUND | 387.502 | 0,188% | C | |
| INVESCO EMERGING MARKETS EQUITYTRUST | 18.725 | 0,009% | C | |
| INVESCO EMERGING MARKETS INNOVATORS EQUITY FUND | 9.110 | 0,004% | C | |
| INVESCO FTSE INTERNATIONAL LOW BETA EQUAL WEIGHT ETF | 132 | 0,000% | C | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 3.554 | 0,002% | C | |
| INVESCO FUNDS | 1.680 | 0,001% | C | |
| INVESCO INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR ETF | 895 | 0,000% | C | |
| INVESCO MARKETS II PLC | 5.542 | 0,003% | C | |
| INVESCO MARKETS III PLC | 41 | 0,000% | C | |
| INVESCO OPPENHEIMER GLOBAL ALLOCATION FUND | 944 | 0,000% | C | |
| INVESCO PUREBETA FTSE DEVELOPED EX NORTH AMERICA ETF | 1.185 | 0,001% | C | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF INVESTERINGSFORENINGEN BANKINVEST , GLOBALE AKTIERINDEKS KL |
121 4.931 |
0,000% 0,002% |
C C |
|
| INVESTERINGSFORENINGEN BANKINVEST ENGROS GLOBALE AKTIER | 1.741 | 0,001% | C | |
| AKK KL INVESTERINGSFORENINGEN LAEGERNES INVEST LI AKTIER GLOBALE |
1.947 | 0,001% | C | |
| INVESTERINGSFORENINGEN NORDEA INVEST ENGROS | 3.898 | 0,002% | C | |
| INTERNATIONALE AKTIER - ETISK TILVALG INVESTERINGSFORENINGEN NORDEA INVEST EUROPE ENHANCED KL |
4.973 | 0,002% | C | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS | ||||
| KL INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES |
1.225 6.696 |
0,001% 0,003% |
C C |
|
| SUSTAINABILITY WORLD KL INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL |
4.232 | 0,002% | C | |
| IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 10.546 | 0,005% | C | |
| IP ACTIONS EURO IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIONAL SHARE |
3.877 | 0,002% | C | |
| STRATEGY NO.1 | 469 | 0,000% | C |

| LBPAM ISR ACTIONS EURO LARGE CAP | 9.660 | 0,005% | C |
|---|---|---|---|
| LBPAM ISR ACTIONS EUROPE MONDE | 6.465 | 0,003% | C |
| LBPAM ISR ACTIONS MONDE | 21.030 | 0,010% | C |
| LBPAM ISR AVENIR EURO | 782 | 0,000% | C |
| LBPAM ISR STRATEGIE PEA 1 | 1.405 | 0,001% | C |
| LBPAM ISR STRATEGIE PEA 2 | 2.024 | 0,001% | C |
| LCL ACTIONS EURO CORE+ | 7.185 | 0,003% | C |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 4.476 | 0,002% | C |
| LCL ACTIONS MONDE HORS EUROPE EURO | 16.975 | 0,008% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 9.499 | 0,005% | C | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 1.413 | 0,001% | C | |
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE EUROPEAN EQUITY | 71.955 | 0,035% | C | |
| FOC | ||||
| LEGAL & GENERAL FUTURE WORLD SUSTAINABLE OPPORTUNITIES FUND | 19.163 | 0,009% | C | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 82 | 0,000% | C | |
| LEGAL & GENERAL REAL CAPITAL BUILDER FUND | 29.340 | 0,014% | C | |
| LEGAL & GENERAL SICAV. | 50.463 | 0,025% | C | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) | 197.353 | 0,096% | C | |
| LIMITED | ||||
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 603.029 | 0,293% | C | |
| LEGAL AND GENERAL ASSURANCE SOCIETY LIMITED | 201 | 0,000% | C | |
| LEGAL AND GENERAL CCF | 6.139 | 0,003% | C | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 36.749 | 0,018% | C | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 116.262 | 0,057% | C | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 820 | 0,000% | C | |
| LEGAL AND GENERAL ICAV. | 3.963 | 0,002% | C | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 18.238 | 0,009% | C | |
| LEGAL AND GENERAL MSCI EAFE FUND LLC | 17.293 | 0,008% | C | |
| LEGAL AND GENERAL MSCI EAFE SL FUND LLC | 14.950 | 0,007% | C | |
| LEGAL AND GENERAL UCITS ETF PLC | 6.001 | 0,003% | C | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE | ||||
| EUROPEA | 196.807 | 0,096% | C | |
| LEGG MASON FUNDS ICVC LEGG MASON IF MARTIN CURRIE GLOBAL | 40.520 | 0,020% | C | |
| EQUITY INCOME FUND | ||||
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE EUROPEAN UNCONSTRAINED FUND |
284.585 | 0,138% | C | |
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON MARTIN CURRIE | ||||
| GLOBAL RAINED FUND | 110.445 | 0,054% | C | |
| LF WALES PENSION PARTNERSHIP (WALES PP) ASSET POOLING ACS | 267.025 | 0,130% | C | |
| UMBRELLA | ||||
| LGIASUPER | 10.474 | 0,005% | C | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 33.050 | 0,016% | C | |
| LGT SELECT FUNDS | 375 | 0,000% | C | |
| LIF-LYXOR MSCI EMU ESG (DR) | 7.480 | 0,004% | C | |
| LIF-LYXOR MSCI WORLD CATHOL PR | 1.182 | 0,001% | C | |
| LIONTRUST INVESTMENT FUNDS I | 70.000 | 0,034% | C | |
| LKCM FUNDS - LKCM INTERNATIONAL EQUITY FUND | 14.500 | 0,007% | C | |
| LKCM INTERNATIONAL EQUITY L.P. | 1.641 | 0,001% | C | |
| LO Funds - All Roads LO Funds - All Roads Conservative |
9.683 655 |
0,005% 0,000% |
C C |
|
| LO Funds - All Roads Growth | 3.757 | 0,002% | C | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 60.000 | 0,029% | C | |
| LOCKHEED MARTIN CORPORATION DEFINED CONTRIBUTION PLANS | ||||
| MASTER TR | 42.392 | 0,021% | C | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 90.855 | 0,044% | C | |
| LOF TargetNetZero Europe Equity | 1.005 | 0,000% | C | |
| LOF WORLD BRANDS | 173.000 | 0,084% | C | |
| LOIS (CH) GLOBAL EQUITIES TRACKER+ ESG | 303 | 0,000% | C | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 7.148 | 0,003% | C | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 19.238 | 0,009% | C | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 39.933 | 0,019% | C | |
| LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 6.985 | 0,003% | C | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 4.986 | 0,002% | C | |
| LVUI EQUITY EUROPE | 15.960 | 0,008% | C | |
| LVUI EQUITY WORLD EX EUROPE | 1.500 | 0,001% | C | |
| LYONDELL CHEMICAL COMPANY BENEFITS FINANCE COMMITTEE | 30.296 | 0,015% | C | |
| LYX IND FD-LYXOR CORE STOXX EU | 96.735 | 0,047% | C | |
| LYX INV FDS - GARI EUROPEAN EQ | 35.026 | 0,017% | C | |
| LYXINDX FUND - LYXOR MSCI EMU | 5.605 | 0,003% | C | |
| LYXOR CORE MSCI WORLD (DR) UCI | 6.748 | 0,003% | C | |
| LYXOR FTSE MIB UCITS ETF | 281.217 | 0,137% | C |


| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 120.000 | 0,058% | C |
|---|---|---|---|
| MELCHIOR EURO OPP | 176.178 | 0,086% | C |
| MERCER DIVERSIFIED ALTERNATIVES FUND | 10.830 | 0,005% | C |
| MERCER GLOBAL EQUITY FUND | 4.854 | 0,002% | C |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.230 | 0,001% | C |
| MERCER QIF CCF | 57.661 | 0,028% | C |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 4.620 | 0,002% | C |
| MERCY HEALTH RETIREMENT TRUST | 1.305 | 0,001% | C |

| NATIONAL TREASURY MANAGEMENT AGCY | 1.457 | 0,001% | C |
|---|---|---|---|
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 312.903 | 0,152% | C |
| NATWEST ST JAMES'S PLACE GREATER EUROPEAN PROGRESSIVE UNIT TRUST |
271.608 | 0,132% | C |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
154.869 | 0,075% | C |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
6.350 | 0,003% | C |
| NAVIGERA AKTIE 2 | 273.738 | 0,133% | C |


| PANAGORA GROUP TRUST | 1.758 | 0,001% | C |
|---|---|---|---|
| PARAMETRIC INTERNATIONAL EQUITYFUND | 7.800 | 0,004% | C |
| PAX ELLEVATE GLOBAL WOMEN'S LEADERSHIP FUND | 7.161 | 0,003% | C |
| PENSION INTERNATIONAL EQUITY TACTICAL SMART BETA MOTHER | |||
| FUND | 428 | 0,000% | C |
| PENSION RESERVES INVESTMENT TRUST FUND | 61.655 | 0,030% | C |
| PENSIONDANMARK PENSIONSFORSIKRINGSAKTIESELSKAB | 133.428 | 0,065% | C |
| PEOPLE'S BANK OF CHINA | 140.154 | 0,068% | C |
| PERVALOR - ACTIONS | 1.150 | 0,001% | C |

| RAIFFEISEN FONDS CH FOCUS INTEREST | 6.000 | 0,003% | C |
|---|---|---|---|
| RAIFFEISEN FUTURA - RAIFFEISEN FUTURA GLOBAL STOCK | 2.810 | 0,001% | C |
| Rathbone Core Investment Fund for Charities | 8.000 | 0,004% | C |
| RATHBONE INVESTMENT MANAGEMENT LTD | 25.455 | 0,012% | C |
| RBC EUROPEAN EQUITY FUND ROYAL TRUST | 188.890 | 0,092% | C |
| RBC EUROPEAN MID-CAP EQUITY FUND | 433.101 | 0,210% | C |
| RDM LIQUID LLC | 9.080 | 0,004% | C |
| ReAssure Limited | 9.407 | 0,005% | C |


