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Nexi — AGM Information 2023
May 23, 2023
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| ATTO |
|---|
| 19 maggio 2023 REP. N. 75581/15880 |
| NOTAIO FILIPPO ZABBAN |

SPAZIO ANNULLATO

N. 75581 di Repertorio N. 15880 di Raccolta
VERBALE DI ASSEMBLEA
REPUBBLICA ITALIANA
19 maggio 2023
L'anno duemilaventitre, il giorno diciannove del mese di maggio,
in Milano, via Metastasio n. 5.
Io sottoscritto FILIPPO ZABBAN, Notaio in Milano, iscritto presso il Collegio Notarile di Milano,
procedo alla redazione e sottoscrizione del verbale dell'assemblea ordinaria della società:
"Nexi S.p.A."
con sede in Milano, Corso Sempione n. 55, capitale sociale sottoscritto e versato Euro 118.582.844,00, iscritta nel Registro delle Imprese tenuto dalla Camera di Commercio di Milano Monza Brianza Lodi al numero di iscrizione e codice fiscale 09489670969, Repertorio Economico Amministrativo MI-2093618,
(d'ora in avanti anche la "Società" o "Nexi" o l'"Emittente") le cui azioni sono ammesse alle negoziazioni presso l'Euronext Milan, organizzato e gestito da Borsa Italiana S.p.A.,
tenutasi in data 4 maggio 2023
dando atto che detta riunione è stata convocata senza indicazione del relativo luogo e si è tenuta mediante mezzi di telecomunicazione, con la mia costante partecipazione ai lavori assembleari, fatta precisazione che io notaio ero collegato da Milano, via Metastasio n. 5.
Tutto ciò premesso, si fa constare come segue (ai sensi dell'art. 2375 del Codice Civile ed in conformità a quanto previsto dalle altre disposizioni applicabili, anche a ragione della condizione della Società, le cui azioni sono quotate presso il mercato Euronext Milan organizzato e gestito da Borsa Italiana S.p.A.) dello svolgimento della predetta assemblea.
*****
"Il giorno quattro maggio duemilaventitre,

alle ore 10,
si è riunita, esclusivamente mediante mezzi di telecomunicazione, l'assemblea ordinaria della Società
"Nexi S.p.A.".
Il Presidente del Consiglio di Amministrazione della Società, MICHAELA CASTELLI, (di seguito il "Presidente"), a norma dell'articolo 11 dello statuto sociale e dell'articolo 7 del Regolamento assembleare, nella sua qualità di Presidente del Consiglio di Amministrazione, assume la Presidenza dell'assemblea ordinaria.
Chiama, ai sensi dell'articolo 7 del Regolamento assembleare, a fungere da segretario dell'Assemblea il notaio Filippo Zabban – collegato mediante mezzi di telecomunicazioni dal suo studio in Milano, via Metastasio n. 5 - che darà luogo a verbalizzazione mediante pubblico atto notarile.
Il Presidente ricorda che, come risulta nell'avviso di convocazione, ai sensi dell'art. 106 del Decreto Legge 17 marzo 2020 n. 18, ("Decreto") convertito con modificazioni dalla Legge 24 aprile 2020, n. 27, prorogato fino al 31 luglio 2023 con la legge n. 14 del 24 febbraio 2023 (art. 3 comma 10 undecies), che ha convertito, integrandolo, il D.L. 198/22 - la Società si è avvalsa della facoltà di non prevedere un luogo fisico di riunione e di prevedere che l'intervento in assemblea da parte degli aventi diritto al voto si svolga esclusivamente tramite il rappresentante designato Monte Titoli S.p.A. ("Rappresentante Designato" o "Monte Titoli").
Ricorda ancora:
-
che in conformità all'art. 106 comma 4 del suddetto Decreto, al Rappresentante Designato è stato possibile conferire anche deleghe o sub-deleghe ordinarie ai sensi dell'art. 135-novies TUF in deroga all'art. 135-undecies, comma 4, TUF;
-
che Monte Titoli, in qualità di Rappresentante Designato, ha reso noto di non avere alcun interesse proprio rispetto alle proposte di deliberazione sottoposte al voto. Tuttavia, tenuto conto dei rapporti

contrattuali in essere tra Monte Titoli e la Società relativi, in particolare, all'assistenza tecnica in sede assembleare e servizi accessori, al fine di evitare eventuali successive contestazioni connesse alla supposta presenza di circostanze idonee a determinare l'esistenza di un conflitto di interessi di cui all'articolo 135-decies, comma 2, lett. f), TUF, Monte Titoli ha dichiarato espressamente che, ove dovessero verificarsi circostanze ignote all'atto del rilascio della delega, che non possano essere comunicate al delegante ovvero in caso di modifica od integrazione delle proposte presentate all'Assemblea, non intende esprimere un voto difforme da quello indicato nelle istruzioni; ove il delegante non fornisca specifiche istruzioni per tali ipotesi mediante indicazione negli appositi riquadri, si intenderanno confermate, per quanto possibile, le istruzioni fornite in via principale; ove non sia possibile votare secondo le istruzioni fornite, Monte Titoli si dichiarerà astenuto per tali argomenti. In ogni caso, in assenza di istruzioni di voto su alcuni degli argomenti all'ordine del giorno, Monte Titoli non esprimerà alcun voto per tali argomenti.
Ricorda ancora il Presidente che l'assemblea è chiamata a discutere e deliberare sul seguente:
ORDINE DEL GIORNO
"1. Approvazione del Bilancio d'Esercizio al 31 dicembre 2022, corredato della Relazione del Consiglio di Amministrazione, della Relazione del Collegio Sindacale e della Relazione della Società di revisione legale. Presentazione del Bilancio Consolidato al 31 dicembre 2022 e della dichiarazione consolidata di carattere non finanziario redatta ai sensi del Decreto Legislativo 254/2016, come successivamente modificato e integrato. Deliberazioni inerenti e conseguenti.
2. Relazione sulla politica di remunerazione e sui compensi corrisposti
a. Prima sezione: relazione sulla politica di remunerazione per l'esercizio 2023 (deliberazione vincolante);
b. Seconda sezione: relazione sui compensi corrisposti nel 2022 (deliberazione non vincolante).
3

3. Proposta di autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea del 5 maggio 2022 per la parte rimasta inseguita. Deliberazioni inerenti e conseguenti.
4. Nomina di un Amministratore per integrazione del Consiglio di Amministrazione a seguito di dimissioni e successiva cooptazione. Deliberazioni inerenti e conseguenti.".
Il Presidente dà quindi atto che sono intervenuti alla riunione:
-
per il Consiglio di Amministrazione, oltre ad esso Presidente, sono collegati mediante mezzi di telecomunicazione l'Amministratore Delegato Paolo Bertoluzzo (insieme al Presidente) ed i consiglieri Elisa Corghi, Marina Natale e Maurizio Cereda, essendo giustificata l'assenza degli altri membri;
-
per il Collegio Sindacale, sono collegati mediante mezzi di telecomunicazione il Presidente del Collegio Giacomo Bugna (insieme al Presidente) ed i sindaci effettivi Mirella Tagliabue ed Eugenio Pinto;
-
per la Società di Revisione, PRICEWATERHOUSECOOPERS S.P.A., sono collegati mediante mezzi di telecomunicazione i signori Michelangelo Pepe ed Elisabetta Marcias;
-
in rappresentanza del Rappresentante Designato è collegata mediante mezzi di telecomunicazione Claudia Ambrosini.
Conferma il Presidente di aver personalmente accertato l'identità e la legittimazione degli intervenuti, nonché la facoltà di tutti a partecipare alla riunione e comunica che, con il suo consenso, possono assistere all'Assemblea, dirigenti o dipendenti della Società, nonché professionisti e, consulenti.
Comunica altresì che:
- l'avviso di convocazione dell'Assemblea è stato pubblicato, in data 4 aprile 2023, sul sito internet della società, sul meccanismo di stoccaggio autorizzato "eMarket Storage", e per estratto sul

quotidiano il "Corriere della Sera", quest'ultimo anche pubblicato sul sito Internet della Società;
-
non è pervenuta alla Società alcuna richiesta di integrazione dell'ordine del giorno né alcuna nuova proposta di delibera, ai sensi e con le modalità di cui all'art. 126-bis del D.Lgs. n. 58/1998 ("TUF");
-
non sono pervenute domande prima dell'Assemblea ai sensi dell'art. 127-ter TUF;
-
il capitale sociale sottoscritto e versato è pari a Euro 118.582.844,00, suddiviso in n. 1.311.638.938 azioni ordinarie prive di indicazione del valore nominale, ciascuna delle quali dà diritto a n. 1 voto in Assemblea. Non esistono altre categorie di azioni. Alla data odierna Nexi detiene n. 793.254 azioni proprie; - in relazione all'odierna Assemblea non risulta sia stata promossa sollecitazione di deleghe ex art. 136 e seguenti del TUF.
Il Rappresentante Designato comunica che sono intervenuti n. 1.295 aventi diritto partecipanti all'Assemblea per il tramite del Rappresentante Designato medesimo, per complessive n. 1.047.318.764 azioni ordinarie, regolarmente depositate ed aventi diritto al voto, che rappresentano il 79,848% delle n. 1.311.638.938 azioni ordinarie costituenti il capitale sociale.
Il Presidente chiede al Rappresentante Designato se consti al medesimo che qualche partecipante da cui ha ricevuto delega si trovi in eventuali situazioni di esclusione del diritto di voto ai sensi della disciplina vigente, ottenendo in risposta indicazione che nulla risulta in proposito.
Precisa il Presidente che l'elenco nominativo dei partecipanti per delega al Rappresentante Designato, con specificazione delle azioni per le quali è stata effettuata la comunicazione da parte dell'intermediario all'emittente ai sensi dell'art. 83 sexies TUF, con indicazione dell'intervento per ciascuna singola votazione nonché del voto espresso, con il relativo quantitativo azionario, costituirà allegato al verbale della riunione.

Quindi il Presidente dichiara l'Assemblea regolarmente costituita in sede ordinaria ed atta a discutere e deliberare sugli argomenti di cui al relativo ordine del giorno.
***
Comunica che:
-
la documentazione relativa a tutti i punti all'ordine del giorno, nonché la Relazione sul governo societario e gli assetti proprietari redatta ai sensi dell'art. 123-bis del TUF, è stata fatta oggetto degli adempimenti pubblicitari contemplati dalla disciplina applicabile nei termini e con le modalità dalla stessa previsti, inclusa la pubblicazione sul sito internet della Società;
-
secondo le risultanze del Libro dei Soci integrate dalle comunicazioni ricevute ai sensi dell'art. 120 TUF e dalle altre informazioni a disposizione, possiedono, direttamente o indirettamente, azioni con diritto di voto in misura significativa (i.e., superiore al 3% del capitale sociale), ai sensi delle vigenti disposizioni di legge e di regolamento:
| Dichiarante | Azionista direto | Quota % su capitale ordinario |
Quota % su capitale votante |
|
|---|---|---|---|---|
| Poste Italiane S.p.A. | Poste Italiane S.p.A. | 3.550 | 3.550 | |
| H&F Corporate Investors VIII LTD |
Evergood H&F Lux S.à r.l | 19.938 | 19.938 | |
| Eagle (AIBC) & CY SCA |
Eagle (AIBC) & CY SCA | 6.085 | 6.085 | |
| AB Europe (Luxemburg) Investment S.à r.l |
AB Europe (Luxemburg) Investment S.à r.l |
4.021 | 4.021 | |
| Mercury UK Holdco LTD |
Mercury UK Holdco LTD | 9.435 | 9.435 | |
| Cassa Deposi� e Pres�� S.p.A. |
CDP EQUITY INVESTIMENTI S.P.A. |
8.276 | 8,276 | |
| CDP Equity S.p.A. | 5.291 | 5.291 |

| Totale | 13.567 | 13.567 |
|---|---|---|
| -------- | -------- | -------- |
Per quanto concerne le pattuizioni parasociali rilevanti ai sensi dell'art. 122 TUF, il Presidente dà atto di quanto segue:
- In data 11 marzo 2019 i Fondi Advent International Corporation, Bain Capital Private Equity Europe LLP, Clessidra SGR S.p.A., le società Mercury AI, Mercury BC, Fides, Mercury A Capital Limited, Mercury B Capital Limited, Mercury ABC Capital Limited e Mercury UK Holdco Limited ("Mercury") (congiuntamente, le "Parti") hanno stipulato un patto parasociale, soggetto alla legge inglese (il "Patto Parasociale"), emendando e rinnovando l'accordo di investimento e patto parasociale stipulato tra le medesime parti nel 2015.
Il Patto Parasociale disciplina, tra l'altro:
(i) la governance di Mercury;
(ii) specifiche limitazioni all'eventuale trasferimento di azioni Mercury;
(iii) la governance di Nexi;
(iv) specifiche limitazioni all'eventuale trasferimento di azioni Nexi;
(v) la possibilità di comunicazione di determinate informazioni, nei limiti di legge.
Nel contesto della fusione transfrontaliera per incorporazione di Nets Topco 2 S.à r.l. in Nexi, divenuta efficace in data 1 luglio 2021 (la "Fusione Nets"), in data 15 novembre 2020, le Parti hanno sottoscritto un accordo modificativo del Patto Parasociale (l'"Accordo Modificativo"), al fine di riflettervi talune pattuizioni derivanti dalla Fusione Nets e della fusione per incorporazione di SIA S.p.A. in Nexi, divenuta efficace in data 31 dicembre 2021 (la "Fusione SIA").
Il Patto Parasociale è riconducibile a pattuizioni rilevanti ai sensi dell'art. 122, commi 1 e 5, lett. a) e b) TUF.

Ai sensi dell'art. 123 TUF, il Patto Parasociale ha una durata di tre anni, decorrenti dalla data di avvio delle negoziazioni delle azioni ordinarie Nexi su Euronext Milan. Le disposizioni relative alla governance di Nexi contenute nel Patto Parasociale, come disciplinate dall'Accordo Modificativo, hanno una durata di tre anni decorrenti dalla predetta data di sottoscrizione dell'Accordo Modificativo medesimo. Le relative informazioni essenziali, ai sensi degli artt. 122 del TUF, sono pubblicate sul sito internet della Società.
- In data 15 novembre 2020, nel contesto della Fusione Nets, Evergood H&F Lux S.à r.l., ("H&F"), AB Europe (Luxembourg) Investment S.à r.l, ("AB Europe"), Eagle (AIBC) & CY SCA ("Eagle SCA" e, insieme ad AB Europe, gli "Investitori AB" e gli Investitori AB, congiuntamente ad H&F, gli "Investitori") e Mercury hanno stipulato un accordo retto dalla legge inglese che disciplina, tra l'altro, la governance di Nexi e le limitazioni all'eventuale trasferimento di azioni di Nexi. In data 4 dicembre 2020, gli Investitori e Mercury hanno sottoscritto un accordo modificativo di tale patto parasociale, mediante il quale dette parti hanno emendato e rifinito talune previsioni (come da ultimo modificato, il "Patto Parasociale Nets"). Il Patto Parasociale Nets disciplina, tra l'altro, (i) la governance di Nexi, (ii) specifiche limitazioni all'eventuale trasferimento di azioni Nexi e (iii) le modalità di cessione delle azioni Nexi da parte dei paciscenti, che tengono conto delle pattuizioni intercorse nel contesto della Fusione Nets, nonché della realizzazione della Fusione SIA.
Il Patto Parasociale Nets contiene pattuizioni rilevanti ai sensi dell'art. 122, comma 1 e 5, lett. a) e b), TUF.
Le relative informazioni essenziali, ai sensi dell'art. 122 TUF sono pubblicate sul sito internet della Società.
- In data 15 novembre 2020, Nexi ha sottoscritto, rispettivamente e singolarmente, un accordo di lock-up con (i) AB Europe; (ii)

Eagle; (iii) H&F; (iv) Bamboh Co-Investments ApS ("Bamboh"); (v) EmpCo A/S ("Empco"); (vi) nInvestment 1 ApS ("Danish Manco"); (vii) nInvestment Lux S.C.Sp. ("nIv Lux"); (viii) Stargazer Invest ApS ("Stargazer" e, congiuntamente a Bamboh, Empco, Danish Manco e nIv Lux, i "Veicoli Nets") (gli "Accordi di Lock-up"). Gli Accordi di Lock-up contengono limitazioni al trasferimento di azioni Nexi e di strumenti finanziari che attribuiscono diritti di acquisto delle stesse.
Gli Accordi di Lock-up rilevano ai sensi dell'art. 122, comma 5, lett. b), TUF. Le relative informazioni essenziali, ai sensi dell'art. 122 TUF sono pubblicate sul sito internet della Società.
- In data 15 novembre 2020, gli Investitori e i Veicoli Nets hanno sottoscritto un accordo di management sell-down (l'"Accordo di Management Sell-Down") avente ad oggetto le azioni Nexi. L'Accordo di Management Sell-Down contiene, inter alia, con efficacia a decorrere dal perfezionamento della Fusione Nets, pattuizioni per il coordinamento della vendita di azioni Nexi, sia nell'ipotesi in cui la vendita sia effettuata dai Veicoli Nets, sia dagli Investitori (nel qual ultimo caso è previsto anche un diritto di covendita a favore dei Veicoli Nets).
Gli impegni di cui all'Accordo di Management Sell-Down hanno efficacia dalla data di sottoscrizione di quest'ultimo.
L'Accordo di Management Sell-Down rileva ai sensi dell'art. 122, comma 5, lett. b) TUF.
Le relative informazioni essenziali, ai sensi dell'art. 122 del TUF sono pubblicate sul sito internet della Società.
- In data 11 febbraio 2021, Nexi, SIA S.p.A. ("SIA"), CDP Equity S.p.A. ("CDPE"), CDPE Investimenti S.p.A. (già FSIAInvestimenti S.p.A) ("FSIA") e Mercury hanno sottoscritto un framework agreement contenete i termini e le condizioni della Fusione SIA (il "Framework Agreement SIA"). In data 18 maggio 2021, i paciscenti di cui sopra hanno sottoscritto un accordo modificativo

del Framework Agreement SIA mediante il quale dette parti hanno inteso modificarne e rifinirne talune previsioni. Infine, in data 30 luglio 2021, le parti del Framework Agreement SIA hanno concordato per iscritto, mediante un ulteriore accordo modificativo del Framework Agreement SIA, modifiche alla tempistica relativa alla Fusione SIA, aggiornandola con taluni adempimenti societari pre-closing, quali le riunioni delle assemblee dei soci e dei consigli di amministrazione ai fini del Push-Down, nonché prevedendo che il closing della Fusione SIA sarebbe avvenuto in data 15 novembre 2021 e, pertanto, modificando coerentemente le tempistiche degli adempimenti societari pre-closing. Le date originariamente previste sono state quindi aggiornate di volta in volta – come d'uso in questo genere di operazioni che si protraggono per un lungo arco temporale – con il comune consenso di tutte le parti. A tale riguardo, si segnala che, difatti, alla data del closing della Fusione SIA (i.e., il 16 dicembre 2021) tutte le parti del Framework Agreement SIA hanno sottoscritto un c.d. "closing memorandum", con cui le medesime si sono date reciprocamente atto, tra l'altro, delle effettive date – rispetto alle tempistiche originariamente previste – in cui i vari adempimenti previsti dal Framework Agreement SIA sono stati perfezionati, nonché la data in cui si è effettivamente tenuto il closing e la conseguente data di efficacia della Fusione SIA.
Il Framework Agreement SIA contiene, fra le altre, talune disposizioni rilevanti ex art. 122, comma 1 e comma 5, lett. b) del TUF, delle quali è stata data pubblicità ai sensi dell'art. 122 TUF nei termini di legge.
Nel contesto della Fusione SIA, le parti hanno negoziato e allegato al Framework Agreement SIA due differenti versioni (versione "A" e versione "B") di un patto parasociale, concernente, tra l'altro, la corporate governance di Nexi e la trasferibilità delle partecipazioni che i soci paciscenti detengono nella medesima, a

seguito e per effetto della Fusione SIA. Poiché la Fusione Nets si è perfezionata in data 1 luglio 2021 e, dunque, antecedentemente alla Fusione SIA, la versione del Patto Parasociale SIA che è stata sottoscritta alla data del closing della Fusione SIA ed è entrata in vigore alla data di efficacia della Fusione SIA è la "versione A" allegata al Framework Agreement SIA, che, in ogni caso, avrà durata fino al terzo anniversario dalla data di efficacia della Fusione SIA, ferme restando le diverse scadenze precedenti ivi previste (il "Patto Parasociale SIA").
Il Patto Parasociale SIA contiene previsioni di natura parasociale riguardanti, inter alia, (i) la governance di Nexi e (ii) determinate limitazioni alla trasferibilità delle azioni Nexi, a carico di Mercury, CDPE e FSIA, riconducibili alle tipologie di cui all'art. 122, comma 1 e 5 lett. a), b), c) e d) TUF. Il patto è stato successivamente modificato per tener conto delle seguenti circostanze: A) in data 2 agosto 2022 è divenuta efficace la fusione per incorporazione di FSIA nella propria controllante CDP Equity Investimenti S.p.A.; B) in data 1° novembre 2022 è divenuta efficace la fusione per incorporazione di PSIA nella propria controllante Poste Italiane S.p.A ("Poste Italiane"). Pertanto, come comunicato in data 13 ottobre 2022 e con efficacia a decorrere dal 1° novembre 2022, Poste Italiane ha aderito al patto parasociale, subentrando in tutti i diritti e gli obblighi precedentemente in capo a PSIA ai sensi del patto parasociale.
Le relative informazioni essenziali, ai sensi degli artt. 122 TUF sono pubblicate sul sito internet della Società.
- In data 19 maggio 2021, CDPE, FSIA, Poste Italiane S.p.A. ("Poste Italiane") e PSIA S.r.l. (fusasi per incorporazione, come detto prima, in Poste Italiane con efficacia dal 1° novembre 2022, "PSIA") hanno sottoscritto un accordo di scissione (l'"Accordo di Scissione") volto a disciplinare i termini, le condizioni e le modalità di esecuzione di un'operazione di scissione parziale

non-proporzionale (la "Scissione") di FSIA (società indirettamente controllata da CDPE) che, deteneva una partecipazione rappresentativa del 57,42% del capitale sociale di SIA, da realizzarsi attraverso l'assegnazione di elementi patrimoniali attivi e passivi di FSIA, comprensivi, inter alia, di parte della suddetta partecipazione azionaria detenuta da FSIA in SIA in favore della beneficiaria PSIA, interamente partecipata da Poste Italiane.
L'Accordo di Scissione e la Scissione si inseriscono nell'ambito della Fusione SIA e della Fusione Nets.
In base all'Accordo di Scissione, la Scissione ha acquistato efficacia in un momento immediatamente antecedente il perfezionamento della Fusione SIA, talché PSIA ha ricevuto azioni di Nexi all'efficacia della Fusione SIA.
L'Accordo di Scissione contiene, inter alia, pattuizioni parasociali efficaci dal perfezionamento della Fusione SIA, che rilevano ai sensi dell'art. 122 del TUF e che sono riconducibili alle tipologie di patti parasociali di cui all'art. 122, comma 5, lett. b), TUF, oggetto delle quali sono tutte le partecipazioni in Nexi post Fusione SIA detenute dalle parti dell'Accordo di Scissione, pari a circa il 16,6% del capitale sociale di Nexi. Il patto è stato successivamente modificato per tener conto delle seguenti circostanze: A) in data 2 agosto 2022 è divenuta efficace la fusione per incorporazione di FSIA nella propria controllante CDP Equity Investimenti S.p.A.; B) in data 1° novembre 2022 è divenuta efficace la fusione per incorporazione di PSIA nella propria controllante Poste Italiane. Pertanto, come comunicato in data 13 ottobre 2022 e con efficacia a decorrere dal 1° novembre 2022, Poste Italiane ha aderito al patto parasociale, subentrando in tutti i diritti e gli obblighi precedentemente in capo a PSIA ai sensi del patto parasociale.

In base alle comunicazioni ed alle pubblicazioni ai sensi di legge non risulta l'esistenza di altri patti parasociali di cui all'art. 122 TUF.
Il Presidente invita il Rappresentante Designato a rendere ogni ulteriore dichiarazione richiesta dalla legge, anche in tema di carenza di legittimazione al voto; il Rappresentante Designato non evidenzia alcuna carenza di legittimazione al voto.
Dal momento che la documentazione inerente ai punti all'ordine del giorno è stata oggetto degli adempimenti pubblicitari previsti dalla disciplina applicabile ed è dunque a disposizione di tutti gli intervenuti, se nessuno si oppone, se ne ometterà la lettura, limitando la stessa alle proposte di delibera contenute nelle Relazioni del Consiglio di Amministrazione, ove presenti; nessuno interviene.
Il Presidente informa che le votazioni dell'odierna Assemblea avranno luogo mediante comunicazione orale, da parte del Rappresentante Designato, dei voti dallo stesso espressi sulla base delle istruzioni di voto ricevute.
Il Presidente introduce la trattazione del primo punto all'ordine del giorno (Bilancio d'esercizio).
***
Dà indicazione, in ossequio a quanto richiesto da Consob, del corrispettivo fatturato dalla società di revisione PricewaterhouseCoopers S.p.A. e da altre entità del network PricewaterhouseCoopers per la revisione del bilancio d'esercizio al 31 dicembre 2022 e per le altre attività ricomprese nell'incarico, come segue:
-
revisione contabile della controllante Nexi S.p.A.: Euro 269.000 per la revisione legale del bilancio d'esercizio, la revisione contabile limitata della relazione semestrale, le verifiche periodiche sulla regolare tenuta della contabilità e la revisione del bilancio consolidato svolte dalla società di revisione PricewaterhouseCoopers S.p.A.;
-
revisione contabile delle controllate: Euro 2.715.000 per le attività di revisione legale del bilancio d'esercizio, la revisione

contabile del reporting package annuale e la revisione contabile limitata del reporting package semestrale, svolte da PricewaterhouseCoopers S.p.A. e da altre entità del network PricewaterhouseCoopers.
Il Presidente chiede al Notaio di procedere alla lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione; a tale richiesta aderendo il notaio dà lettura della seguente proposta: "L'Assemblea degli azionisti di Nexi S.p.A.:
- esaminati i dati del bilancio di esercizio al 31 dicembre 2022 con le relative relazioni presentate dal Consiglio di Amministrazione, dal
Collegio Sindacale e dalla Società di revisione legale;
- preso atto del bilancio consolidato al 31 dicembre 2022 con le relative relazioni presentate dal Consiglio di Amministrazione e dalla Società di revisione legale;
- preso atto della Dichiarazione non Finanziaria relativa all'esercizio 2022 predisposta ai sensi del D.Lgs. n. 254/2016,
DELIBERA
1. di approvare il Bilancio d'esercizio di Nexi S.p.A. al 31 dicembre 2022, così come presentato dal Consiglio di Amministrazione nel suo complesso e nelle singole appostazioni;
2. di attribuire a riserva legale il 5% dell'utile d'esercizio pari a Euro 10.448.676 e di riportare a nuovo il residuo utile pari a Euro 199.284.840".
Terminata la lettura della proposta da parte del notaio, il Presidente pone quindi in votazione la proposta di deliberazione sul primo punto all'ordine del giorno di cui è stata data lettura.
Invita il Rappresentante Designato a rendere eventuali dichiarazioni richieste dagli azionisti o, in mancanza, a comunicare i voti dallo stesso espressi sulla base delle istruzioni di voto ricevute.
Nulla comunicando in relazione ad eventuali dichiarazioni rese dagli azionisti, il Rappresentante Designato comunica quindi che la votazione ha evidenziato il seguente risultato:

-
astenute n. 285.673 azioni, pari allo 0,027% del capitale rappresentato in assemblea;
-
contrarie n. 1.935.347 azioni, pari allo 0,185% del capitale rappresentato in assemblea;
-
favorevoli n. 1.045.097.744 azioni, pari al 99,788% del capitale rappresentato in assemblea;
-
nessun non votante.
Quindi il Presidente proclama la proposta di cui è stata data lettura approvata a maggioranza, con i voti oralmente dichiarati dal Rappresentante Designato, restando soddisfatte le disposizioni di legge, cui l'art. 9 dello Statuto sociale rinvia.
Nominativamente i soci favorevoli, contrari ed astenuti, con il relativo numero di azioni possedute e di diritti di voto, risulteranno dal foglio presenze che sarà allegato al verbale della presente riunione e ciò a valere per tutte le votazioni.
Si dà atto che il Rappresentante Designato non ha comunicato di avere espresso voti in difformità dalle istruzioni ricevute né di essere carente di istruzioni di voto per il relativo argomento.
***
Il Presidente passa alla trattazione del secondo punto all'ordine del giorno (Relazione sulla remunerazione).
Segnala che la Relazione sulla politica in materia di remunerazione e sui compensi corrisposti (la "Relazione"), predisposta dal Consiglio di Amministrazione ai sensi dell'art. 123-ter TUF e dell'art. 84-quater del Regolamento Consob n. 11971/1999, secondo lo Schema 7-bis dell'Allegato 3A del medesimo Regolamento, e approvata dallo stesso in data 6 marzo 2023, è stata messa a disposizione del pubblico con le modalità e secondo i termini previsti dalla normativa vigente.
Ricorda che, ai sensi dell'art. 123-ter TUF, la Relazione è articolata in due distinte sezioni:
− la Sezione I contiene l'illustrazione della politica della Società in materia di remunerazione dei componenti del Consiglio di

Amministrazione, del Direttore Generale, dei Dirigenti con responsabilità strategiche e dei componenti del Collegio Sindacale con riferimento all'esercizio 2023, nonché delle procedure utilizzate per l'adozione e l'attuazione di tale politica; tale sezione, ai sensi del combinato disposto dei commi 3-bis e 3 ter dell'art. 123-ter TUF è sottoposta al voto vincolante dell'Assemblea Ordinaria degli Azionisti; e
− la Sezione II contiene l'indicazione dei compensi dei componenti del Consiglio di Amministrazione e del Collegio Sindacale, del Direttore Generale e dei Dirigenti con responsabilità strategiche (per questi ultimi in forma aggregata) relativi all'esercizio 2022; tale sezione, ai sensi del comma 6 dell'art. 123- ter TUF, è sottoposta al voto non vincolante dell'Assemblea Ordinaria degli Azionisti.
In considerazione di quanto precede, in riferimento al presente punto all'ordine del giorno, il Presidente anticipa che si procederà in Assemblea con due distinte e separate votazioni.
Chiede al Notaio di procedere alla lettura della prima proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione; a tale richiesta aderendo il notaio dà lettura della seguente proposta:
"L'Assemblea degli azionisti di Nexi S.p.A.,
- esaminata la Relazione sulla Remunerazione, predisposta dal Consiglio di Amministrazione ai sensi dell'art. 123-ter del TUF e dell'art. 84-quater del Regolamento Emittenti;
- esaminata e discussa, in particolare, la "Sezione I" della Relazione sulla Remunerazione, predisposta ai sensi dell'art. 123-ter, comma 3, del TUF e relativa: (i) alla politica della Società in materia di remunerazione dei componenti del Consiglio di Amministrazione, del Collegio Sindacale, del direttore generale e dei dirigenti con responsabilità strategiche con riferimento all'esercizio 2023; e (ii) alle procedure utilizzate per l'adozione e l'attuazione di tale politica; e

- considerato che, ai sensi dell'art. 123-ter, comma 3-ter, del TUF, l'Assemblea è chiamata ad esprimere un voto vincolante circa la "Sezione I" della Relazione sulla Remunerazione,
DELIBERA
1. di approvare la "Sezione I" della Relazione sulla Remunerazione predisposta ai sensi dell'art. 123-ter, comma 3, del TUF;
2. di conferire al Presidente del Consiglio di Amministrazione e all'Amministratore Delegato, in via disgiunta tra loro, con facoltà di subdelega, ogni più ampio potere necessario od opportuno per dare esecuzione alla delibera che precede, ivi incluso, a titolo meramente esemplificativo e non esaustivo, il potere di dare attuazione alla politica di remunerazione di cui alla predetta "Sezione I".".
Terminata la lettura della proposta da parte del notaio, il Presidente pone quindi in votazione la proposta di deliberazione sulla "Sezione I" della Relazione sulla Remunerazione di cui è stata data lettura.
Invita il Rappresentante Designato a rendere eventuali dichiarazioni richieste dagli azionisti o, in mancanza, a comunicare i voti dallo stesso espressi sulla base delle istruzioni di voto ricevute.
Nulla comunicando in relazione ad eventuali dichiarazioni rese dagli azionisti, il Rappresentante Designato comunica quindi che la votazione ha evidenziato il seguente risultato:
-
astenute n. 24.374 azioni, pari allo 0,002% del capitale rappresentato in assemblea;
-
contrarie n. 152.318.382 azioni, pari al 14,544% del capitale rappresentato in assemblea;
-
favorevoli n. 894.976.008 azioni, pari al 85,454% del capitale rappresentato in assemblea;
-
nessun non votante.
Quindi il Presidente proclama la proposta di cui è stata data lettura approvata a maggioranza, coi voti oralmente dichiarati dal Rappresentante Designato, restando soddisfatte le disposizioni di legge, cui l'art. 9 dello Statuto sociale rinvia.

Si dà atto che il Rappresentante Designato non ha comunicato di avere espresso voti in difformità dalle istruzioni ricevute né di essere carente di istruzioni di voto per il relativo argomento.
***
Quindi il Presidente chiede al Notaio di procedere alla lettura della seconda proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione; a tale richiesta aderendo il notaio dà lettura della seguente proposta:
"L'Assemblea degli azionisti di Nexi S.p.A.:
- esaminata la Relazione sulla Remunerazione, predisposta dal Consiglio di Amministrazione ai sensi dell'art. 123-ter del TUF e dell'art. 84-quater del Regolamento Emittenti;
- esaminata e discussa, in particolare, la "Sezione II" della Relazione sulla Remunerazione, predisposta ai sensi dell'art. 123-ter, comma 4, del TUF, relativa all'informativa annuale circa l'attuazione del sistema di remunerazione ed incentivazione nell'esercizio 2022, inclusiva della rendicontazione dei compensi corrisposti relativi all'esercizio 2022; e
- considerato che, ai sensi dell'art. 123-ter, comma 6, del TUF, l'Assemblea è chiamata ad esprimere un voto non vincolante sulla menzionata "Sezione II" della Relazione sulla Remunerazione,
DELIBERA
1. di prendere atto, in senso favorevole ai sensi dell'art. 123-ter, comma 6, del TUF, della "Sezione II" della Relazione sulla Remunerazione predisposta ai sensi dell'art. 123-ter, comma 4, del TUF.".
Terminata la lettura della proposta da parte del notaio, il Presidente pone quindi in votazione la seconda proposta di deliberazione sul secondo punto all'ordine del giorno di cui è stata data lettura.
Invita il Rappresentante Designato a rendere eventuali dichiarazioni richieste dagli azionisti o, in mancanza, a comunicare i voti dallo stesso espressi sulla base delle istruzioni di voto ricevute.

Nulla comunicando in relazione ad eventuali dichiarazioni rese dagli azionisti, il Rappresentante Designato comunica quindi che la votazione ha evidenziato il seguente risultato:
-
astenute n. 32.752.926 azioni, pari al 3,127% del capitale rappresentato in assemblea;
-
contrarie n. 158.004.180 azioni, pari al 15,087% del capitale rappresentato in assemblea;
-
favorevoli n. 856.561.658 azioni, pari al 81,786% del capitale rappresentato in assemblea;
-
nessun non votante.
Quindi il Presidente proclama la proposta di cui è stata data lettura approvata a maggioranza, coi voti oralmente dichiarati dal Rappresentante Designato, restando soddisfatte le disposizioni di legge, cui l'art. 9 dello Statuto sociale rinvia.
Si dà atto che il Rappresentante Designato non ha comunicato di avere espresso voti in difformità dalle istruzioni ricevute né di essere carente di istruzioni di voto per il relativo argomento.
***
Il Presidente introduce la trattazione del terzo punto all'ordine del giorno (azioni proprie).
Ricorda che l'Assemblea è chiamata altresì, previa revoca dell'autorizzazione conferita dall'Assemblea del 5 maggio 2022 per la porzione rimasta ineseguita, a discutere e deliberare in merito alla proposta di autorizzazione, da conferirsi all'organo amministrativo, ai sensi degli artt. 2357 e 2357-ter del codice civile, 132 TUF e 144-bis del Regolamento Emittenti, per un periodo di 18 mesi (dalla data in cui l'assemblea adotterà la relativa deliberazione), a procedere ad operazioni di acquisto di azioni proprie, nonché a procedere a operazioni di disposizione di azioni proprie di Nexi, ai termini e alle condizioni illustrati nella relazione illustrativa del Consiglio di Amministrazione relativa al punto all'ordine del giorno.

Il Presidente chiede al Notaio di procedere alla lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione; a tale richiesta aderendo il notaio dà lettura della seguente proposta:
"L'Assemblea degli azionisti di Nexi S.p.A.,
- esaminata la relazione del Consiglio di Amministrazione predisposta ai sensi dell'art. 73 nonché dell'Allegato3A, Schema 4, del Regolamento Emittenti;
- preso atto che, alla data della presente riunione assembleare, Nexi S.p.A. detiene 793.254 azioni proprie in portafoglio e che nessuna società da questa controllata detiene azioni di Nexi S.p.A.;
- rilevata l'opportunità di rilasciare un'autorizzazione all'acquisto e disposizione delle azioni proprie che consenta alla Società di effettuare operazioni di acquisto e disposizione di azioni proprie ai fini e con le modalità indicate nella relazione del Consiglio di Amministrazione,
- dato atto che l'autorizzazione a procedere con operazioni di acquisto e disposizione di azioni proprie conferita dall'Assemblea del 5 maggio 2022 è stata solo parzialmente eseguita
DELIBERA
1. di revocare con effetto dalla data odierna l'autorizzazione a procedere con operazioni di acquisto e disposizione di azioni proprie conferita dall'Assemblea del 5 maggio 2022 per la porzione rimasta ineseguita;
2. di autorizzare, ai sensi, per gli effetti e nei limiti dell'art. 2357 del codice civile, l'acquisto, in una o più soluzioni e anche su base rotativa, di un numero massimo di azioni ordinarie Nexi S.p.A. che conduca la Società a detenere, ove la facoltà qui concessa sia esercitata per l'intero entro il termine massimo di seguito indicato, un numero di azioni pari, al massimo - tenuto conto delle azioni di volta in volta detenute in portafoglio dalla Società e dalle società da essa controllate – al 0.3% del capitale sociale pro tempore, nel rispetto di tutti i limiti di legge, per il perseguimento delle finalità di cui alla relazione del Consiglio di Amministrazione ed ai seguenti termini e condizioni:

- le azioni potranno essere acquistate fino alla scadenza del diciottesimo mese a decorrere dalla data della presente deliberazione;
- il corrispettivo unitario per l'acquisto delle azioni sarà stabilito di volta in volta per ciascuna operazione, avuto riguardo alla modalità prescelta ma, in ogni caso, le azioni potranno essere acquistate ad un corrispettivo unitario non inferiore al 10% e non superiore del 10% rispetto al prezzo di riferimento registrato dal titolo nella seduta di Borsa precedente ogni singola operazione di acquisto o nella seduta di Borsa precedente la data di annuncio dell'operazione, a seconda delle modalità tecniche individuate dal Consiglio di Amministrazione e, ove applicabili, nel rispetto dei limiti di prezzo indicati dalla normativa, anche regolamentare, protempore vigente;
- l'acquisto potrà essere effettuato secondo una qualsivoglia delle modalità previste e consentite dalla normativa vigente, e, in particolare, dell'art. 132 TUF e dell'art. 144-bis del Regolamento Emittenti ed eventualmente anche in ottemperanza al Regolamento delegato (UE) n. 1052/2016 e alle prassi di mercato di cui all'art. 13 del Regolamento (UE) n. 596/2014 approvate dalla Consob;
3. di autorizzare, ai sensi e per gli effetti dell'art. 2357-ter del codice civile, il compimento di atti di disposizione, in una o più soluzioni, sulle azioni proprie acquistate ai sensi della presente delibera oppure già detenute dalla Società alla data dell'odierna assemblea, nel rispetto delle disposizioni normative e regolamentari di volta in volta vigenti, per il perseguimento delle finalità di cui alla relazione del Consiglio di Amministrazione ed ai seguenti termini e condizioni:
- le azioni potranno essere alienate o altrimenti cedute in qualsiasi momento senza limiti temporali;
- le operazioni di disposizione potranno essere effettuate anche prima di avere esaurito gli acquisti e potranno avvenire in una o più volte mediante vendita da effettuarsi sul mercato, o fuori mercato o ai blocchi e/o mediante cessione a favore di amministratori, dipendenti e/o collaboratori della Società e/o di società da essa controllate, in
21

attuazione di piani di incentivazione e/o mediante altro atto di disposizione, nell'ambito di operazioni in relazione alle quali si renda opportuno procedere allo scambio o alla cessione di pacchetti azionari, anche mediante permuta o conferimento, oppure, infine, in occasione di operazioni sul capitale che implichino l'assegnazione o disposizione di azioni proprie;
- gli atti di disposizione e/o utilizzo delle azioni proprie in portafoglio o acquistate in base all'autorizzazione dell'Assemblea dei soci saranno effettuati con le modalità di seguito precisate: (i) ove le azioni proprie siano oggetto di vendita, scambio, permuta, conferimento o altro atto di disposizione, per acquisizioni di partecipazioni e/o immobili e/o la conclusione di accordi (anche commerciali) con partner strategici, e/o per la realizzazione di progetti industriali o operazioni di finanza straordinaria o al servizio di operazioni sul capitale o altre operazioni societarie e/o finanziarie e/o di finanziamento a un prezzo stabilito di volta in volta dal Consiglio di Amministrazione in relazione a criteri di opportunità, fermo restando che tale prezzo dovrà ottimizzare gli effetti economici sulla Società; (ii) nell'ambito di piani di incentivazione azionaria, con le modalità e i termini indicati nei regolamenti dei piani medesimi; e (iii) in tutti gli altri casi, secondo il prezzo di volta in volta determinato dal Consiglio di Amministrazione nel migliore interesse della Società e, in ogni caso, nel rispetto della normativa, anche regolamentare, pro-tempore vigente;
4. di conferire al Consiglio di Amministrazione, con espressa facoltà di delega, ogni più ampio potere necessario od opportuno per dare esecuzione alle delibere che precedono, ivi incluso, a titolo meramente esemplificativo e non esaustivo, il potere di approvare ogni e qualsiasi disposizione esecutiva del relativo programma di acquisto.".
Terminata la lettura della proposta da parte del notaio, il Presidente pone quindi in votazione la proposta di deliberazione sul terzo punto all'ordine del giorno, di cui è stata data lettura.

Invita il Rappresentante Designato a rendere eventuali dichiarazioni richieste dagli azionisti o, in mancanza, a comunicare i voti dallo stesso espressi sulla base delle istruzioni di voto ricevute.
Nulla riferendo in relazione ad eventuali dichiarazioni rese dagli azionisti, il Rappresentante Designato ha comunicato che la votazione ha evidenziato il seguente risultato:
-
astenute n. 11.182 azioni, pari allo 0,001% del capitale rappresentato in assemblea;
-
contrarie n. 278.031 azioni, pari allo 0,027% del capitale rappresentato in assemblea;
-
favorevoli n. 1.047.029.551 azioni, pari al 99,972% del capitale rappresentato in assemblea;
-
nessun non votante.
Quindi il Presidente proclama la proposta di cui è stata data lettura approvata a maggioranza, coi voti oralmente dichiarati dal Rappresentante Designato, restando soddisfatte le disposizioni di legge, cui l'art. 9 dello Statuto sociale rinvia.
Si dà atto che il Rappresentante Designato non ha comunicato di avere espresso voti in difformità dalle istruzioni ricevute né di essere carente di istruzioni di voto per il relativo argomento.
***
Il Presidente introduce la trattazione del quarto punto all'ordine del giorno (conferma della cooptazione).
Ricorda che l'Assemblea è chiamata a deliberare anche in merito alla nomina di un Amministratore per integrazione del Consiglio di Amministrazione della Società a seguito di cooptazione. A tal riguardo, ricorda che – a seguito delle dimissioni, dovute a sopraggiunti impegni professionali, presentate dal Consigliere Stefan Goetz con efficacia a partire dal 26 gennaio 2023 – il Consiglio di Amministrazione ha provveduto, in pari data, a cooptare, con deliberazione approvata anche dal Collegio Sindacale della Società, il dottor Johannes Korp nella carica

di amministratore ai sensi dell'art. 2386, comma 1, del codice civile e dell'art. 15 dello Statuto della Società.
Il Presidente chiede al Notaio di procedere alla lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione; a tale richiesta aderendo il notaio dà lettura della seguente proposta:
"L'Assemblea degli azionisti di Nexi S.p.A.,
- esaminata la relazione del Consiglio di Amministrazione predisposta ai sensi dell'art. 125-ter del TUF (Decreto 58/1998);
DELIBERA
1. di nominare amministratore di Nexi S.p.A. Johannes Korp, nato a Graz il giorno 28 novembre 1984, prevedendo che lo stesso rimanga in carica per il restante periodo del mandato in corso, e dunque, fino alla data dell'Assemblea convocata per l'approvazione del bilancio d'esercizio al 31 dicembre 2024;
2. di stabilire che il compenso del dott. Johannes Korp sia pari a quello deliberato per gli altri amministratori attualmente in carica dall'Assemblea del 5 maggio 2022 e dunque di Euro 70.000,00 annui, oltre al rimborso delle spese sostenute per l'esercizio delle relative funzioni, restando esclusi dal predetto importo i compensi derivanti dall'assunzione di particolari cariche e per la partecipazione a comitati endoconsiliari.".
Al termine della lettura da parte del notaio, il Presidente dichiara che il nominato amministratore ha già attestato l'inesistenza, a proprio carico, di cause di ineleggibilità previste dall'articolo 2382 del Codice Civile e di interdizioni dall'ufficio di amministratore adottate nei suoi confronti in uno Stato membro dell'Unione Europea.
Il Presidente pone quindi in votazione la proposta di deliberazione sul quarto punto all'ordine del giorno di cui è stata data precedentemente lettura.
Invita il Rappresentante Designato a rendere eventuali dichiarazioni richieste dagli azionisti o, in mancanza, a comunicare i voti dallo stesso espressi sulla base delle istruzioni di voto ricevute.

Nulla riferendo in relazione ad eventuali dichiarazioni rese dagli azionisti, il Rappresentante Designato comunica di avere istruzioni per tutte le azioni per le quali ha ricevuto delega e che la votazione ha evidenziato il seguente risultato:
-
astenute n. 11.182 azioni, pari allo 0,001% del capitale rappresentato in assemblea;
-
contrarie n. 3.065.196 azioni, pari allo 0,293% del capitale rappresentato in assemblea;
-
favorevoli n. 1.044.242.386 azioni, pari al 99,706% del capitale rappresentato in assemblea;
-
nessun non votante.
Quindi il Presidente proclama la proposta di cui è stata data lettura approvata a maggioranza, coi voti oralmente dichiarati dal Rappresentante Designato, restando soddisfatte le disposizioni di legge, cui l'art. 9 dello Statuto sociale rinvia.
Si dà atto che il Rappresentante Designato non ha comunicato di avere espresso voti in difformità dalle istruzioni ricevute.
****
Quindi alle ore 10 e 43 minuti, il Presidente ringrazia gli intervenuti e dichiara chiusa la riunione.".
*****
In sede di sottoscrizione del presente verbale si riportano di seguito, al fine di effettuare la conseguente pubblicità, i dati del consigliere Johannes Korp, eletto dall'assemblea:
Johannes Korp, nato a Graz (Austria) il giorno 28 novembre 1984, codice fiscale KRP JNN 84S28 Z102U, cittadino austriaco, domiciliato per la carica presso la sede della Società.
***
Si allega al presente verbale:
- sotto la lettera "A", in unico plico, i fogli presenze ed i dati relativi agli esiti delle votazioni.

Il presente
verbale viene da me notaio sottoscritto alle ore 10 e 57 di questo giorno diciannove maggio duemilaventitre.
Scritto
con sistema elettronico da persona di mia fiducia e da me notaio completato a mano, consta il presente atto di tredici fogli ed occupa ventisei pagine sin qui.
Firmato Filippo Zabban
Assemblea ordinaria 04 maggio 2023 NEXI
Comunicazione del Presidente
| Sono presenti n. | 1.795 | aventi dirito partecipanti all'Assemblea per il tramite dei Kappresentante Designato. | |
|---|---|---|---|
| per complessive n. | 1.047.318.764 azioni ordinarie, regolarmente aepositate ed aventi alimo, | ||
| cne rappresentano il | 79.848% | di n. 1.311.638,938 azioni ordinarie costituenti il capitale sociale, |
Allegato "
in data………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………………


SPAZIO ANNULLATO

NEXI Assemblea ordinaria 04 maggio 2023
Elenco dei censiti partecipanti all'assemblea per il tramite del Rappresentante Designato nella persona della Dott.ssa Claudia Ambrosini
| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| 1895 FONDS FGR | 166.197 | 0,013% | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 684 | 0,000% | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 1.328 | 0.000% | |
| 3 BANKEN-GENERALI GH STOCK | 21.300 | 0,002% | |
| 3 BANKEN-GENERALI GL STOCK | 202.200 | 0,015% | |
| 3 BANKEN-GENERALI GNL STOCK | 83.200 | 0,006% | |
| 801 INVESTMENTS LLC | 483 | 0,000% | |
| AA SSGA Actions Indice Euro | 90.849 | 0,007% | |
| AB Europe (Luxembourg) Investment S.a r.l. | 52.678.731 | 4,016% | |
| AB SICAV III-DYN ALL MKT PORTF | 1.567 | 0,000% | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | 1.623 | 0,000% | |
| LOCATION PORTFOLIO | |||
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 6.113 | 0,000% | |
| ABB PENSION FUND | 1 .006 | 0,000% | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY | 29.562 | 0,002% | |
| TRACKER FUND | |||
| ABN AMRO FUNDS | 9.586 | 0,001% | |
| ACOMEA EUROPA | 81.000 | 0,006% | |
| ACOMEA GLOBALE GLOBALE | 32.000 | 0,002% | |
| ACOMEA ITALIA | 150.000 | 0,011% | |
| ACOMEA MULTI FUND - PATRIMONIO AGGRESSIVO | 20.000 | 0,002% | |
| ACOMEA SGR MULTIFUND PATRIMONIODINAMICO | 17.000 | 0,001% | |
| ACS 30:70 GLOBAL EQUITY TRACKER FUND | 1.138 | 0,000% | |
| ACTIAM BF ASIFEW | 2.257 | 0,000% | |
| ACTIAM Duurzaam Index Aandelenfonds Europa | 80.916 | 0.006% | |
| ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 18.166 | 0,001% | |
| ACTIAM Sustainable Index Fund Equity Europe | 10.779 | 0.001% | |
| ADASINA SOCIAL JUSTICE ALL CAP GLOBAL ETF | 7.194 | 0,001% | |
| ADVANCE PLANNING LIMITED | 2.089 | 0,000% | |
| ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 1.567 | 0,000% | |
| AEGON CUSTODY B.V | 6.032 | 0,000% | |
| AEGON CUSTODY B.V. | 133.041 | 0,010% | |
| AIB GROUP IRISH PENSION SCHEME | 18.929 | 0,001% | |
| ALASKA COMMON TRUST FUND | 19.353 | 0,001% | |
| ALASKA PERMANENT FUND CORPORATION | 6.976 | 0,001% | |
| ALBERTA INVESTMENT MANAGEMENT CORPORATION | 57.200 | 0,004% | |
| ALJACK2 | 17.000 | 0,001% | |
| ALLEANZA ASSICURAZIONI SPA | 984.103 | 0,075% | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 420.000 | 0,032% | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 1.062.586 | 0,081% | |
| ALLIANZ GLOBAL INVESTORS FUND | 644.378 | 0,049% |