| CONTRIBUTORY PENSION FUND | 25.959 | 0,013% | C |
|---|---|---|---|
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 60 | 0,000% | C |
| SIEMENS ABSOLUTE RETURN | 1.739 | 0,001% | C |
| SIEMENS BALANCED | 3.629 | 0,002% | C |
| SIEMENS DC BALANCED | 445 | 0,000% | C |
| SIEMENS DIVERSIFIED GROWTH | 3.244 | 0,002% | C |
| SIEMENS EMU EQUITIES | 13.972 | 0,007% | C |
| SIEMENS EUROINVEST AKTIEN | 2.871 | 0,001% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SIEMENS-FONDS SIEMENS-RENTE | 31.916 | 0,016% | C | |
| Sijoitusrahasto Aktia Europa | 45.000 | 0,022% | C | |
| SINGLE SELECT PLATFORM | 27.441 | 0,013% | C | |
| SKL INVESTMENT GROUP LLC 121 SOUTH | 2.793 | 0,001% | C | |
| SOGECAP ACTIONS | 110.578 | 0,054% | C | |
| SOGECAP AP CLIMAT PAB | 12.239 | 0,006% | C | |
| SOLIDARITES | 1.917 | 0,001% | C | |
| SPP AKTIEFOND EUROPA | 22.666 | 0,011% | C | |
| SPP AKTIEFOND GLOBAL | 7.130 | 0,003% | C | |
| SPP EUROPA PLUS | 463 | 0,000% | C | |
| SPP GENERATION 50-TAL | 142 | 0,000% | C | |
| SPP GENERATION 60-TAL | 2.855 | 0,001% | C | |
| SPP GENERATION 70-TAL | 2.569 | 0,001% | C | |
| SPP PENSION & FORSAKRING AB (PUBL) | 501 | 0,000% | C | |
| SPRING 625 | 2.946 | 0,001% | C | |
| STANDARD BANK OF SOUTH AFRICA LTD | 7.338 | 0,004% | C | |
| STAR PASTEUR | 7.107 | 0,003% | C | |
| STATE OF ALASKA RETIREMENT AND BENEFITS PLANS | 61.299 | 0,030% | C | |
| STATE OF CONNECTICUT RETIREMENTPLANS + TRUST FUNDS | 28.473 | 0,014% | C | |
| STATE OF MICHIGAN RETIREMENT SYSTEM | 352.044 | 0,171% | C | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 116.563 | 0,057% | C | |
| STATE OF UTAH SCHOOL AND INSTITUTIONAL TRUST FUNDS TRUST FUNDS |
1.563 | 0,001% | C | |
| STATE OF WISCONSIN INVESTMENT BOARD | 16.802 | 0,008% | C | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 28.058 | 0,014% | C | |
| STEWARDSHIP PARA GLB | 158 | 0,000% | C | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 14.061 | 0,007% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 47.701 | 0,023% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET BEROEPSVERVOER OVER DE WEG |
1.412 | 0,001% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | ||||
| LEVENSMIDDELENBEDRIJF | 10.570 | 0,005% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. |
5.817 | 0,003% | C | |
| STICHTING BEWAARDER ACHMEA BELEGGINGSPOOLS | 10.919 | 0,005% | C | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 18.637 | 0,009% | C | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 229.430 | 0,111% | C | |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD | ||||
| AANDELEN FONDS | 26.243 | 0,013% | C | |
| STICHTING PENSIOENFONDS APF. | 24.213 | 0,012% | C | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 15.746 | 0,008% | C | |
| STICHTING PENSIOENFONDS ING | 10.633 | 0,005% | C | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 88.980 | 0,043% | C | |
| STICHTING PENSIOENFONDS NOTARIAAT | 915 | 0,000% | C | |
| STICHTING PENSIOENFONDS PGB | 124.625 | 0,061% | C | |
| STICHTING PGGM DEPOSITARY | 123.225 | 0,060% | C | |
| STICHTING RABOBANK PENSIOENFONDS | 31.214 | 0,015% | C | |
| STICHTING SHELL PENSIOENFONDS | 45.698 | 0,022% | C | |
| STICHTING SPOORWEGPENSIOENFONDS | 9.340 | 0,005% | C | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 2.596 | 0,001% | C | |
| STRATEGIE CONSOMMA LUXE ET LOW COST | 8.699 | 0,004% | C | |
| STRATEGY SICAV | 1.750 | 0,001% | C | |
| SUE ANN ARNALL | 3.312 | 0,002% | C | |
| SUEBIA-FONDS | 16.399 | 0,008% | C | |
| SUN LIFE SCHRODER GLOBAL MID CAP FUND. | 42.468 | 0,021% | C | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 9.201 | 0,004% | C | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET | 229 | 0,000% | C | |
| PORT SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED |
||||
| PORTFOLIO | 489 | 0,000% | C | |
| SUNAMERICA SERIES TRUST SA MORGAN STANLEY INTERNATIONAL EQUITIES |
140.429 | 0,068% | C | |
| SUNAMERICA SERIES TRUST- SA SCHRODERS VCP GLOBAL | 1.613 | 0,001% | C | |
| ALLOCATION PORT |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| SUNAMERICA SERIES TRUST- SA T. ROWE PRICE VCP BALANCED | ||||
| PORTFOLIO | 25.178 | 0,012% | C | |
| SUNAMERICA SERIES TRUST-SA TR PRIC.ASSET ALLOCATION | 9.070 | 0,004% | C | |
| GROWTHPORTF | ||||
| SUNSUPER SUPERANNUATION FUND | 8.293 | 0,004% | C | |
| Swiss National Bank | 747.726 | 0,363% | C | |
| SYCOMORE SELECTION MIDCAP | 18.635 | 0,009% | C | |
| SYMMETRY LOW VOLATILITY FUND | 6.023 | 0,003% | C | |
| T. ROWE PRICE BALANCED FUND, INC. | 86.502 | 0,042% | C | |
| T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. | 5.141 | 0,002% | C | |
| T. ROWE PRICE INTERNATIONAL CORE EQUITY TRUST | 974.441 | 0,474% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 8.738 | 0,004% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 7.015 | 0,003% | C | |
| T. ROWE PRICE MODERATE ALLOCATION PORTFOLIO | 2.254 | 0,001% | C | |
| T. ROWE PRICE OVERSEAS STOCK FUND | 1.903.018 | 0,925% | C | |
| T. ROWE PRICE RETIREMENT HYBRID TRUST | 79.830 | 0,039% | C | |
| T. ROWE PRICE SPECTRUM CONSERVATIVE ALLOCATION FUND | 19.302 | 0,009% | C | |
| T. ROWE PRICE SPECTRUM MODERATE ALLOCATION FUND | 30.154 | 0,015% | C | |
| T. ROWE PRICE SPECTRUM MODERATE GROWTH ALLOCATION FUND | 57.211 | 0,028% | C | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 1.793 | 0,001% | C | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - |
4.853 | 0,002% | C | |
| HEDGED) FUND | 18.297 | 0,009% | C | |
| TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF | 45.923 | 0,022% | C | |
| TD BALANCED GROWTH FUND . | 60.160 | 0,029% | C | |
| TD DIVERSIFIED MONTHLY INCOME FUND | 29.442 | 0,014% | C | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 46.245 | 0,022% | C | |
| TD EUROPEAN INDEX FUND . | 1.280 | 0,001% | C | |
| TD GLOBAL EQUITY FOCUSED FUND | 200.000 | 0,097% | C | |
| TD GLOBAL TACTICAL MONTHLY INCOME FUND | 86.432 | 0,042% | C | |
| TD INTERNATIONAL EQUITY INDEX ETF | 9.710 | 0,005% | C | |
| TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX ETF | 254 | 0,000% | C | |
| TD NORTH AMERICAN SUSTAINABILITY BA LANCED FUND | 4.155 | 0,002% | C | |
| TD NORTH AMERICAN SUSTAINABILITY EQUITY FUND | 30.841 | 0,015% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 203.814 | 0,099% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 31.304 | 0,015% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 105.926 | 0,051% | C | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 2.050 | 0,001% | C | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 138.662 | 0,067% | C | |
| THE ALGER FUNDS - ALGER MID CAP GROWTH FUND | 43.253 | 0,021% | C | |
| THE ALGER FUNDS- ALGER INTERNATIONAL FOCUS FUND | 94.386 | 0,046% | C | |
| THE ALGER INSTITUTIONAL FUNDS- ALGER MID CAP GROWTH | 14.745 | 0,007% | C | |
| INSTITUTIONAL FUND THE ALGER PORTFOLIOS- ALGER MID CAP GROWTH PORTFOLIO |
27.679 | 0,013% | C | |
| THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 145 | 0,000% | C | |
| THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 18.802 | 0,009% | C | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE | ||||
| INV THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE |
32.799 | 0,016% | C | |
| INVESTMENT FUND PLAN | 135.195 | 0,066% | C | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITED | 201.414 | 0,098% | C | |
| THE BANKERS INVESTMENT TRUST PLC | 161.788 | 0,079% | C | |
| THE BARCLAYS BANK UK RETIREMENT FUND | 1.080 | 0,001% | C | |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 5.456 | 0,003% | C | |
| THE CHARLOTTE-MECKLENBURG HOSPITAL AUTHORITY | 10.928 | 0,005% | C | |
| THE CIVIL SERVICE SUPERANNUATION FUND | 47.703 | 0,023% | C | |
| THE COMMONWEALTH FUND | 94 | 0,000% | C | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 1.258 | 0,001% | C | |
| THE DIRECTORS OF THE CHINESE YOUNG MEN'S CHRISTIAN ASSOCIATI | 513 | 0,000% | C | |
| THE ENDEAVOUR II FUND. | 528 | 0,000% | C | |
| THE HARTFORD INTERNATIONAL GROWTH FUND | 171.859 | 0,084% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 109 | 0,000% | C | |
| THE INCUBATION FUND LTD | 254 | 0,000% | C | |
| THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED MONTHLY | ||||
| RATED EMPLOYEES PROVIDENT FUND SCHEME | 2.039 | 0,001% | C | |
| THE LABOUR UNION CO-OPERATIVE RETIREMENT FUND | 794 | 0,000% | C | |
| THE LILLY RETIREMENT PLAN MASTER TRUST ELI LILLY AND COMPANY | 83.062 | 0,040% | C | |
| The Magna Foundation | 1.787 | 0,001% | C | |
| The Marks And Spencer Worldwide Managed Fund | 9.864 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL | 466 | 0,000% | C | |
| EQUITY INDEX MOTHER FUND | ||||
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY | 16.410 | 0,008% | C | |
| INDEX MOTHER FUND THE MASTER TRUST BANK OF JAPAN LTD. RE:DL INTERNATIONAL EQUITY |
||||
| ACTIVE FUND FOR QUALIFIED INSTITUTION | 10.232 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| GOVERNMENT PENSION INVESTMENT FUND 400045887 | 15.443 | 0,008% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 219.258 | 0,107% | C | |
| MTBJ400045829 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 34.619 | 0,017% | C | |
| MTBJ400045832 | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 193.020 | 0,094% | C | |
| MUTB400045795 THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR |
||||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 8.182 | 0,004% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | ||||
| PASSIVE MOTHER FUND (ONLY FOR PENSION | 4.025 | 0,002% | C | |
| THE NATURE CONSERVANCY | 1 | 0,000% | C | |
| THE NOMURA TRUST AND BANKING CO LTD | 8.612 | 0,004% | C | |
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 58.042 | 0,028% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 28.498 | 0,014% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 119.604 | 0,058% | C | |
| THE ROYAL INST FOR THE ADVANCEMENT OF LEARNING MCGILL | ||||
| UNIVERSITY | 5.369 | 0,003% | C | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 238.821 | 0,116% | C | |
| THE STATE OF NEVADA | 1.656 | 0,001% | C | |
| THE STEAMSHIP MUTUAL UNDERWRITING ASSOCIATION TRUSTEES | 453 | 0,000% | C | |
| (BERMUDA) LIMITED | ||||
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 4.891 | 0,002% | C | |
| THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION MULTIPLE COLLECTIVE INVESTMENT |
308.939 | 0,150% | C | |
| THE WONG FAMILY 2006 TRUST UAD 08/30/06 GERALDINE WONG & | ||||
| RICHARD WONG TTEES 535 | 199 | 0,000% | C | |
| THEAM QUANT - EQUITY EUROZONE FACTOR DEFENSIVE | 68.017 | 0,033% | C | |
| THREADNEEDLE (LUX | 21.528 | 0,010% | C | |
| THREADNEEDLE INVESTMENT FUNDS ICVC. | 124.892 | 0,061% | C | |
| THREADNEEDLE PENSIONS MULTI ASSET FUND COLUMBIA | ||||
| THREADNEEDLE INVESTMENTS | 14.497 | 0,007% | C | |
| THREADNEEDLE SPECIALIST INVESTMENTEUROPEAN FOCUS FUND | 18.405 | 0,009% | C | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 2.018 | 0,001% | C | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 3.056 | 0,001% | C | |
| TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 461 | 0,000% | C | |
| TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 1.503 | 0,001% | C | |
| TOCQUEVILLE CROISSANCE EURO IS | 270.661 | 0,132% | C | |
| TONI ACTIONS ISR 100 | 10.297 | 0,005% | C | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 2.638 | 0,001% | C | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 45.023 | 0,022% | C | |
| TRINITY COLLEGE CAMBRIDGE | 3.467 | 0,002% | C | |
| True Potential Investments LLP | 321.471 | 0,156% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 6.735 | 0,003% | C | |
| INVESTMENT FUND TRUST NUMBER 10 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION |
||||
| INVESTMENT FUND TRUST NUMBER 21 | 1.646 | 0,001% | C |

| BROCKEN-UI-FONDS | 2.945 | 0,001% | C |
|---|---|---|---|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF COMMERZBANK MARKET NEUTRAL SHORT-BIAS EUROPE |
1.100 | 0,001% | C |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO UNIVERSAL-FONDS |
13.441 | 0,007% | C |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY |
5.980 | 0,003% | C |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN VOLCONTROL |
6.000 | 0,003% | C |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF RANW-US | 77.354 | 0,038% | C | |
| UNIVERSAL-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL-CA V |
2.004 | 0,001% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB | ||||
| UNIVERSAL-FONDS | 375 | 0,000% | C | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 17.328 | 0,008% | C | |
| UNIVERSAL-INVESTMENT-GMBH | 390 | 0,000% | C | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL | 17.216 | 0,008% | C | |
| EURO UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI EUROPEAN |
||||
| ENHANCE | 228 | 0,000% | C | |
| UNIVERSITIES SUPERANNUATION SCHEME | 78.692 | 0,038% | C | |
| UTAH RETIREMENT SYSTEMS | 26.937 | 0,013% | C | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 8.838 | 0,004% | C | |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 19.636 | 0,010% | C | |
| VALIC COMPANY I INTERNATIONAL GROWTH FUND | 404.019 | 0,196% | C | |
| VALORACTIONS | 2.500 | 0,001% | C | |
| VANECK VECTORS MSCI WORLD EX AUSTRALIA QUALITY ETF | 21.490 | 0,010% | C | |
| VANGUARD INTERNATIONAL EXPLORER FUND | 79.023 | 0,038% | C | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 7.768 | 0,004% | C | |
| VARIOPARTNER SICAV - 3-ALPHA GLOBAL QUALITY ACHIEVERS | 8.361 | 0,004% | C | |
| VERDIPAPIRFONDET DNB EUROPA | 3.947 | 0,002% | C | |
| VERDIPAPIRFONDET DNB GLOBAL INDEKS | 20.768 | 0,010% | C | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 13.855 | 0,007% | C | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 39.762 | 0,019% | C | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 3.596 | 0,002% | C | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 838 | 0,000% | C | |
| VF (Lux) - Valiant Europe Equities | 2.369 | 0,001% | C | |
| VGV POOLFONDS PA1 VIA AM SICAV VIA ABSOLUTE RETURN |
4.722 9.167 |
0,002% 0,004% |
C C |
|
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 1.027 | 0,000% | C | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. VILLIERS ACTIONS EUROPE SYST AGI |
2.873 36.080 |
0,001% 0,018% |
C C |
|
| VILLIERS ALTO | 11.251 | 0,005% | C | |
| VILLIERS DIAPASON | 1.980 | 0,001% | C | |
| VIRGINIA RETIREMENT SYSTEM | 881 | 0,000% | C | |
| VIVACCIO ISR ACTIONS | 40.040 | 0,019% | C | |
| VONTOBEL FUND - VESCORE GLOBAL EQUITY MULTI FACTOR | 456 | 0,000% | C | |
| VONTOBEL FUND (CH) - VESCORE GLOBAL EQUITY MULTI FACTOR | 252 | 0,000% | C | |
| C/O VONTOBEL FONDS SERVICES AG | ||||
| VONTOBEL NON US EQUITY OFFSHORE MASTER LP | 143.508 | 0,070% | C | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 29.105 | 0,014% | C | |
| VOYA MUTLI MANAGER INTERNATIONAL FACTORS FUND VWINKA SONDERVERMGEN |
7.884 8.000 |
0,004% 0,004% |
C C |
|
| WASHINGTON STATE INVESTMENT BOARD | 83.394 | 0,041% | C | |
| WELLINGTON COMPOUND GROWTH, L.P. | 16.777 | 0,008% | C | |
| WELLINGTON GLOBAL QUALITY GROWTH FUND (AUSTRALIA) | 125.318 | 0,061% | C | |
| WELLINGTON MASTER EMERGING ALTERNATIVES FUND CAYMAN L P C | ||||
| O WELLINGTON ALTERNATIVE INVESTMENTS LLC | 269 | 0,000% | C | |
| WELLS FARGO INTERNATIONAL GROWTH PORTFOLIO | 4.700 | 0,002% | C | |
| WEST YORKSHIRE PENSION FUND | 50.000 | 0,024% | C | |
| WHOLESALE INTERNATIONAL CORE EQUITIES | 316 | 0,000% | C | |
| WHOLESALE INTERNATIONAL CORE EQUITIES (NZ HEDGED | 496 | 0,000% | C | |
| WHOLESALE UNIT TRUST MSCI GLOBAL INDEX SHARE FUND WILLIAM BLAIR COLLECTIVE INVESTMENT TRUST |
732 40.400 |
0,000% 0,020% |
C C |
|
| WILLIAM BLAIR INSTITUTIONAL INTERNATIONAL GROWTH FUND | 48.062 | 0,023% | C | |
| WILLIAM BLAIR INTERNATIONAL GROWTH FUND | 80.207 | 0,039% | C | |
| WILMINGTON INTERNATIONAL FUND | 2.110 | 0,001% | C | |
| WILMINGTON TRUST COLLECTIVE INVESTMENT TRUST - WILSHIRE MULT | 1.084 | 0,001% | C | |
| WILSHIRE MUTUAL FUNDS, INC. - WILSHIRE INTERNATIONAL EQUITY | ||||
| FUND | 2.615 | 0,001% | C |
| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 98.853 | 0,048% | C | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.869 | 0,001% | C | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 1.269 | 0,001% | C | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH | 36.694 | 0,018% | C | |
| FUND | ||||
| WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 3.204 | 0,002% | C | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 11.804 | 0,006% | C | |
| WISDOMTREE ISSUER ICAV | 15.102 | 0,007% | C | |
| WISDOMTREE WORLD EX-US GROWTH FUND | 20.724 | 0,010% | C | |
| WORLD EQUITIES | 479 | 0,000% | C | |
| WTCN MULTIPLE COLLECTIVE INVESTMENT FUNDS TRUST II | 96.539 | 0,047% | C | |
| XTRACKERS | 208.841 | 0,101% | C | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 98.205 | 0,048% | C | |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 966 | 0,000% | C | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 1.244 | 0,001% | C | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 54.610 | 0,027% | C | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 9.949 | 0,005% | C | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 473 | 0,000% | C | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 1.376 | 0,001% | C | |
| ZURICH ASSURANCE LTD | 263.686 | 0,128% | C | |
| ZURICH FINANCIAL SERVICES UK PENSION SCHEME. | 39.461 | 0,019% | C | |
| ZURICH INVEST ICAV | 32.795 | 0,016% | C | |
| ZURICH LIFE ASSURANCE PLC | 69.257 | 0,034% | C | |
| ZURICH VIDA COMPANIA DE SEGUROS Y REASEGUROS SA | 470 | 0,000% | C | |
| ZVK KVS FONDS | 6.000 | 0,003% | C | |
| 1765 - AllianzGI-Fonds DSW-Co | 7.600 | 0,004% | A | |
| 1789 - AllianzGI-Fonds DHCO | 6.700 | 0,003% | A | |
| ALLEANZA ASSICURAZIONI SPA | 38.144 | 0,019% | A | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 84.000 | 0,041% | A | |
| ALLIANZ CHOICE BEST STYLES EUROPE | 16.980 | 0,008% | A | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 128.320 | 0,062% | A | |
| ALLIANZ GLOBAL INVESTORS FUND | 107.277 | 0,052% | A | |
| Allianz Global Investors GmbH | 49.200 | 0,024% | A | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT |
19.391 | 0,009% | A | |
| MASTER | 2.155 | 0,001% | A | |
| ALLIANZ GLOBAL INVESTORS GMBH RE ALLIANZGI-FONDS AOKNW-AR | 704 | 0,000% | A | |
| ALLIANZ ITALIA 50 SPECIAL | 2.500 | 0,001% | A | |
| Allianz PV-WS RCM SysPro Value Europe | 4.270 | 0,002% | A | |
| ALLIANZGI FONDS LUNA A | 53.791 | 0,026% | A | |
| ALLIANZGI S AKTIEN | 6.191 | 0,003% | A | |
| ALLIANZGI-FONDS AFE SEGMENT AFE-AA3 | 17.830 | 0,009% | A | |
| ALLIANZGI-FONDS APNIESA SEGMENT APNIESA-NAPO | 8.500 | 0,004% | A | |
| ALLIANZGI-FONDS DSPT | 29.365 | 0,014% | A | |
| ALLIANZGI-FONDS DUNHILL | 1.820 | 0,001% | A | |
| ALLIANZGI-FONDS GANO 2 | 1.366 | 0,001% | A | |
| ALLIANZGI-FONDS MAF5 | 4.350 | 0,002% | A | |
| ALLIANZGI-FONDS PF1 SEGMENT PF1-GM1-G_MA | 9.274 | 0,005% | A | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-AA1-E_EUA | 10.561 | 0,005% | A | |
| ALLIANZGI-FONDS PF2 SEGMENT PF2-GM1-G_MA (MERITEN IM) | 6.986 | 0,003% | A | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-AA1-E_EUA | 30.087 | 0,015% | A | |
| ALLIANZGI-FONDS PTV2 SEGMENT PTV2-GM1-G_MA | 8.677 | 0,004% | A | |
| ALLIANZGI-FONDS SHL | 1.200 | 0,001% | A | |
| ALLIANZGI-SUBFONDS HNE AKTIEN A | 50.000 | 0,024% | A | |
| ARGENTA DP | 43.850 | 0,021% | A | |
| ARVESTAR ASSET MANAGEMENT SA REPRESENTING ARGENTA | 150.000 | 0,073% | A | |
| PENSIOENSPAARFONDS | ||||
| CBP GROWTH SMC | 20.212 | 0,010% | A | |
| CHALLENGE FUNDS - CHALLENGE INTERNATIONAL EQUITY FUND | 16.394 | 0,008% | A | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY FUND | 72.000 | 0,035% | A | |
| CHALLENGE FUNDS - CHALLENGE PROVIDENT FUND 1 | 29.336 | 0,014% | A | |
| CONVICTION PATRIMOINE | 3.100 | 0,002% | A |

| Anagrafica | CF/PI | Azioni | % su Votanti Voto | |
|---|---|---|---|---|
| DBI-FONDS EBB | 2.399 | 0,001% | A | |
| DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO | 6.200 | 0,003% | A | |
| FUND | ||||
| DPAM B | 241.864 | 0,118% | A | |
| DPAM DBI RDT | 11.907 | 0,006% | A | |
| DPAM L | 4.150 | 0,002% | A | |
| GENERALI ITALIA SPA | 26.722 | 0,013% | A | |
| GENERALI VIE | 134.803 | 0,066% | A | |
| GID-FONDS ALAET | 40.240 | 0,020% | A | |
| GID-FONDS CEAOT | 68.126 | 0,033% | A | |
| GID-FONDS DLAET | 6.220 | 0,003% | A | |
| HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 253 | 0,000% | A | |
| II | 3.800 | 0,002% | A | |
| INVESTITORI EUROPA | 3.300 | 0,002% | A | |
| INVESTITORI PIAZZA AFFARI | 14.500 | 0,007% | A | |
| JANUS HENDERSON CAPITAL FUNDS PLC | 2.837 | 0,001% | A | |
| JANUS HENDERSON GLOBAL RESEARCHGROWTH FUND | 724 | 0,000% | A | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 24.841 | 0,012% | A | |
| KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET ER DM PRIVATE EQUITY MASTER INVESTMENT TRUST |
3.454 | 0,002% | A | |
| M&G (Lux) Investment Funds 2 FCP - M&G (LUX) EUROPE EX UK INDEX | 34.007 | 0,017% | A | |
| Fund | ||||
| MEDIOLANUM BEST BRANDS - GLOBAL LEADERS | 39.864 | 0,019% | A | |
| MEDIOLANUM BEST BRANDS - PREMIUM COUPON COLLECTION | 10.250 | 0,005% | A | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 2.934 | 0,001% | A | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB) | 34.601 | 0,017% | A | |
| Prudential Pensions Limited | 3.218 | 0,002% | A | |
| RAILWAYS PENSION TRUSTEE COMPANY LIMITED | 111.170 | 0,054% | A | |
| TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 5.358 | 0,003% | A | |
| EAM - INCOME OPPORTUNITIES | 2.140 | 0,001% | NV | |
| EPSILON FUND - ENHANCED CONSTANT RISK CONTRIBUTION | 1.344 | 0,001% | NV | |
| EPSILON FUND - Q-FLEXIBLE | 49.374 | 0,024% | NV | |
| EUF - ABSOLUTE RETURN SOLUTION | 4.608 | 0,002% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN MODERATE ESG | 27.351 | 0,013% | NV | |
| EURIZON AM SICAV - ABSOLUTE RETURN SOLUTION | 3.815 | 0,002% | NV | |
| EURIZON AM SICAV - GLOBAL EQUITY | 1.545 | 0,001% | NV | |
| EURIZON AM SICAV - ITALIAN EQUITY | 116.000 | 0,056% | NV | |
| EURIZON FUND - EQUITY EUROPE ESG LTE | 11.668 | 0,006% | NV | |
| EURIZON FUND - EQUITY EUROPE LTE | 3.537 | 0,002% | NV | |
| EURIZON FUND - EQUITY ITALY SMART VOLATILITY | 11.860 | 0,006% | NV | |
| EURIZON FUND - EQUITY WORLD LTE | 91 | 0,000% | NV | |
| EURIZON FUND - ITALIAN EQUITY OPPORTUNITIES | 65.000 | 0,032% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY | 4.432 | 0,002% | NV | |
| EURIZON INVESTMENT SICAV - MULTIASSET RISK OVERLAY MODERATO | 363 | 0,000% | NV | |
| EURIZON NEXT - STRATEGIA ABSOLUTE RETURN | 2.624 | 0,001% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 04/2016 | 135 | 0,000% | NV | |
| ISE - MULTIASSET ABSOLUTE 3 ANNI - 07/2016 | 148 | 0,000% | NV | |
| KAIROS INTERNATIONAL SICAV ITALIA | 74.000 | 0,036% | NV | |
| KAIROS INTERNATIONAL SICAV ITALIA PIR | 5.000 | 0,002% | NV | |
| KAIROS INTERNATIONAL SICAV PATRIOT | 2.000 | 0,001% | NV |
NE - Non espresso
F - Favorevole
C - Contrario
A - Astenuto
Lx - Lista x
NV - Non votante


Risposta alle domande poste prima dell'Assemblea ai sensi dell'Art. 127-ter del D. Lgs. n. 58/1998
ASSEMBLEA ORDINARIA DEI SOCI 21 APRILE 2022


Richiesta di:
A. estrazione dal libro soci (Art. 2422 cc) dei primi 100 azionisti in un files da inviare prima dell'assemblea gratuitamente prima dell'assemblea all'email [email protected].
In risposta a : Con riferimento alla richiesta di estrazione dal libro soci dei primi 100 azionisti di Maire Tecnimont S.p.A. ed invio gratuito della stessa, si ricorda inoltre che l'Art. 43 del "Provvedimento unico sul post-trading della Consob e della Banca d'Italia del 13 agosto 2018" prevede che il diritto di ispezione dei libri sociali di cui all'Art. 2422 del codice civile possa essere esercitato solo se attestato da una apposita comunicazione all'emittente rilasciata proprio dall'intermediario: comunicazione che non accompagna suddetta richiesta. Tale richiesta è rispettata dal certificato di ammissione all'assemblea.
Inoltre si ricorda che lo stesso Art. 2422 del codice civile imputa le spese di estrazione a carico del socio richiedente. Il files non ha costi per dati già disponibili.
Nello specifico poi si rappresenta che la richiesta appare generica e, per essere valutata, andrebbe anche meglio specificata con riferimento alla tipologia di dati richiesta e all'arco temporale di riferimento. Ovviamente per gli ultimi disponibili.
Risposta: Le chiediamo cortesemente di formulare la sua richiesta di estrazione dal Libro Soci nel rispetto delle procedure e delle disposizioni di legge e regolamentari applicabili di cui al Codice Civile, al TUF nonché in materia di Privacy. Con riferimento invece alle partecipazioni rilevanti, le segnaliamo che le stesse sono consultabili anche sul sito internet della società (www.monclergroup.com), Sezione Investor Relations.
B. DOMANDE DEL SOCIO MARCO BAVA PER SAPERE ai sensi dell'Art. 127-ter (D. Lgs n. 58/1998) (Diritto di porre domande prima dell'assemblea)
Alle domande pervenute prima dell'assemblea è data risposta al più tardi durante la stessa. La società può fornire una risposta unitaria alle domande aventi lo stesso contenuto.
Articolo inserito dall'Art. 3 del d.lgs. n. 27 del 27.1.2010. L'Art. 7 del d.lgs. n. 27 del 27.1.2010 dispone che tale modifica si applica alle assemblee il cui avviso di convocazione sia pubblicato dopo il 31 ottobre 2010. Fino a tale data continuano ad applicarsi le disposizioni sostituite od abrogate dalle corrispondenti disposizioni del d.lgs. n. 27 del 27.1.2010.
Certificazione Unicredito n:
PERCHÉ Conte e Draghi non hanno disposto per le società quotate l'assemblea obbligatoria ONLINE su piattaforma internet come sancisce lo stesso decreto per tutte le società di capitali, società cooperative e mutue assicuratrici, di prevedere con avviso di convocazione

delle assemblee l'espressione del voto in via elettronica o per corrispondenza ed intervento all'assemblea mediante mezzi di telecomunicazione, anche laddove l'utilizzo di tale strumento non sia previsto negli statuti? È possibile prevedere che l'assemblea si svolga, anche esclusivamente, mediante mezzi di telecomunicazione che garantiscano l'identificazione dei partecipanti, la loro partecipazione e l'esercizio del diritto di voto come quelli usati per i consigli di amministrazione. Se non la fanno le società quotate l'assemblea online chi la dovrebbe e potrebbe fare?
Ho sostenuto l'esame da dottore commercialista online e voi non potete fare un'assemblea? Per di più ora che l'emergenza sanitaria è finita perché' continuate a non voler tenere assemblee come prevede il codice?
chiedo che venga messa al voto l'azione di responsabilità nei confronti del cda. Questa richiesta, ovviamente, non è ai sensi dell'Art.126 bis del Tuf ma dell'Art.2393 cc.
Risposta: Tenuto conto dell'attuale andamento epidemiologico si è preferito adottare una soluzione di massima cautela al fine di tutelare la sicurezza e la salute delle persone. Per tale motivo la Società, anche quest'anno, ha deciso di avvalersi delle modalità di svolgimento e partecipazione previste dall'Art. 106 del D.L. 18/2020, prevedendo che l'intervento in Assemblea di coloro ai quali spetta il diritto di voto avvenga esclusivamente per il tramite del rappresentante designato ai sensi dell'Art. 135-undecies del D. Lgs. 58/1998, secondo le modalità riportate nell'avviso di convocazione.
Tale modalità risulta dunque conforme alle disposizioni normative vigenti.
Il controllo di legittimità costituzionale delle leggi e degli atti aventi forza di legge in Italia è oggetto di sindacato giurisdizionale da parte della Corte Costituzionale. Fermo restando quanto precede, l'azione di responsabilità proposta si ritiene inammissibile poiché, non essendo attinente a fatti di competenza dell'esercizio cui si riferisce il bilancio sottoposto ad approvazione assembleare, non ricorrono i presupposti previsti dall'Art. 2393, comma 2, Cod. Civ.
2) I certificatori di bilancio fanno anche una consulenza fiscale? Risposta: No, non prestano alcuna attività di consulenza fiscale.
Risposta: La crisi sanitaria da Covid-19 ha accelerato i trend già esistenti nel mercato che sono stati prontamente riflessi nelle linee guida strategiche del Gruppo Moncler, ma non ha di fatto comportato nessun cambiamento sostanziale della strategia. Moncler ha implementato azioni atte a garantire e promuovere una struttura organizzativa flessibile e reattiva che consenta una forte focalizzazione sul rafforzamento del Brand, sul digitale e su un approccio multicanale. Relativamente al conflitto in Ucraina, l'esposizione totale alla Russia e all'Ucraina nell'esercizio 2021, includendo anche i ricavi generati dai turisti russi che acquistano al di fuori della Russia, è stata inferiore al 2% del fatturato di Gruppo. Il Gruppo Moncler è presente nei due Paesi con siti e-commerce dedicati e per il marchio Moncler anche con due negozi gestiti direttamente (DOS) e tre negozi monomarca wholesale (SiS). Inoltre, il Gruppo conta circa 100 clienti wholesale multimarca (doors). Da fine febbraio, oltre alla chiusura del negozio di Kiev, sono state temporaneamente sospese tutte le attività commerciali in Russia.
Risposta: Il 22 dicembre 2021, Moncler ha registrato un attacco ai danni dei propri sistemi informatici (malware). I sistemi di sicurezza del Gruppo hanno garantito la tempestiva identificazione dell'attacco e sono state intraprese le misure necessarie volte a bloccarne la diffusione, avvalendosi anche del supporto di consulenti tecnici e legali esperti in materia di sicurezza informatica. Nel corso dell'indagine forensic è stato rilevato che alcuni dati riguardanti dipendenti ed ex dipendenti, fornitori, consulenti e partner commerciali nonché clienti registrati nel proprio database, sono stati illegalmente esfiltrati. I criminali hanno avanzato una richiesta di riscatto, alla quale l'Azienda non ha dato seguito, ritenendola fortemente contraria ai propri valori fondanti.
Risposta: Nel 2021 Moncler ha speso in cybersecurity un ammontare pari a circa il 10% degli investimenti IT.
Risposta: Nell'ambito delle attività promosse da Moncler per incentivare e sviluppare il dialogo e il coinvolgimento dei dipendenti nella vita aziendale, si segnala l'iniziativa "Thank

Boss It's Friday!" un'iniziativa lanciata nel 2019 nelle sedi corporate italiane (e successivamente estesa anche nelle altre Region e da quest'anno anche al management e alle persone di Stone Island). Inoltre, nel 2021 è ripartito il "MONCampus Talent Program", un programma di sviluppo dedicato alle persone del Gruppo con potenziale; si tratta di un percorso di condivisione di conoscenza, pensato per facilitare e accelerare la crescita personale e professionale dei giovani talenti di Moncler e Stone Island.
Risposta: Il Gruppo Moncler ha adottato a partire dal 2017 un modello anticorruzione e un programma operativo estesi a tutte le società del Gruppo contenenti apposite misure e controlli per prevenire ed eventualmente identificare tempestivamente fenomeni di corruzione. Esso è basato su un risk assessment mirato sul tema corruzione, su una ricognizione normativa sui reati di corruzione nei Paesi in cui il Gruppo opera e su un'attività di verifica sia in loco sia in remoto. Le linee guida che ispirano questo Modello sono analoghe a quelle dello standard ISO 37001. Inoltre Moncler dispone (a) di una policy anti-corruzione (disponibile anche nella Sezione "Governance" del sito di Moncler) e rispetto alla quale sono svolte attività di formazione e (b) di un Modello di Organizzazione Gestione e Controllo ex D. Lgs. 231/01 in relazione al quale vengono svolte attività di verifica e formazione (nonché incontri periodici con i manager del Gruppo) e la cui efficacia viene monitorata da parte dell'Organismo di Vigilanza.
Risposta: La domanda non è pertinente rispetto ai punti all'Ordine del giorno dell'Assemblea.
12) Avete intenzione di realizzare iniziative in favore degli azionisti come i centri medici realizzati dalla BANCA D'ALBA?
Risposta: Nessuna iniziativa di questo genere è stata, ad oggi, presa in considerazione.
Risposta: Con riferimento alla redditività del Gruppo Moncler, si rimanda a quanto riportato nella Relazione sulla Gestione. Con riferimento al WACC utilizzato da Moncler ai fini dell'impairment test si rimanda ai paragrafi 5.2 e 5.3 delle Note al bilancio consolidato e al paragrafo 4.2 delle Note al bilancio d'esercizio.
Risposta: Allo stato attuale la Società non ha preso in considerazione la possibilità di ottenere le certificazioni Benefit Corporation e ISO 37001; tuttavia ciò non rappresenta nessuna limitazione al forte impegno che il Gruppo Moncler pone verso uno sviluppo sostenibile e responsabile che risponda alle aspettative degli stakeholder in un'ottica di creazione di valore condiviso.
Risposta: Lo Statuto di Moncler non prevede che coloro ai quali spetta la legittimazione all'intervento in Assemblea e all'esercizio del diritto di voto possano partecipare alla stessa con mezzi elettronici. In caso di eventi straordinari, come quello relativo all'emergenza Covid-19, la Società adotta misure idonee a garantire lo svolgimento dell'Assembla in condizioni di sicurezza e nel rispetto dalle disposizioni normative e regolamentari tempo per tempo vigenti.

Risposta: In data 10 febbraio 2020 il Consiglio di Amministrazione della Società ha convocato l'Assemblea Straordinaria degli azionisti in unica convocazione il 16 marzo 2020 per sottoporre alla stessa l'approvazione di una proposta unica di modifica dello Statuto sociale con l'obiettivo di dare continuità alla storia di successo e al percorso della Società e per rafforzare e consolidare la governance allineandola a quella delle best-in class companies a livello nazionale e internazionale. A questo fine il Consiglio aveva proposto la modifica dell'Art. 5 dello Statuto per introdurre la maggiorazione del voto con durata limitata nel tempo, ossia fino al 30 giugno 2028, avvalendosi dello strumento previsto dal legislatore italiano (Art. 127- quinquies del TUF) ed in linea con meccanismi analoghi (loyalty o dual class shares) adottati da numerosi key players nel settore dei beni di lusso cui appartiene Moncler. Come comunicato al mercato in data 11 marzo 2020, la suddetta Assemblea Straordinaria non ha avuto luogo in considerazione dei provvedimenti assunti dalle autorità pubbliche italiane in ragione dell'emergenza Covid-19.
23)Come è variato l'indebitamento e per cosa?
Risposta: Al 31 dicembre 2021, la posizione finanziaria netta (escluso IFRS 16) è stata positiva e pari a Euro 729,6 milioni, rispetto a Euro 855,3 milioni al 31 dicembre 2020. Si veda anche il rendiconto finanziario 2021 riportato nella Relazione sulla gestione inclusa nella Relazione Finanziaria Annuale 2021.
Risposta: L'Organismo di Vigilanza (nominato in data 16 aprile 2019 sino alla data di approvazione del bilancio al 31 dicembre 2021) è composto da Lorenzo Mauro Banfi (Presidente e membro esterno), da Carlo Alberto Marchi (membro esterno) e da Riccardo Greghi (Responsabile della Funzione Internal Audit e membro interno). Il compenso complessivo è pari ad Euro 35.000 lordi annui.
26)Quanto costa la sponsorizzazione il Meeting di Rimini di Cl ed EXPO 2015 o altre? Per cosa e per quanto?
Risposta: Il Gruppo Moncler non ha mai sponsorizzato attività di questo genere.
27) POTETE FORNIRMI L'ELENCO DEI VERSAMENTI e dei crediti AI PARTITI, ALLE FONDAZIONI POLITICHE, AI POLITICI ITALIANI ED ESTERI?
Risposta: La domanda non è applicabile in quanto la Società non ha mai effettuato versamenti quali quelli suindicati né vi sono crediti verso i medesimi soggetti.

Risposta: No. Il Gruppo Moncler segue scrupolosamente la normativa in materia di smaltimento dei rifiuti.
31) Sono previste riduzioni di personale, ristrutturazioni? delocalizzazioni? Risposta: Al momento l'azienda non ha messo in atto alcuna iniziativa di riduzione di personale, ristrutturazione o delocalizzazione.
32)C'è un impegno di riacquisto di prodotti da clienti dopo un certo tempo? come viene contabilizzato?
Risposta: Nessun impegno di questo tipo è stato adottato.
33) Gli amministratori attuali e del passato sono indagati per reati ambientali, RICICLAGGIO, AUTORICLAGGIO O ALTRI che riguardano la società? CON QUALI POSSIBILI DANNI ALLA SOCIETÀ?
Risposta: Non risultano indagini o cause penali in corso che coinvolgano gli Amministratori di Moncler per reati che riguardino la Società.
Risposta: Il Gruppo ha sottoscritto, con una primaria compagnia assicurativa, una polizza D&O a copertura dell'operato degli Amministratori, dei Sindaci e dei Dirigenti. Il broker assicurativo per il 2021 è stato AON. Il costo della polizza per il Gruppo è di circa Euro 100 mila. La polizza ha scadenza annuale e viene rinnovata di anno in anno.
37) Sono state stipulate polizze a garanzia dei prospetti informativi (relativamente ai prestiti obbligazionari)?
Risposta: Non applicabile in quanto non vi sono prestiti obbligazionari in essere.
38) Quali sono gli importi per assicurazioni non finanziarie e previdenziali (differenziati per macroarea, differenziati per stabilimento industriale, quale struttura interna delibera e gestisce le polizze, broker utilizzato e compagnie)?
Risposta: Moncler ha sottoscritto polizze con primarie compagnie assicurative a copertura degli infortuni di dirigenti ed Amministratori, per il rimborso delle spese mediche dei dirigenti e quadri, polizze vita per dirigenti e Amministratori, polizza c.d. mission a favore dei dipendenti per la copertura delle spese mediche durante le trasferte di lavoro, polizze sanitarie a favore di dipendenti temporaneamente distaccati e polizze a favore di dipendenti in caso di ricovero a seguito di diagnosi di positività al Covid-19.
39)VORREI SAPERE Quale è l'utilizzo della liquidità (composizione ed evoluzione mensile, tassi attivi, tipologia strumenti, rischi di controparte, reddito finanziario ottenuto, politica di gestione, ragioni dell'incomprimibilità, quota destinata al TFR e quali vincoli, giuridico operativi, esistono sulla liquidità)
Risposta: Prevalentemente conti correnti bancari ed investimenti a basso rischio con controparti affidabili (i.e., con un rating elevato).

Risposta: Complessivamente, il Gruppo utilizza solo energia da fonti rinnovabili in Italia, Romania e altri Paesi tra cui la Cina 1 , Stati Uniti, Canada e Francia per un totale pari all'80% del fabbisogno totale delle sedi aziendali. Si rimanda a quanto indicato nella Dichiarazione Consolidata Non Finanziaria 2021 (pag. 135-137).
41) Vi è stata retrocessione in Italia/estero di investimenti pubblicitari/sponsorizzazioni? Risposta: Gli investimenti pubblicitari e le sponsorizzazioni in Italia e all'estero non comportano retrocessioni.
Risposta: Moncler si impegna a non assumere persone che non abbiano raggiunto l'età minima per l'ammissione al lavoro prevista dalla legge di riferimento di ciascun paese in cui opera.
Risposta: Il Gruppo Moncler non si è dotato della certificazione SA8000 ma è fortemente impegnato nella gestione del tema dei diritti umani rispetto alle proprie persone e di coloro che operano all'interno della catena di fornitura garantendo un solido sistema di:
-Certificazioni: nel 2021: (i) Moncler ha confermato a livello globale la certificazione ISO 45001 che prevede l'applicazione di regole di gestione della salute e sicurezza; (ii) Stone Island ha ottenuto la certificazione ISO 45001 per tutti gli uffici in Italia con l'obiettivo di estenderla a livello mondo nel 2022;
-Progetti e programmi per i dipendenti: a seguito della costituzione nel 2021 del Comitato per la Diversità, Equità e Inclusione, sono state avviate attività di formazione con l'obiettivo di rafforzare la cultura dell'inclusione e valorizzare la diversità, inoltre il Gruppo ha definito degli obiettivi puntuali in materia di diversità, equità e pari opportunità valorizzati pubblicamente nel Piano di Sostenibilità 2020-2025 (pagg.50-52);
-Audit: il Gruppo monitora la filiera con una attività continuativa di audit etico-sociali che si focalizzano sulla verifica del rispetto dei diritti fondamentali dell'uomo e dei lavoratori.
44)Finanziamo l'industria degli armamenti? Risposta: No.
45)vorrei conoscere POSIZIONE FINANZIARIA NETTA DI GRUPPO ALLA DATA DELL'ASSEMBLEA CON TASSI MEDI ATTIVI E PASSIVI STORICI.
Risposta: Non vengono forniti dati alla data dell'Assemblea. Per la posizione finanziaria netta al 31 dicembre 2021 si veda quanto indicato nella Relazione sulla Gestione nella Relazione Finanziaria Annuale 2021.
Risposta: A partire dal 1° gennaio 2022 è stata internalizzata la distribuzione nel mercato Coreano del marchio Stone Island attraverso la costituzione di una joint venture con un partner locale, di cui il Gruppo Moncler detiene una partecipazione pari al 51%.
1 I consumi energetici di Moncler da fonte rinnovabile includono la Cina continentale, Hong Kong SAR e Macao SAR. Mentre i consumi energetici aziendali di Taiwan ad oggi derivano da energia convenzionale

Risposta: Non applicabile.
Risposta: Per il fatturato del 2021 si rimanda a quanto indicato nella Relazione sulla Gestione nella Relazione Finanziaria Annuale 2021. Per il fatturato del 2022 i dati relativi al primo trimestre 2022 verranno comunicati con l'Interim Management Statement in data 4 maggio 2022. I dati del fatturato al 30 giugno 2021 verranno comunicati il 27 luglio 2022 con i risultati del primo semestre 2022.
Risposta: È opportuno precisare che Moncler non effettua trading su azioni proprie o di altre società quotate. Ciò premesso, in data 3 marzo 2022 la Società ha annunciato l'avvio, a partire dal 4 marzo 2022, di un programma di acquisto di azioni proprie fino a un massimo di n. 1.000.000 azioni ordinarie (rappresentative dello 0,4% del capitale sociale), per un controvalore massimo di Euro 56 milioni, prive di indicazione del valore nominale, in esecuzione della delibera assembleare del 22 aprile 2021, ai sensi degli Art. 2357, 2357-ter del Codice Civile. Il programma era finalizzato all'acquisto di azioni proprie Moncler da destinare a servizio di piani di compensi e di assegnazione di azioni a favore di dipendenti, Amministratori e consulenti di Moncler e delle proprie società controllate, nel rispetto dei parametri e criteri prescritti dal MAR, dal Regolamento Delegato (UE) 1052/2016 e dal Regolamento CONSOB 11971/1999, nonché in conformità dei parametri (inclusi prezzi e volumi giornalieri di acquisto), termini e condizioni deliberate dall'Assemblea ordinaria del 22 aprile 2021 già resi pubblici. In data 25 marzo 2022 la Società ha completato il programma acquistando in esecuzione dello stesso numero 1.000.000 azioni ordinarie. Per ulteriori informazioni si rinvia ai comunicati stampa relativi a tale programma disponibili sul sito www.monclergroup.com, Sezione "Investors/Comunicati stampa finanziari".
Risposta: Nel corso dell'esercizio 2021 Moncler non ha avviato programmi di acquisto di azioni proprie, mentre ha avviato un programma di acquisto di azioni proprie in data 4 marzo 2022 (concluso in data 25 marzo 2022), rispetto al quale si rinvia alla risposta sub 51).
Risposta: La risposta potrà essere desunta dal verbale assembleare (che sarà messo a disposizione del pubblico nei termini e con le modalità previsti dalle disposizioni di legge e regolamentari applicabili) e dall'elenco degli azionisti rappresentati in Assemblea tramite delega al Rappresentante Designato, allegato al verbale stesso.
Risposta: La risposta potrà essere desunta dal verbale assembleare (che sarà messo a disposizione del pubblico nei termini e con le modalità previsti dalle disposizioni di legge e regolamentari applicabili) e dall'elenco degli azionisti rappresentati in Assemblea tramite delega al Rappresentante Designato, allegato al verbale stesso
55) vorrei conoscere IL NOMINATIVO DEI GIORNALISTI PRESENTI IN SALA O CHE SEGUONO L'ASSEMBLEA ATTRAVERSO IL CIRCUITO CHIUSO DELLE TESTATE CHE RAPPRESENTANO E SE FRA ESSI VE NE SONO CHE HANNO RAPPORTI DI CONSULENZA DIRETTA ED INDIRETTA CON SOCIETA' DEL GRUPPO ANCHE CONTROLLATE e se comunque hanno ricevuto denaro o benefit direttamente o indirettamente da società controllate, collegate, controllanti. Qualora si risponda con "non è pertinente", denuncio il fatto al collegio sindacale ai sensi dell'Art.2408 cc.

Risposta: Non è prevista la partecipazione, neppure attraverso collegamenti audiovisivi, di giornalisti. Moncler non ha erogato denaro o benefici ad alcun titolo a soggetti indicati nella domanda.
56) vorrei conoscere Come sono suddivise le spese pubblicitarie per gruppo editoriale, per valutare l'indice d'indipendenza? VI SONO STATI VERSAMENTI A GIORNALI O TESTATE GIORNALISTICHE ED INTERNET PER STUDI E CONSULENZE?
Risposta: Tale informazione non viene resa pubblica, tuttavia non esiste alcuna concentrazione nei confronti di un singolo gruppo editoriale che possa pregiudicare l'indipendenza della società.
| N. azionisti ordinari iscritti: | 16.368 | ||||
|---|---|---|---|---|---|
| Residenti ITALIA | ESTERO | ||||
| di cui n. | 13.739 | 2.629 | |||
| Fasce significative di possesso | |||||
| da 0 a 0,99% | da 1% a 1,99% | da 2% a 4,99% | da 5% a 9,99% |
da 10% a oltre | |
| di cui n. | 16.353 | 9 | 4 | - | 2 |
Risposta: Con riferimento al Collegio Sindacale, non è stata affidata nessuna consulenza a nessuno dei membri. Il rimborso spese complessivo ammonta a circa Euro 3.000. Per la Società di Revisione si rinvia a quanto indicato nelle Tabelle, di cui alle Note Esplicative al Bilancio Consolidato ed al Bilancio di Esercizio, rispettivamente al paragrafo 10.7 e al paragrafo 8.6 della Relazione Finanziaria Annuale 2021. Il rimborso spese complessivo ammonta a circa Euro 50.000, inclusivi del contributo Consob.
59) vorrei conoscere se VI SONO STATI RAPPORTI DI FINANZIAMENTO DIRETTO O INDIRETTO DI SINDACATI, PARTITI O MOVIMENTI FONDAZIONI POLITICHE (come ad esempio Italiani nel mondo), FONDAZIONI ED ASSOCIAZIONI DI CONSUMATORI E/O AZIONISTI NAZIONALI O INTERNAZIONALI NELL'AMBITO DEL GRUPPO ANCHE ATTRAVERSO IL FINANZIAMENTO DI INIZIATIVE SPECIFICHE RICHIESTE DIRETTAMENTE? Risposta: Nessuna delle attività sopra indicate.
Risposta: Per quanto noto alla Società, ovviamente non vi sono tangenti pagate dai fornitori. Moncler opera nel rispetto delle disposizioni di legge, regolamentari e dell'etica professionale
61) SE C'E' E COME FUNZIONA LA RETROCESSIONE DI FINE ANNO ALL'UFFICIO ACQUISTI E DI QUANTO E'?
Risposta: Non vi sono retrocessioni di fine anno all'ufficio acquisti.
62)vorrei conoscere se Si sono pagate tangenti per entrare nei paesi emergenti in particolare CINA, Russia e India?
Risposta: Trattasi di pratiche illecite alle quali la Società non fa ovviamente ricorso.

Risposta: Trattasi di pratiche illecite alle quali la Società non fa ovviamente ricorso.
Risposta: Si rimanda al capitolo 10.1 "Rapporti con parti correlate" del Bilancio Consolidato di cui alla Relazione Finanziaria Annuale 2021 ed al capitolo 8.1 "Rapporti con parti correlate" del Bilancio d'Esercizio di cui alla Relazione Finanziaria Annuale 2021.

Risposta: Nel corso del 2021 sono state acquistate alcune opere degli artisti Andrea Anastasio e Prem Sahib per un valore complessivo di circa Euro 70 mila. Tali opere sono state esposte durante l'evento Genius e successivamente vendute all'asta e il relativo ricavato è stato devoluto in beneficienza.
76) vorrei conoscere in quali settori si sono ridotti maggiormente i costi, esclusi i vs stipendi che sono in costante rapido aumento.
Risposta: Non esiste un settore specifico in cui i costi siano stati ridotti in maniera sostanziale. Tutti i costi sono costantemente gestiti e monitorati in un'ottica di sempre maggiore efficienza, coerentemente con la crescita del business e con l'obiettivo fondamentale di raggiungere livelli sempre maggiori circa la qualità dei beni e dei servizi acquistati; non necessariamente, quindi, le azioni intraprese si concretizzano in una mera riduzione del costo.
Risposta: Nel 2021 non sono stati stipulati contratti di consulenza con Roland Berger, né con il dott. Braggiotti, qualora si intendesse riferirsi a Gerardo Braggiotti, o società a quest'ultimo facenti capo. Per quanto riguarda il nominativo "Erede", qualora si intendesse indicare complessivamente lo studio legale Bonelli Erede Lombardi, si segnala che nel corso del 2021 Moncler ha stipulato un accordo di consulenza in ambito antitrust del valore di circa Euro 60.000. Per quanto riguarda il nominativo "Trevisan", qualora si intendesse indicare lo studio Trevisan & associati, si segnala che è stato stipulato un accordo di consulenza per l'esercizio 2022 per un valore di Euro 5.000.
80)vorrei conoscere. A quanto ammonta la % di quota italiana degli investimenti in ricerca e sviluppo?
Risposta: Si rinvia a quanto indicato nella Relazione sulla Gestione nella Relazione Finanziaria Annuale 2021.
81) VORREI CONOSCERE I COSTI per le ASSEMBLEE e per cosa?

Risposta: Con specifico riferimento all'Assemblea degli azionisti del 21 aprile 2022 i costi comprendono tra l'altro quelli relativi all'attività di verbalizzazione della riunione a cura del Notaio, agli altri adempimenti notarili e al Rappresentante Designato per un costo complessivo di circa Euro 30.000.
82)VORREI CONOSCERE I COSTI per VALORI BOLLATI Risposta: Circa Euro 80.000 (a livello di Gruppo).
Risposta: Per il Presidente e Amministratore Delegato Remo Ruffini: Audi e-tron 55 quattro Business e Land Rover Defender 110 3.0 AWD. Il costo per il 2021 è stato pari a circa Euro 41.000. Per l'Amministratore Delegato Luciano Santel: Range Rover Ibrida 2.0 si4 Phev Autobiography. Il costo per il 2021 è stato pari a circa Euro 25.000. Per l'Amministratore Delegato Roberto Eggs: BMW X6M 4,3 Automatica Business; il costo per il 2021 è stato pari a circa Euro 34.000.
85) Dettaglio per utilizzatore dei costi per uso o noleggio di elicotteri ed aerei Quanti sono gli elicotteri utilizzati di che marca e con quale costo orario ed utilizzati da chi? se le risposte sono "Le altre domande non sono pertinenti rispetto ai punti all'ordine del
giorno "denuncio tale reticenza al collegio sindacale ai sensi dell'Art.2408 cc. Risposta: Moncler noleggia, per singole tratte, un aeromobile di proprietà della società Sirio S.p.A. per il trasporto del Presidente ed Amministratore Delegato nonché di altri Executive della Società, in occasione di trasferte rientranti nell'attività del Gruppo. I termini economici sono in linea con le tariffe applicate nel mercato per tale tipologia di aeromobili. Il costo per l'esercizio 2021 è stato di circa Euro 277.000.
Risposta: Si rimanda a quanto indicato nel paragrafo 5.6 della Relazione Finanziaria Annuale 2021.
87) CI SONO STATI CONTRIBUTI A SINDACATI E O SINDACALISTI SE SI A CHI A CHE TITOLO E DI QUANTO?
Risposta: Nessuno.
Risposta: In occasione dell'assemblea convocata per il 21 aprile 2022, Moncler ha incaricato Spafid S.p.A. di svolgere la funzione di rappresentante designato ai sensi dell'Art. 135-undecies del TUF. nonché ai sensi dell'Art. 106, comma 4, del Decreto Legge n. 18/2020 al quale gli azionisti della Società hanno potuto conferire una delega con le istruzioni di voto su tutte o alcune delle proposte all'ordine del giorno dell'Assemblea. Inoltre al Rappresentante Designato hanno potuto essere conferite deleghe o sub-deleghe ai sensi dell'Art. 135-novies del TUF. Spafid S.p.A. svolge per Moncler anche l'attività di gestione dell'Assemblea con riferimento ad una serie di attività quali l'accredito degli azionisti o l'esercizio e il conteggio del voto. Il corrispettivo per tutte queste attività è di circa Euro 10.000.
Risposta: Non sono stati effettuati investimenti in titoli pubblici.
Risposta: Nessuno, ad esclusione degli ordinari debiti correnti (si veda quanto indicato nella Relazione Finanziaria Annuale 2021 al paragrafo 5.11 con riferimento all'Inps e paragrafo 5.12 con riferimento all'Agenzia delle Entrate).

Risposta: Si rinvia al paragrafo 8.1 della sezione Bilancio d'Esercizio della Relazione Finanziaria Annuale 2021.
Risposta: Si rinvia a quanto indicato nella Relazione Finanziaria Annuale 2021, sezione Relazione sulla Gestione.

Risposta: Gli Amministratori e sindaci e gli altri soggetti legittimati potranno partecipare mediante collegamento in audio-video conferenza utilizzando i codici riservati comunicati unicamente agli aventi diritto.
Risposta: La documentazione per deliberare sul bilancio e sulle relazioni semestrali viene inviata ai membri del Consiglio di Amministrazione nel rispetto delle previsioni del regolamento consiliare e comunque in tempo utile al fine di permettere un'approfondita analisi.

operativa, anche in conformità a quanto stabilito nella Comunicazione Consob, permetta di contemperare l'interesse della Società ad avere tempo sufficiente per rispondere alle domande e quello degli azionisti di conoscere le risposte prima della scadenza del termine per conferire o revocare le deleghe al rappresentante designato. In merito alla possibilità di formulare domande, interventi e/o proposte tramite il Rappresentante Designato si fa rinvio alla Comunicazione Consob sopra citata, la quale, tra l'altro, esclude espressamente la possibilità di presentare proposte individuali direttamente in sede assembleare tramite lo stesso Rappresentante Designato.
Risposta: A tutte le riunioni del Consiglio di Amministrazione è stato possibile partecipare mediante collegamento in video-conferenza.
Risposta: Il preavviso è stato normalmente rispettato.
Risposta: Il Consiglio di Amministrazione ha adottato una soluzione informatica fornita da un provider esterno che permette di gestire in forma digitalizzata i documenti per le riunioni del Consiglio e dei Comitati endo-consiliari. I Consiglieri e i Sindaci possono usufruire della documentazione tramite dispositivi, senza l'utilizzo del supporto cartaceo. Il sistema adottato è installato on premise e garantisce la sicurezza e confidenzialità nella condivisione dei documenti, che sono conservati e protetti su infrastruttura Moncler con i migliori sistemi di sicurezza informatica disponibili.
Risposta: Il corrispettivo per l'attività di consulenza rispetto al processo di autovalutazione è di Euro 55.000. Nel 2021 Spencer Stuart non ha svolto altri incarichi professionali a favore di Moncler.
Risposta: In considerazione delle aree di miglioramento emerse nell'ambito dell'attività di autovalutazione, la Società, tra le altre cose, organizzerà delle sessioni di induction a beneficio del nuovo Consiglio che sarà nominato dall'Assemblea convocata il 21 aprile 2022 anche al fine di fornire un'adeguata conoscenza del settore di attività in cui opera Moncler, dei suoi prodotti, della sua organizzazione, delle dinamiche aziendali e della loro evoluzione (anche mediante la partecipazione dei responsabili delle Funzioni legate al business e delle Funzioni corporate), del sistema di controllo e gestione dei rischi, del quadro normativo di riferimento, dei principali trend che possono avere impatto sull'andamento attuale e sulla strategia di crescita di breve, medio e lungo periodo, tenendo anche conto delle tematiche di sostenibilità ed i fattori ESG. Compatibilmente con l'andamento della situazione emergenziale, verranno inoltre organizzazione visite off-site (e.g., presso il polo logistico di Moncler sito a Castel S. Giovanni (Piacenza)).
Risposta: La percentuale di donne nella fascia manageriale (manager, dirigenti e dirigenti senior) è pari al 52%.

Risposta: Nel corso del 2021 circa il 60% dei dipendenti delle sedi corporate Italia ha potuto avvalersi della modalità smart working (i.e., circa 700 persone). La modalità remote working rimarrà valida anche al termine dell'emergenza Covid, interessando il 100% della popolazione eleggibile, seppur con un'incidenza media mensile per ciascun lavoratore sensibilmente più contenuta.
Risposta: Come indicato nella Relazione sulla Remunerazione, la Politica di Moncler prevede obiettivi di performance (cui è legata l'erogazione delle componenti variabili) predeterminati e misurabili. Esclusivamente nel corso del primo anno di rapporto di lavoro, al fine di incrementare il potenziale di attraction e, quindi, di favorire l'ingresso di risorse in possesso di specifiche competenze e professionalità di alto livello ritenute necessarie per il conseguimento degli obiettivi di Gruppo, ovvero di compensare eventuali perdite di benefici che tali figure possano aver acquisito nel corso della precedente esperienza professionale, può essere attribuito un bonus in tutto o in parte garantito. Nel 2021 non sono stati erogati bonus ad hoc/una tantum.
Risposta: Moncler ha sempre attribuito massimo rilievo alla definizione, allo sviluppo ed al mantenimento di forme di dialogo aperte, trasparenti e continuative con gli azionisti e con il mercato in generale. La Politica di Engagement formalizza pertanto l'approccio della Società alla gestione del dialogo con gli stakeholders per gli aspetti che concernono il coinvolgimento dei componenti del Consiglio e a tal fine definisce le regole di tale dialogo, individuando gli interlocutori, gli argomenti oggetto di discussione, le tempistiche e i canali di interazione. Riguardo alle altre forme di gestione del dialogo rimangono valide e applicabili le altre politiche, linee guida ed attività già adottate da Moncler.
Risposta: Nel corso del 2021 il Gruppo Moncler ha organizzato oltre 300 meeting, 18 roadshow e ha partecipato ad oltre 10 conferenze incontrando più di 600 investitori, dove si è presentata la strategia del Gruppo oltre agli ultimi risultati pubblicati.
Risposta: La Società mette a disposizione dei soci la documentazione per l'Assemblea non appena disponibile e nei termini di legge. Ogni documento viene reso pubblico con le modalità previste per legge tra cui la pubblicazione sul sito internet della Società nella sezione che raccoglie i documenti assembleari (www.monclergroup.com, Sezione "Assemblea degli Azionisti") e nel meccanismo di stoccaggio autorizzato di cui si avvale la Società (). Ogni volta che vengono resi disponibili dei

documenti, viene prontamente diffuso un comunicato stampa con cui si informa dell'avvenuta pubblicazione.
Risposta: Il Gruppo non ha ricevuto sanzioni da parte delle autorità di vigilanza.
Risposta: L'esposizione totale alla Russia e all'Ucraina nell'esercizio 2021, includendo anche i ricavi generati dai turisti russi che acquistano al di fuori della Russia, è stata inferiore al 2% del fatturato di Gruppo. Pur rimanendo molto elevata l'incertezza sull'evolversi della situazione e sulle possibili ripercussioni a livello macroeconomico mondiale, al momento non si prevedono conseguenze significative sui risultati e sulla profittabilità dell'esercizio 2022.
Risposta: Il 22 dicembre 2021, Moncler è stata vittima di un sofisticato attacco malware a danno dei propri sistemi informatici a causa del quale è stato temporaneamente sospeso il funzionamento dei servizi IT, poi gradualmente ripristinati in massima sicurezza e senza effetti significativi sul business. Tuttavia, l'attacco malware ha causato l'esfiltrazione, con conseguente perdita di confidenzialità, di informazioni personali dei dipendenti, dei clienti presenti nel database aziendale e di alcuni fornitori, consulenti e partner commerciali. Tale data breach è stato oggetto di pronta comunicazione sia alle autorità competenti, incluso il Garante per la Protezione dei Dati Personali italiano ed esteri, sia ai diretti interessati. Inoltre, è stato attivato da subito un team di esperti di cybersecurity che, tra l'altro, ha contribuito a fornire elementi per rafforzare le misure di sicurezza sulle infrastrutture IT. La Società collabora tutt'ora con le Autorità per la protezione dei dati personali localmente competenti al fine di fornire tutte le informazioni di volta in volta richieste. Rispetto al potenziale rischio di nuovi attacchi cyber, Moncler sta ulteriormente rafforzando il modello adottato di gestione dei rischi cibernetici, che include aspetti procedurali, formativi, di valutazione e revisione periodica dei rischi, anche in relazione alle terze parti. Tale modello ha il fine ultimo di garantire l'implementazione di strumenti e processi solidi di protezione e di business continuity, che comprendono l'adozione delle migliori tecnologie e metodologie di identificazione e protezione del Gruppo dalle minacce informatiche.
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