| Anagrafica | CF/Pl | Azıoni | % sul C.S. |
|---|---|---|---|
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 6.135 | 0,000% | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | રેરિકેટર્સ્ડિ | 0,000% | |
| AMUNDI TRANSMISSION ACTIONS | 3.616 | 0,000% | |
| AP ACTIONS 1 EURO | 24.175 | 0,002% | |
| ARGENTA-FUND FINANCE DYNAMIC | 318.159 | 0,024% | |
| ARIZONA PSPRS TRUST | 90.115 | 0,007% | |
| ARIZONA STATE RETIREMENT SYSTEM | 162.447 | 0,012% | |
| ARRCO QUANT 1 | 55.476 | 0,004% | |
| ASIAN DEVELOPMENT BANK | 286 | 0,000% | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 24.969 | 0,002% | |
| ASSICURAZIONI GENERALI SPA | 2.496 | 0,000% | |
| ASSURDIX | 64.034 | 0,005% | |
| ATCP-UI-FONDS | 2.298 | 0,000% | |
| AURION GLOBAL EQUITY FUND | 1.946 | 0,000% | |
| AUSTRALIAN CAPITAL TERRITORY | 11.451 | 0,001% | |
| AUSTRALIAN RETIREMENT TRUST | 382.064 | 0,029% | |
| AUSTRALIANSUPER | 3.371 | 0,000% | |
| AVALON PORTFOLIO II LLC | 1.581 | 0,000% | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | |||
| INTERNATIONAL INDEX TRACKING FUND | 11.529 | 0,001% | |
| Aviva Investors Passive Funds ACS - Al 30:70 Global Equity (Currency | 5.531 | 0,000% | |
| Hedged) Index Fund | |||
| Aviva Investors Passive Funds ACS - Al 50:50 Global Equity Index Fund | 60.344 | 0,005% | |
| Aviva Investors Passive Funds ACS - Al 60:40 Global Equity Index Fund | 24.203 | 0,002% | |
| Aviva Investors Passive Funds ACS - Al Continental European Equity Index Fund |
96.752 | 0,007% | |
| Aviva Investors Passive Funds ACS - Al Developed European ex UK Equity Index Fund |
113.221 | 0,009% | |
| Aviva Investors Passive Funds ACS - Al Developed World ex UK Equity Index Fund |
37.896 | 0.003% | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND I |
733 | 0,000% | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND II |
3.568 | 0.000% | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND III |
2.878 | 0,000% | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND IV |
2.260 | 0,000% | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- | 1.279 | 0,000% | |
| ASSET CORE FUND V | 86.285 | 0,007% | |
| Aviva Investors UK Fund Services Limited | 42.739 | 0,003% | |
| AVIVA LIFE & PENSIONS IRELAND DAC | |||
| AVIVA LIFE & PENSIONS UK LIMITED | 1.098.996 | 0,084% | |
| AWARE SUPER | 2.421 | 0,000% | |
| AXA AA DIVERSIFIE INDICIEL 1 | 35.816 | 0,003% | |
| AXA EURO VALEURS RESPONSABLES | 453.000 | 0,035% | |
| AXA IM EQUITY TRUST | 144.000 | 0.01 1% | |
| AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - ECONOMIC |
228.383 | 0,017% | |
| AXA Investment Managers UK Limited | 184.722 | 0,014% | |
| JAXA MPS FINANCIAL DESIGNATED ACTIVITY CO | 660.000 | 0,050% | |
| AXA VALEURS EURO | 275.000 | 0,021% | |
| AXA Vorsorge Fonds II Equities Global Markets Credit Suisse Funds AG | 25.187 | 0,002% | |
| AXA WORLD FUNDS | 2.810.000 | 0,214% | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 844.200 | 0,064% | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 37.000 | 0,003% | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 675.500 | 0.082% | |
| AZ FUND 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES | 278.010 | 0,021% | |

| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 99.000 | 0,008% | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 661.500 | 0.050% | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 14.213 | 0,001% | |
| AZL INTERNATIONAL INDEX FUND | 44.818 | 0,003% | |
| IB BENZEKRI FUND | 11.400 | 0,001% | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 10.622 | 0,001% | |
| BANCOPOSTA EQUITY ALL COUNTRY | 2.204 | 0,000% | |
| BANK OF BOTSWANA. | 3.265 | 0,000% | |
| BANK OF KOREA | 2.851 | 0,000% | |
| BANSABADELL 18 FP | 2.196 | 0,000% | |
| BASSWOOD INTERNATIONAL FUND LP | 23.075 | 0,002% | |
| JBASSWOOD INTERNATIONAL FUND LTD. C/O IMS FUND SERVICES | 10.447 | 0,001% | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LP. | 3.090 | 0,000% | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LTD. C/O | 9.971 | 0,001% | |
| INTERNATIONAL MGMT. SERVICES LTD. | |||
| BATI ACTION OPTIMUM | 175.000 | 0,013% | |
| BBH (LUX) SCA CUSTODIAN FOR FIDELITY ACTIVE STRATEGY EUROPE FUND |
1.600.274 | 0,122% | |
| IBCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 4.703 | 0,000% | |
| BDF FONDS E ACTIONS EUROPEENNES | 36.090 | 0,003% | |
| BEAT DRUGS FUND ASSOCIATION | 548 | 0,000% | |
| BEL EQUITY EUROPE ESG | 125.798 | 0,010% | |
| BELLSOUTH CORP RFA VEBA TRUST | 8.303 | 0,001% | |
| BERESFORD FUNDS ICAV | 1.627 | 0,000% | |
| BEST BUSINESS MODELS SKI | 2.400.000 | 0,183% | |
| Best Investment Corporation | 3.907 | 0,000% | |
| BESTSELECT - UBS SRI GLOBAL EQUITY | 4.402 | 0,000% | |
| BETAMAX EUROPE | 7.101 | 0,001% | |
| BFT EURO FUTUR ISR | 57.000 | 0,004% | |
| BG MASTER FUND ICAV. | 119.143 | 0,009% | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREE |
17.503 | 0,001% | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 77.982 | 0,006% | |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 10.530 | 0,001% | |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 234.113 | 0,018% | |
| BLACKROCK CDN WORLD INDEX FUND | 34.116 | 0,003% | |
| BLACKROCK FUND MANAGERS LTD | 46.141 | 0,004% | |
| BLACKROCK FUNDS I ICAV | 6.095 | 0,000% | |
| BLACKROCK FUTURE FINANCIAL AND TECHNOLOGY ETF | 12.949 | 0,001% | |
| BLACKROCK GLOBAL FUNDS | 234.661 | 0,018% | |
| BLACKROCK GLOBAL INDEX FUNDS | 33.336 | 0,003% | |
| BLACKROCK INDEX SELECTION FUND | 180.267 | 0,014% | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 63.968 | 0,005% | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | 34.315 | 0,003% | |
| FUNDFOR EMPLOYEE BENEFIT TRUSTS | |||
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
4.494.237 | 0,343% | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. |
7.615 | 0,001% | |
| BLACKROCK LIFE LIMITED | 16.576 | 0,001% | |
| BLACKROCK LIFE LTD | 59.693 | 0,005% | |
| BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK | 7.261 | 0,001% | |
| VARIABLE SERIES FUNDS, INC. BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B |
132.675 | 0,010% | |
| BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 61.287 | 0,005% | |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND LIMITED |
79.228 | 0,006% | |
| BLACKWELL PARTNERS LLC - SERIE E C/O CORPORATION SERVICE COMPANY |
14.171 | 0,001% |

| Anagrafica | CF/Pl | Azioni | % sul C.S. |
|---|---|---|---|
| BMO MSCI EAFE ESG LEADERS INDEXETF | 4.179 | 0,000% | |
| BMO MSCI EAFE INDEX ETF | 226.369 | 0.017% | |
| BMO MSCI FINTECH INNOVATION INDEX ETF | 1.130 | 0,000% | |
| BMO MSCI INNOVATION INDEX ETF | 1.042 | 0,000% | |
| BMO MSCI NEXT GEN INTERNET INNOVATION INDEX ETF | 270 | 0,000% | |
| BNP PARIBAS ACTIONS PME ETI ISR | 629.075 | 0,048% | |
| BNP PARIBAS ACTIONS PME ISR | 507.108 | 0,039% | |
| BNP PARIBAS EASY - ESG EUROZONE BIODIVERSITY LEADERS PAB | 40.408 | 0,003% | |
| BNP PARIBAS EASY - ESG QUALITY EUROPE | 323.657 | ||
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 69.112 | 0,025% | |
| BNP PARIBAS EASY - MSCI WORLD ESG FILTERED MIN TE | 1.217 | 0,005% | |
| BNP PARIBAS FUNDS - EUROPE GROWTH | 184.417 | 0,000% | |
| BNP PARIBAS TECHNOLOGIES EUROPE ISR | 0,014% | ||
| BNP PARIBAS VALEURS EURO ISR | 332.139 | 0,025% | |
| BNP S BETA/LOT133/FRR10E | 544.506 | 0,042% | |
| 773.032 | 0,059% | ||
| BNY MELLON INTERNATIONAL EQUITY ETF | 24.813 | 0,002% | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 14.148 | 0,001% | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 5.191 | 0,000% | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 26.630 | 0,002% | |
| BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 11.669 | 0,001% | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA |
2 | 0,000% | |
| BOC PRUDENTIAL EUROPEAN EQUITY FUND | 10.897 | 0,001% | |
| 180C PRUDENTIAL EUROPEAN INDEX FUND | 46.435 | 0,004% | |
| BOC PRUDENTIAL GLOBAL EQUITY FUND | 19.187 | 0,001% | |
| BRIDGE BUILDER INT EQUITY FUND | 30.000 | 0,002% | |
| BRIDGE BUILDER TAX MNG INT EQ | 2.877 | 0,000% | |
| BRIDGEWATER PURE ALPHA EURO FUND LTD | 771 | 0,000% | |
| BRIDGEWATER PURE ALPHA FUND III, LTD. | 7.276 | 0,001% | |
| BRIDGEWATER PURE ALPHA STERLING FUND LTD | 2.100 | 0,000% | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY II LTD. | 112.739 | 0,009% | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY LTD | 12.068 | 0,001% | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | 78.525 | 0,006% | |
| PORTFOLIO BRIGHTHOUSE FUNDS TRUST III METLIFE MSCI EAFE INDEX PORTFOLIO |
32.431 | 0,002% | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 1.645 | 0.000% | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 9.460 | 0,001% | |
| BS PENTAPENSION EMPRESA | 1 .520 | 0,000% | |
| BT INTERNATIONAL SHARES INDEX FUND | 35.914 | 0,003% | |
| BUMA-UNIVERSAL-FONDS I | 58.288 | 0,004% | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 8.041 | 0,001% | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 14.441 | 0,001% | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 16.613 | 0,001% | |
| 8.491 | 0,001% | ||
| BW DMO FUND, LTD | 399 | 0,000% | |
| BW PASPG LTD BWM PA 24 LTD |
2.843 | 0,000% | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 536.239 | 0,041% | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 1.007 | 0,000% | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 27.214 | 0,002% | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 4.21 1 | 0,000% | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 333.485 | 0,025% | |
| CAPULA TAIL RISK MASTER FUND LIMITED | 563 | 0,000% | |
| 51.619 | 0,004% | ||
| CARBP DIVERSIFIE ACTION EURO CARPIMKO ACTIONS LO |
500.000 | 0,038% | |
| CARROLL AVENUE PARTNERS LLC | 203 | 0,000% | |
| CATERPILLAR INC. GROUP INSURANCE PLAN TRUST. | 33.787 | 0,003% | |
| CATERPILLAR INC. MASTER RETIREMENT TRUST | 262.331 | 0,020% | |
| CATERPILLAR INVESTMENT TRUST. | 252.161 | 0.019% | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 3.564 | 0,000% | |

| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 2.628 | 0,000% | |
| CDC CROISSANCE | 278.908 | 0,021% | |
| CDP EQUITY INVESTIMENTI SPA | 108.542.556 | 8,275% | |
| CDP EQUITY SPA | 69.401.443 | 5,291% | |
| CENTRAL PROVIDENT FUND BOARD | 1.439 | 0,000% | |
| CERVURITE INTERNATIONAL LLC | 32.846 | 0,003% | |
| CFSIL RE CNEALTH GS FD 16 | 7.144 | 0,001% | |
| CHEVRON UK PENSION PLAN | 2.607 | 0,000% | |
| CHINA LIFE INSURANCE COMPANY LIMITED | 8.388 | 0,001% | |
| CIBC EUROPEAN INDEX FUND | 2.636 | 0,000% | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 1.096 | 0,000% | |
| CIBC INTERNATIONAL EQUITY INDEXPOOL | રી । | 0,000% | |
| CIBC INTERNATIONAL INDEX FUND | 28.280 | 0,002% | |
| CINDY SPRINGS LLC. | 50.181 | 0,004% | |
| CITITRUST LIMITED | 24.947 | 0,002% | |
| Cititrust Limited as TRUSTEE OF BLACKROCK PREMIER FUNDS- | |||
| BLACKROCK WORLD EQUITY INDEX FUND | 5.012 | 0,000% | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 50.716 | 0,004% | |
| CITY OF NEW YORK GROUP TRUST | 129.153 | 0,010% | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 34.216 | 0,003% | |
| CITY UNIVERSITY OF NEW YORK | 708 | 0,000% | |
| Civil Service Employees Pension Fund | 4.991 | 0,000% | |
| CLAY FUNDS - CLAY EUROPEAN MULTI ASSETS | 25.000 | 0,002% | |
| CLAY FUNDS - CLAY EUROPEAN MULTI CAPS | 54.000 | 0,004% | |
| CLBRM LIQUID FUNDS - GLOBAL MACRO | 530.242 | 0,040% | |
| CLEOME INDEX - EMU EQUITIES | 10.521 | 0,001% | |
| CLEOME INDEX - EUROPE EQUITIES | 36.050 | 0,003% | |
| CM-AM ENTREPRENEURS EUROPE | 1.080.000 | 0,082% | |
| CM-AM EURO EQUITIES | 1.270.000 | 0,097% | |
| CM-AM EUROPE GROWTH | 3.000.000 | 0,229% | |
| CM-AM GLOBAL CITY ZEN | 17.661 | 0,001% | |
| CMLA INDEXED GLOBAL SHARE FUND | 2,025 | 0,000% | |
| CNP Actions Europe Amundi | 504.616 | 0,038% | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.016 | 0,000% | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND. | 26.997 | 0,002% | |
| COLUMBIA ACORN EUROPEAN FUND | 155.241 | 0,012% | |
| COLUMBIA ACORN INTERNATIONAL | 1.574.414 | 0,120% | |
| COLUMBIA ACORN INTERNATIONAL SELECT | 527.233 | 0,040% | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. |
301.832 | 0,023% | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 12.568 | 0,001% | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES | |||
| RETIR | 93.334 | 0,007% | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT ર્ટ્રરિ |
4.062 | 0.000% | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYSTEM |
29 1.051 | 0.022% | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA |
166.743 | 0,013% | |
| COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, F.P | 1.090 | 0,000% | |
| CONCORDE 96 (ACTION EURO) | 23.796 | 0,002% | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 9.971 | 0,001% | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 178 | 0,000% | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 13.323 | 0,001% | |
| CONSTELLATION FITZPATRICK QUALIFIED FUND | 2.730 | 0,000% | |
| CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 432 | 0,000% | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 1.447 | 0,000% |

| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 4.831 | 0,000% | |
| COUNTY OF SANTA CLARA | 19.500 | 0,001% | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 7.060 | 0,001% | |
| CPR EUROLAND PREMIUM ESG | 26.069 | 0,002% | |
| CPR Invest - European Strategic Autonomy | 74.007 | 0,006% | |
| CREDIT SUISSE FUNDS AG | 22.113 | 0,002% | |
| CREDIT SUISSE INDEX FUND (IE) ETF ICAV | 18.709 | 0,001% | |
| CREDIT SUISSE INDEX FUND (LUX) | 611.003 | 0,047% | |
| CRELAN INVEST BALANCED | 20.425 | 0,002% | |
| CRELAN INVEST CONSERVATIVE | 2.613 | 0,000% | |
| CRELAN INVEST DYNAMIC | 8.491 | 0,001% | |
| CROWN SIGMA UCITS PLC - LGT CROWN LIQUID PRIVATE EQUITY OPPO | 1.520.000 | 0,116% | |
| CSAA INSURANCE EXCHANGE | 2.745 | 0,000% | |
| CSIF 2 Credit Suisse Lux Italy Equity Fund | 17.504 | 0,001% | |
| CSIF 2 Credit Suisse Lux Small Mid Cap Alpha Long Short Fund | 212,844 | 0,016% | |
| CSIF CH Equity EMU Credit Suisse Funds AG | 37.814 | 0,003% | |
| CSIF CH III Equity World ex CH Value Weighted Pension Fund Credit Suisse Funds AG |
1.724 | 0,000% | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 |
8.116 | 0,001% | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATI |
83.576 | 0,006% | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR SMIB INVESCO GLOBAL ESG INSIGHT INDEX |
1.341 | 0,000% | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) |
6.511 | 0,000% | |
| D A S DIFESA AUTOMOBILISTICA SINISTRI SPA DI ASSICURAZIONE | 5.472 | 0,000% | |
| DANMARKS GRUNDFORSKNINGFOND | 1.569 | 0,000% | |
| DEAM FONDS ATZM | 9.000 | 0,001% | |
| DEAM FONDS ZDV | 7.090 | 0,001% | |
| DEAM-FONDS CPT | 5.167 | 0,000% | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 2.396 | 0,000% | |
| DESJARDINS SECURITE FINANCIERE COMPAGNIE D'ASSURANCE VIE | 2.566 | 0,000% | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 4.856 | 0,000% | |
| DEUTSCHE DCG EQ | 2.210 | 0,000% | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 1.775 | 0,000% | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 1.160 | 0,000% | |
| DIGNITY PRE ARRANGEMENT LIMITED | 3.069 | 0,000% | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 2.530 | 0,000% | |
| DIMENSIONAL INTERNATIONAL VALUE ETF OF DIMENSIONAL ETF TRUST | 1.305 | 0,000% | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 486 | 0,000% | |
| DIVERSIFIED EQUITY MASTER PORTFOLIO OF MASTER INV PORTFOLIO | 7.928 | 0,001% | |
| DNCA SRI EURO QUALITY | 1.024.648 | 0.078% | |
| DORVAL MANAGEURS SMID CAP EURO | 47.900 | 0,004% | |
| DS LIQUID DIV RVA MEL LEC | 3.988 | 0,000% | |
| DSM ALL WORLD GROWTH TRUST | 69.900 | 0,005% | |
| IDSM ALL WORLD GROWTH TRUST - INTERNATIONAL GROWTH. | 14.010 | 0,001% | |
| DSM CAPITAL PARTNERS FUNDS | 193.000 | 0,015% | |
| DSM GLOBAL GROWTH EQUITY FUND | 5.138 | 0,000% | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 13.862 | 0,001% | |
| DWS INVEST | 1.187.345 | 0,091% | |
| DWS INVESTMENT GMBH FOR DEAM FONDS PMC 1 | 25.000 | 0,002% | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 5.874 | 0,000% | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 3.128 | 0,000% | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 13.664 | 0,001% |
7/26


| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND |
5.143 | 0,000% | |
| FAMILY INVESTMENTS GLOBAL ICVC ONEFAMILY GLOBAL EQUITY FUND | 371 | 0,000% | |
| FC CARPIMKO (ACTIONS EURO) | 88.123 | 0,007% | |
| FCP ARRCO LONG TERME D | 108.767 | 0,008% | |
| FCP ECUREUIL RETRAITE EURO ACTIONS 4 | 150.000 | 0,011% | |
| FCP FOND MEDERIC ALZHEIMER AMU | 3.599 | 0,000% | |
| FCP KLESIA K RETRAITE EURO | 183.533 | 0,014% | |
| FCP sodium I | 28.160 | 0,002% | |
| FCP VILLIERS ALLEGRO | 203.365 | 0,016% | |
| FCPE EVOLUTIS | 136.270 | 0,010% | |
| FEDERATED HERMES INTERNATIONAL LEADERS FUND | 1.988.900 | 0,152% | |
| FEDERATED HERMES INTERNATIONAL SMALL MID COMPANY FUND | 160.000 | 0,012% | |
| FEDERATED UNIT TRUST | 606.397 | 0,046% | |
| FGV ACTIONS EUROPE LM A | 1 .49 1 | 0,001% | |
| FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 28:358 | 0,002% | |
| FIDELCOMISO FONDO DE AHORRO DE PANAMA | 3.936 | 0,000% | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 1.521.380 | 0,116% | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND |
12.410 | 0,001% | |
| FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
105.761 | 0,008% | |
| FIDELITY COVINGTON TRUST FIDELITY CRYPTO INDUSTRY AND DIGITAL PAYMENTS ETF |
60.786 | 0,005% | |
| FIDELITY FUNDS - EUROPEAN DYNAMIC GROWTH POOL | 6.687.166 | 0,510% | |
| FIDELITY FUNDS - ITALY POOL | 1.066.058 | 0,081% | |
| FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 132 | 0,000% | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 48.034 | 0,004% | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 57.444 | 0,004% | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 135.441 | 0,010% | |
| FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 36.507 | 0,003% | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 225.399 | 0,017% | |
| FIDELITY SALEM STREET TRUST: FIDELITY INTERNATIONAL SUSTAINABILITY IND EX FUND |
18.641 | 0,001% | |
| FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND |
1.234.127 | 0,094% | |
| FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND |
852.658 | 0.065% | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
202.128 | 0,015% | |
| FIDELITY TOTAL METAVERSE INDEX ETF | 2.539 | 0,000% | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 1.919 | 0,000% | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 4.413 | 0,000% | |
| FII HOLDINGS, INC. | 878 | 0,000% | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 522 | 0,000% | |
| FIRST CHURCH OF CHRIST SCIENTIST | 50.154 | 0,004% | |
| FIRST SUPER | 41.328 | 0,003% | |
| FISCHER FAMILY TRUST | 1.131 - |
0,000% 0,000% |
|
| FJARDE AP-FONDEN. IFLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT |
|||
| INDEX FUND | 15.170 | 0,001% | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 2.208 | 0,000% | |
| FLORIDA GLOBAL EQUITY FUND LLC | 11.144 | 0,001% | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 29.996 | 0,002% | |
| FLOURISH INVESTMENT CORPORATION FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY |
31.163 3.987 |
0,002% 0,000% |
|
| 38.491 | 0,003% | ||
| FONDATION BOTNAR |
9/26

| Anagratica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | l | 0,000% | |
| FONDO NAZIONALE PENSIONE COMPLEMENTARE COMETA | 10.171 | 0,001% | |
| FONDS OBJECTIF CLIMAT ACTIONS | 105.087 | 0,008% | |
| FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 2.013 | 0,000% | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 6.502 | 0,000% | |
| FORD PENSION UNIVERSAL | 10.325 | 0,001% | |
| FORDHAM UNIVERSITY | 2.328 | 0,000% | |
| FOREIGN STOCK INDEX MOTHER FUND | 25.005 | 0,002% | |
| FOREST FOUNDATION | 299 | 0,000% | |
| FORSTA AP - FONDEN | 104.598 | 0,008% | |
| FOVERUKA PENSION UNIVERSAL | 24.836 | 0,002% | |
| FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 123.572 | 0,009% | |
| FRANCE PLACEMENT EURO ESG PLUS | 240.198 | 0.018% | |
| FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 4.988 | 0,000% | |
| FRANKLIN LIBERTYSHARES ICAV | 9.540 | 0,001% | |
| IFRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 5.859 | 0,000% | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FISE EUROPE HEDGED ETF | 804 | 0,000% | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 9.252 | 0,001% | |
| FUNDACAO CALOUSTE GULBENKIAN | 5.770 | 0,000% | |
| FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU |
23.754 | 0,002% | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F | 272.488 | 0,021% | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. |
5.914 | 0,000% | |
| G FUND OPPORTUNITIES EUROPE | 630.000 | 0,048% | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 16.001 | 0,001% | |
| GAM INVESTMENT MANAGEMENT (SWITZERLAND) AG | 5.883 | 0,000% | |
| GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 2.385 | 0,000% | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 565.607 | 0,043% | |
| GENERALI ESPANA S A DE SEGUROS Y REASEGUROS | 32.57 I | 0,002% | |
| GENERALI GLOBAL - FONDO PENSIONE APERTO A CONTRIBUZIONE DEFINITA |
201.401 | 0,015% | |
| GENERALI ITALIA SPA | 1.862.973 | 0,142% | |
| GENERALI REVENUS | 84.201 | ||
| GENERALI SMART FUNDS | 65.000 | 0,006% | |
| GENERALI VIE | 0,005% | ||
| GENERTEL SPA | 951.834 | 0,073% | |
| GENERTELLIFE SPA | 31.644 | 0,002% | |
| GERANA SICAV-SIF, S.A. | 7 12.423 7.858 |
0,054% 0,001% |
|
| GFA CARAIBES | 6.307 | ||
| GID-FONDS ALAET | 178.000 | 0,000% | |
| GID-FONDS AVAOT | 66.831 | 0,014% | |
| GID-FONDS AVAOT 2 | 36.917 | 0,005% | |
| GID-FONDS CEADT | 290.000 | 0,003% | |
| GID-FONDS DLAET | 32.200 | 0,022% 0,002% |
|
| GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 4.123 | ||
| GLOBAL EQUITIES ENHANCED INDEX FUND | 0,000% | ||
| GLOBAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. | 15.757 | 0,001% | |
| C/O OGIER GLOBAL (CAYMAN) LIMITED | 6 | 0,000% | |
| GLOBAL X ETFS ICAV | 13.378 | 0,001% | |
| GLOBAL X FINTECH ETF | 1.755.621 | 0,134% | |
| Global X Management (AUS) Limited | 459.375 | 0,035% | |
| GODFOND SVERIGE & VARLDEN | 1.232 | 0,000% | |
| GOLDMAN SACHS ETF ICAV | કર્ | 0,000% | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | 289 | 0,000% | |


| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| 12C ACTIONS | 170.000 | 0,013% | |
| IBM 401 (K) PLUS PLAN TRUST | 22.691 | 0,002% | |
| IBM 401 (K) PLUS PLAN TRUST | 74.250 | 0,006% | |
| IBM PERSONAL PENSION PLAN TRUST | 1.482 | 0,000% | |
| IBM RETIREMENT PLAN | 2.446 | 0,000% | |
| IF IST - GLOBE INDEX | 18.760 | 0.001% | |
| ILA - A-ILDSCG | 2.207 | 0,000% | |
| ILA - A-ILEZEQG | 13.759 | 0,001% | |
| ILA - A-ILGLOEQG | 4.911 | 0,000% | |
| ILA - A-ILGLOEQN | 738 | 0.000% | |
| ILA-A-ILSDMH | 109.622 | 0,008% | |
| ILA-LA WORLD ESG SCREENED FUND | 3.194 | 0,000% | |
| IMPACTASSETS INC | 1.676 | 0,000% | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 26.414 | 0,002% | |
| IMPROVING EUROPEAN MODELS SRI | 90.000 | 0,007% | |
| INDEXIQ Factors Sustainable EMU Equity | 153 | 0,000% | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 7.345 | 0,001% | |
| ING DIRECT FONDO NARANJA CONSERVADOR,FI | 1.307 | 0,000% | |
| ING DIRECT FONDO NARANJA DINAMICO,FI | 14.404 | 0.001% | |
| ING DIRECT FONDO NARANJA MODERADO,FI | 8.609 | 0,001% | |
| ING DIRECT SICAV | 29.962 | 0,002% | |
| INSTITUTIONAL RETIREMENT TRUST | 37.694 | 0,003% | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 407.365 | 0,031% | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
464.866 | 0,035% | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 1.05 | 0,000% | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 2.405 | 0,000% | |
| INTERNATIONAL MONETARY FUND | 36.436 | 0,003% | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT |
29 | 0,000% | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L |
88.166 | 0,007% | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 48.723 | 0,004% | |
| INVESCO MARKETS II PLC | 16.923 | 0,001% | |
| INVESCO MARKETS III PLC | 418 | 0,000% | |
| INVESCO PUREBETA FISE DEVELOPED EX NORTH AMERICA ETF | 373 | 0,000% | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 2.510 | 0,000% | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS, GLOBALE AKTIER AKK.KL |
102.245 | 0.008% | |
| INVESTERINGSFORENINGEN INVESTIN SAMPENSION GLOBALE AKTIER | 819 | 0.000% | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL | 3.877 | 0.000% | |
| INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS GLOBALE AKTI | 17.243 | 0.001% | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 9.795 | 0,001% | |
| INVESTISSEMENT 101 AUTRES | 4.643 | ||
| INVESTITORI EIGHTY TWENTY | 9.550 | 0,000% 0,001% |
|
| INVESTITORI EUROPA | 7.500 | 0,001% | |
| Investors Wholesale Global Equity (Index) Trust | 24.607 | 0,002% | |
| IP ACTIONS EURO | 11.686 | 0,001% | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 19.708 | 0,002% | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 10.100 | 0,001% | |
| IRCANTEC PAB AMUNDI | 68.860 | 0,005% | |
| IRCEC CASSETTE DIVERSIFIE | 23.461 | 0,002% | |
| IRISH LIFE ASSURANCE PLC | 103.877 | 0.008% | |
| IRISH LIFE ASSURANCE. | 58.540 | 0,004% | |
| IRISH LIFE CLIMATE FOCUSED FUND | 2.189 | 0,000% | |

| Anagratica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.644 | 0,000% | |
| ISHARES CORE MSCI EAFE ETF | 3.183.677 | 0,243% | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 146.296 | 0,011% | |
| ISHARES CORE MSCI EUROPE ETF | 263.636 | 0,020% | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 313.641 | 0,024% | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 702.224 | 0.054% | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS (AUD HEDGED) ETF |
3.347 | 0,000% | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS ETF | 6.581 | 0,001% | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 29.346 | 0,002% | |
| ISHARES ESG ADVANCED MSCIEAFE INDEX ETF | 5.287 | 0,000% | |
| ISHARES ESG MSCI EAFE LEADERS INDEX ETF | 333 | 0,000% | |
| ISHARES EURO STOXX UCITS ETF (DE) | 243.107 | 0,019% | |
| ISHARES EUROPE ETF | 153.177 | 0,012% | |
| ISHARES EXPONENTIAL TECHNOLOGIES ETF | 1.816.202 | 0,138% | |
| ISHARES EXPONENTIAL TECHNOLOGIES INDEX ETF | 2.730 | 0,000% | |
| ISHARES GLOBAL FINANCIALS ETF | 42.185 | 0,003% | |
| ISHARES II PUBLIC LIMITED COMPANY | 537.050 | 0,041% | |
| ISHARES III PUBLIC LIMITED COMPANY | 238.825 | 0,018% | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 2.863 | 0,000% | |
| ISHARES IV PUBLIC LIMITED COMPANY | 933.527 | 0,071% | |
| ISHARES MSCI ACWI ETF | 162.378 | 0,012% | |
| ISHARES MSCI ACWI EX U.S. ETF | 104.064 | ||
| ISHARES MSCI EAFE ETF | 1.866.361 | 0,008% 0,142% |
|
| ISHARES MSCI EAFE GROWTH ETF | 987.627 | 0,075% | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 336.986 | 0,026% | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 12.113 | 0,001% | |
| ISHARES MSCI EUROZONE ETF | 864.697 | 0,066% | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 3.702 | 0,000% | |
| ISHARES MSCI INTL VALUE FACTOR ETF | 159.628 | 0,012% | |
| ISHARES MSCITITALY ETF | 823.337 | 0,063% | |
| ISHARES MSCI KOKUSAI ETF | 2.466 | 0,000% | |
| ISHARES MSCI WORLD ETF | 35.076 | 0,003% | |
| ISHARES PUBLIC LIMITED COMPANY ISHARES STOXX EUROPE 600 INDUSTRIAL GOODSSERVICES UCITS ETF DE |
87.055 139.804 |
0,007% 0,011% |
|
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 402.733 | 0,031% | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 169.646 | 0,013% | |
| ISHARES V PUBLIC LIMITED COMPANY | 57.924 | 0,004% | |
| ISHARES VI PUBLIC LIMITED COMPANY | 81.293 | 0,006% | |
| ISHARES VII PLC | 233.307 | 0,018% | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 44.836 | 0,003% | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 3.915 | 0,000% | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 5.152 | 0,000% | |
| JANUS HENDERSON GLOBAL FINANCIALS FUND | 45.789 | 0,003% | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND |
5.107 | 0,000% | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 89.156 | 0,007% | |
| JANUS HENDERSON MULTI STRATEGY MASTER FUND LIMITED (THE) C/O JANUS CAPITAL MANAGEMENT LLC |
4.135 | 0,000% | |
| JNL INTERNATIONAL INDEX FUND | 125.769 | 0,010% | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 1.692 | 0,000% | |
| JNL/MELLON MSCI WORLD INDEX FUND | 5.231 | 0,000% | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND |
101.748 | 0,008% | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 1.144 | 0,000% | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 33.245 | 0,003% | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 6.274 | 0.000% | |


| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 26.206 | 0,002% | |
| LEGAL AND GENERAL CCF | 41.003 | 0,003% | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 84.820 | 0,006% | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 2.016 | 0,000% | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 271.944 | 0.021% | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 2.741 | 0,000% | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 71.738 | 0,005% | |
| LEGAL AND GENERAL UCITS ETF PLC | 92.581 | 0,007% | |
| LGAS SHF EURO EX UK ESG FD(1848 LGIM PMC CSUF(36670) TESCO INDEX EQUITY ISGN (5270 |
6.005 | 0,000% | |
| LGAS SHF FUT WRLD ESG DEV IDX(6734) | । '835 | 0,000% | |
| LGIASUPER | 22.213 | 0,002% | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME. | 787 | 0,000% | |
| LIF-LYX DIGIT ECONOMY(DR)UCITS | 43.417 | 0,003% | |
| LIF-LYX DISRUPTIVE TECH(DR)UC | 52.012 | 0,004% | |
| LIF-LYX MILLENNIALS UCITS ETF | 18.457 | 0,001% | |
| LIF-LYX MSCI WRL CATHOL PRINC | 4.830 | 0,000% | |
| LMAP 909 SUB FUND OF LMAP IRELAND ICA V | 17.127 | 0,001% | |
| LMAP IRELAND ICAV - LMAP 910 MAPLES CORPORATE SERVICES LTD | 7.386 | 0,001% | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 450.000 | 0,034% | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 299 | 0,000% | |
| LOF GLOBAL FINTECH | 650.000 | 0,050% | |
| LOF TargetNetZero Europe Equity | 4.518 | 0,000% | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 28.413 | 0,002% | |
| LONDON LGPS CIV AUTHORISED CONTRACTUAL SCHEME. | 8.678 | 0,001% | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 264 | 0,000% | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM | 76 | 0,000% | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 21.721 | 0,002% | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW ESG (MARKET NEUTR |
51.090 | 0,004% | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW SYSTEMATIC ALPHA |
108.717 | 0,008% | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS (MARKET NEUT |
581.335 | 0,044% | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS UCITS FUND | 846.940 | 0,065% | |
| LUNA LLC | 308 | 0,000% | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 10.855 | 0,001% | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 83.097 | 0,006% | |
| LYX CORE MSCI WLD(DR)UCITS ETF | 17.230 | 0,001% | |
| LYX IND -LYX CORE STOXX EU 600 | 448.613 | 0,034% | |
| LYX MSCI EU ESG LEADERS (DR) | 193.252 | 0,015% | |
| LYXIND FD-LYX MSCI EMU GROWTH | 17.402 | 0,001% | |
| Lyxor 1 STOXX Europe 600 ESG (DR) UCITS ETF | 3.791 | 0,000% | |
| LYXOR FISE MIB UCITS ETF | 507.028 | 0,039% | |
| ILYXOR MSCI EUROPE UCITS ETF | 49.975 | 0,004% | |
| LYXOR-MSCI EMU ESG BROD CTB | 16.875 | 0,001% | |
| M INTERNATIONAL EQUITY FUND | 3.909 | 0,000% | |
| 10.618 | 0,001% | ||
| M STANLEY PATHWAY FD-INT EQ FD | 15.799 | ||
| MACK EAFE EQUITY POOL | 16.087 | 0,001% 0,001% |
|
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | |||
| IMACKENZIE MAX DIVERSIFICATION DEVELOPED EUR INDEX ETF MACKENZIE MAXIMUM DIVERS.ALL WORLD DEVELOPED EX NORTH |
479 1.230 |
0,000% 0,000% |
|
| AMERICA IE | 4.586 | 0,000% | |
| MACQUARIE INTERNATIONAL EQUITIES FUND MACQUARIE MULTI-FACTOR FUND |
1.278 | 0,000% | |
| MACQUARIE WHOLESALE FUNDS | 1.949 | 0,000% | |
| 145.510 | 0,01 17% | ||
| MADELEINE |


| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | 2.933 | 0,000% | |
| PORTFOLIO MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI |
|||
| ST PORTFOLIO | 487 | 0,000% | |
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 6.169 | 0,000% | |
| MOTHER CABRINI HEALTH FOUNDATION INC. | 14.907 | 0,001% | |
| MOZILLA CORPORATION | 2.970 | 0,000% | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 23.335 | 0,002% | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 372 | 0,000% | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 241.974 | 0,018% | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 83.143 | 0,006% | |
| MUGUET VENTURES LLC | 1.575 | 0,000% | |
| MUL- LYX FTSE IT ALL CAP PIR20 | 11.270 | 0,001% | |
| MUL-LY MSCI EU ESG C T CTB DR | 92 | 0,000% | |
| MUL-LXX MEL ZERO 20 SP EU CLIb | 8.180 | 0,001% | |
| MUL-LYX NET ZERO 50 SP WLD CLI | 2.729 | 0,000% | |
| MUL-LYX NET ZERO50 SP EU CLI P | 387.803 | 0,030% | |
| MULTI UNITS LUX-LYX CORE MSCI | 46.183 | 0,004% | |
| MULTIFLEX SICAV | 5.098 | 0,000% | |
| MULTILABEL SICAV | 285.282 | 0,022% | |
| MUNICIPAL EMPLOYEES ANNUITY AND BENEFIT FUND OF CHICAGO | 1.168 | 0,000% | |
| MW INV Strat Eureka Fund AC | 360.339 | 0,027% | |
| MWIS - TOPS DEVELOPED WORLD EQUITIES FUND | 12.176 | 0,001% | |
| MWIS TOPS Intl Equity Fd AC | 36.683 | 0,003% | |
| MWIS TOPS World Ex US AC | 143.360 | 0,011% | |
| NATIO-FONDS COLLINE INTERNATIONAL | 105.073 | 0,008% | |
| NATIONAL BANK FINANCIAL INC | 3.691 | 0,000% | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 5.079 | 0,000% | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 127.284 | 0,010% | |
| NATIONAL PENSION INSURANCE FUND | 3.017 | 0,000% | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 349.430 | 0,027% | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 40.056 | 0,003% 0.003% |
|
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. |
43.812 | ||
| JAMES'S PLACE | 14.148 | 0,001% | |
| NBIMC EAFE EQUITY INDEX FUND. | રેકે જિલ્લામાં આવેલું એક ગામનાં લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામમાં મુખ્યત્વે ખેત-ઉત્પત્તમજૂરી તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામ | 0.000% | |
| INEMOURS FOUNDATION | 471 | 0,000% | |
| INEUALT LLC | 9.733 | 0,001% | |
| NEUBERGER BERMAN ADVISERS MANAGEMENT TRUST INTERNATIONAL EQUITYPORTFOLIO |
36.909 | 0,003% | |
| NEUBERGER BERMAN INTERNATIONAL EQUITY FUND | 1.236.843 | 0,094% | |
| NEUBERGER BERMAN INTERNATIONAL SELECT FUND | 163.235 | 0,012% | |
| INEUBERGER BERMAN TRUST COMPANY N.A. COLLECTIVE INVESTMENT TRUST |
144.598 | 0,011% | |
| NEW AIRWAYS PENSION SCHEME | 311 | 0,000% | |
| INEW IRELAND ASSURANCE COMPANY PLC. | 7.819 | 0,001% | |
| NEW YORK STATE COMMON RETIREMENT FUND | 32.879 | 0,003% | |
| INEW YORK STATE TEACHERS RETIREMENT SYSTEM | 174.625 | 0,013% | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POW |
115 | 0,000% | |
| INFS LIMITED | 7.193 | 0,001% | |
| NMTB/NIK KOKUSAI-H 935034 | 1.336 | 0,000% | |
| NMTB/NIK KOKUSAI-NH 935026 | 21.240 | 0,002% | |
| NORDEA EUROPEAN PASSIVE FUND | 9.703 | 0,001% | |
| NORDEA GLOBAL PASSIVE FUND | 15.946 | 0,001% | |
| NORDEA WORLD PASSIVE FUND | 14.068 | 0,001% | |
| NORGES BANK | 133.982 | 0,010% |

| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 165.879 | 0,013% | |
| NORTHERN GLOBAL SUSTAINABILITY INDEX FUND | 34.837 | 0,003% | |
| INORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
28.302 | 0,002% | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX-US | 31.689 | 0,002% | |
| NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 29.019 | 0,002% | |
| NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 84.687 | 0,006% | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 1.256.935 | 0,096% | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 350.789 | 0,027% | |
| NORTHERN TRUST UCITS FGR FUND | 78.222 | 0,006% | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 4.486 | 0,000% | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 4.043 | 0,000% | |
| NSP MONTICELLO MINNESOTA RETAIL | 9.613 | 0,001% | |
| NT WORLD GREEN TRANSITION INDEX FUND | 531 | 0,000% | |
| NTCC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 199.154 | 0,015% | |
| NVIT INTERNATIONAL INDEX FUND | 48.821 | 0,004% | |
| OAKMARK INTERNATIONAL SMALL CAPFUND | 4.190.700 | 0,320% | |
| OFI INVEST ESG EURO EQ SM BETA | 36.233 | 0,003% | |
| OHMAN MARKNAD EUROPA | 19.562 | 0,001% | |
| OHMAN MARKNAD GLOBAL | 17.510 | 0,001% | |
| OMEGA FFIP LIMITED PARTNERSHIP | 484 | 0,000% | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 55.215 | 0,004% | |
| OPENWORLD PUBLIC LIMITED COMPANY | 823 | 0,000% | |
| ORANO ACTIONS ZONE EURO | 14.23 | 0,001% | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 544.300 | 0,041% | |
| OSSIAM LUX | 30.816 | 0,002% | |
| PANAGORA GROUP TRUST | 22.358 | 0,002% | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 11.200 | 0,001% | |
| PCFS - EUROPE SMALL & MID CAP EQUITIES | 12.434 | 0,001% | |
| PCFS - PURE DYNAMIC OPPORTUNITY | 18.000 | 0,001% | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 3.202 | 0,000% | |
| PENSION BENEFIT GUARANTY CORPORATION | 523.722 | 0,040% | |
| PENSION RESERVES INVESTMENT TRUST FUND | 89.803 | 0,007% | |
| PEOPLE'S BANK OF CHINA | 813.040 | 0,062% | |
| PERP PROG (ACTIONS EUROPE) | 18.856 | 0,001% | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 2.126 | 0.000% | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 1.175 | 0,000% | |
| PICTET - EUROPE INDEX | 56.662 | 0,004% | |
| PICTET - MULTI ASSET GLOBAL OPPORTUNITIES | 7.804 | 0,001% | |
| PICTET CH - GLOBAL EQUITIES | 7.585 | 0,001% | |
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER | 14.480 | 0,001% | |
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL | 19.408 | 0,001% | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER | 13.736 | 0,001% | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE PICTET CH INSTITUTIONAL - WORLD EX SWISS SUSTAINABLE EQUITIES |
2.164 | 0,000% | |
| TRACKER | 11.552 | 0,001% | |
| PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX ટી |
6.959 | 0,001% | |
| PICTET-EUROLAND INDEX | 31.875 | 0,002% | |
| PIER 21 GLOBAL GROWTH POOL | 2.05 1 | 0,000% | |
| PINEBRIDGE GLOBAL FUNDS | 2.973 | 0,000% | |
| PIR EQUITY AXA ASSICURAZIONI | 180.000 | 0,014% | |
| PK CSG World Equity Credit Suisse Funds AG | 17.072 | 0,001% | |
| PLATO INST I FUND EURO EQUITY | 13.455 | 0,001% | |
| PLATO INST I FUND EUROPEAN EQUITY | 25.375 | 0,002% | |
| Plato Instit Index Fnd World DBI-RDT | 7.029 | 0,001% |
| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 2.618 | 0,000% | |
| POINT72 ASSOCIATES LLC C/O WALKERS CORPORATE LIMITED CAYMAN | 1.617 | 0,000% | |
| CORPORATE CENTRE | |||
| Pollux | 7.940 | 0,001% | |
| POOL REINSURANCE CO LTD | 3.017 | 0,000% | |
| PORTZAMPARC OPPORTUNITES | 70.000 | 0,005% | |
| POSTE ITALIANE SPA | 97103880585 | 46.518.238 | 3,547% |
| PRESBYTERIAN CHURCH IN AMERICA TAX-SHELTERED ANNUITY PLAN | 3.630 | 0,000% | |
| PRESCIENTICAV | 78.750 | 0,006% | |
| PREVINDAI BIL EURIZON | 5.510 | 0,000% | |
| PREVINDAI SVI EURIZON | 7.682 | 0,001% | |
| PRI MONETA BEST OF FRANCE | 300.000 | 0,023% | |
| PRICOS | 458.426 | 0,035% | |
| PRICOS DEFENSIVE | 12.368 | 0,001% | |
| PRICOS SRI | 15.429 | 0,001% | |
| PRIME SUPER | 3.513 | 0,000% | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 38.837 | 0,003% | |
| Prudential Pensions Limited | 9.143 | 0,001% | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 21.782 | 0,002% | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 4.332 | 0,000% | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 28.531 | 0,002% | |
| PUBLIC EMPLOYEES' LONG-TERM CARE FUND | 773.407 | 0,059% | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 160.761 | 0,012% | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 4.256 | 0,000% | |
| BUBLIC EMPLOYEES RELIKEMENT SYSTEM OF MISSISSIBLE | 74.691 | 0,006% | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 338.804 | 0,026% | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 58.161 | 0,004% | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 75.658 | 0,006% | |
| PURE CAPITAL S.A | 1 | 0,000% | |
| PUTM AUTHORISED CONTRACTUAL SCHEME - PUTM ACS SUSTAINABLE | 197.037 | 0,015% | |
| INDEX EUROPEAN EQUITY FUND | |||
| QIC International Equities Fund. | 3.167 | 0,000% | |
| QUADRATOR SRI | 316.240 | 0,024% | |
| QUALITY EDUCATION FUND | 1.298 | 0,000% | |
| QUERCUS | 212.800 | 0,016% | |
| ReAssure Limited | 168.803 | 0,013% | |
| REGARD ACT CROISSAN | 15.000 | 0,001% | |
| RELYENS MUTUAL INSURANCE | 182.000 | 0.014% | |
| RETIREMENT BENEFITS INVESTMENT FUND | 5.362 | 0,000% | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 14.241 | 0,001% | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 18.676 | 0,001% | |
| RIZE UCITS ICAV | 16.659 | 0,001% | |
| RIZE UCITSICAV | 4.672 | 0,000% | |
| RL PREVOYANCE (ACTIONS EUROPE) | 30.683 | 0,002% | |
| ROBECO CAPITAL GROWTH FUNDS | 2.300.000 | 0,175% | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 5.419 | 0,000% | |
| ROPS EURO P | 74.820 | 0,006% | |
| ROPS-SMART INDEX EURO | 140.275 | 0,011% | |
| ROSEDENE LLC | 2.364 | 0,000% | |
| ROTHSCHILD MARTIN MAUREL | 64.100 | 0,005% | |
| ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
94.535 | 0,007% | |
| RSRC ACTIONS (ACTION EURO) | 109.197 | 0,008% | |
| RUSSELL INVESTMENT COMPANY PLC | 35.918 | 0,003% | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 7.014 | 0,001% | |
| Russell Investments Sustainable Global Shares Fund | 2.985 | 0,000% | |
| SABADELL EUROACCION, FI | 169.082 | 0,013% | |
| 10.789 | 0.001% | ||
| SABADELL INVERSION ETICA Y SOLIDARIA, FI |

| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| SAEV MASTERFONDS INKA | 233.243 | 0,018% | |
| SALIX LLC | 16.859 | 0,001% | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 1.793 | 0,000% | |
| ISANLAM UNIVERSAL FUNDS PLC | 8.589 | 0,001% | |
| SANTANDER SMALL CAPS EUROPA FI | 164.986 | 0,013% | |
| ISAS TRUSTEE CORPORATION POOLED FUND | 8.436 | 0,001% | |
| SBC MASTER PENSION TRUST | 3.934 | 0.000% | |
| SCHRODER INTERNATIONAL SELECTION FUND | 617.325 | 0,047% | |
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 93.438 | 0,007% | |
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
19.307 | 0,001% | |
| SCHWAB INTERNATIONAL EQUITY ETF | 924.593 | 0,070% | |
| SCHWAB INTERNATIONAL INDEX FUND | 326.368 | 0,025% | |
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 23 | 0.000% | |
| ISCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 7.007 | 0,001% | |
| SCOTIA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 645 | 0,000% | |
| ISCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN | 78.596 | 0,006% | |
| (EX UK)EQUITY FUND ISCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC- |
2.023 | 0,000% | |
| INTERNATIONAL EQUITY TRACKER FUND ISEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY |
3.779 | 0,000% | |
| PORTF SEI GL MAST FD-SEI DYN ASS ALL |
4.536 | 0,000% | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
15.465 | 0,001% | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 337 | 0,000% | |
| SEMPRA ENERGY PENSION MASTER TRUST | 8.064 | 0,001% | |
| SENTINEL INTERNATIONAL TRUST | 2.082 | 0,000% | |
| SG ACTIONS EURO SELECTION | 1.452.545 | 0,111% | |
| SHARON D LUND RESIDUAL TRUST | 604 | 0,000% | |
| SHELL CANADA 2007 PENSION PLAN | 876 | 0,000% | |
| SHELL FOUNDATION | 12.523 | 0,001% | |
| SHELL PENSION TRUST | 6.920 | 0,001% | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | |||
| INTERNATIONAL PENSION FUND | 4.257 | 0,000% | |
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 1 ୧୦ | 0,000% | |
| SIEMENS BALANCED | 13.658 | 0,001% | |
| SIEMENS EMU EQUITIES | 41.519 | 0,003% | |
| SIEMENS-FONDS SIEMENS-RENTE | 72.260 | 0,006% | |
| SILVER AMUNDI EURO EQUITY | 170.879 | 0,013% | |
| SINGLE SELECT PLATFORM | 132.035 | 0,010% | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 246.443 | 0,019% | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
21.646 | 0.002% | |
| SOCIETA CATTOLICA DI ASSICURAZIONE - SOCIETA COOPERATIVA | 56.412 | 0,004% | |
| SOGECAP ACTIONS - MID CAP | 219.114 | 0,017% | |
| SOGECAP AP CLIMAT PAB | 128.138 | 0,010% | |
| SOLIDARITES | 14.835 | 0,001% | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 470.572 | 0,036% | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 10.475 | 0,001% | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 175.915 | 0,013% | |
| SPDR PORTFOLio EUROPE ETF | 24.100 | 0,002% | |
| SPDR SP WORLD EX AUSTRALIA FUND | 6.778 | 0,001% | |
| SPP GENERATION 70-TAL | 9.226 | 0,001% | |
| SPP PENSION & FORSAKRING AB (PUBL) | 754 | 0,000% | |
| SSB CUSTODIAL SERVICES IREL RUSSELL INVS IREL | 29.659 | 0,002% | |
| SS MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
11.849 | 0,001% | |

| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| ISSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST | 15.711 | 0,001% | |
| FUND ISSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND |
|||
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 498.764 | 0,038% | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 3.232 76.81 I |
0,000% | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 106.822 | 0,006% | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 71.855 | 0,008% 0,005% |
|
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 2.188.362 | 0,167% | |
| STANDARD BANK OF SOUTH AFRICA LTD | 63.151 | 0,005% | |
| STAR PASTEUR | 20.889 | 0,002% | |
| STATE OF MINNESOTA | 241.787 | 0,018% | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 356.400 | 0,027% | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 406.644 | 0,031% | |
| STATE OF WISCONSIN INVESTMENT BOARD | 2 | 0,000% | |
| STATE OF WYOMING | 31.627 | 0,002% | |
| STATE STREET CCF | 1.802 | 0,000% | |
| ISTATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.811 | 0,000% | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICA V | 147.942 | 0,011% | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 110.409 | 0,008% | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 105.114 | 0,008% | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 8.588 | 0,001% | |
| STATE STREET IRELAND UNIT TRUST | 26.658 | 0,002% | |
| STATE STREET TOTAL RETURN VIS FUND | 10.218 | 0,001% | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 197.735 | 0,015% | |
| STEADFAST INTERNATIONAL MASTER FUND LTD C/O MORGAN STANLEY FUND SRVCS (CAYMAN) LTD |
509.432 | 0.039% | |
| STELLAR INSURANCE, LID. | 1.867 | 0,000% | |
| STEPHEN N POTTER TRUST | 62 | 0,000% | |
| STEWARDSHIP PARA GLB | 1.559 | 0,000% | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 2.248 | 0,000% | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE MEUBELI NDUSTRIEEN MEUBILERINGSBEDRIJ |
13.947 | 0,001% | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 24.565 | 0,002% | |
| LEVENSMIDDELENBEDRIJF | 2.416 | 0,000% | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 7.524 | 0,001% | |
| STICHTING CZ FUND DEPOSITARY | 4.828 | 0,000% | |
| STICHTING DE NATIONALE ALGEMEEN PENSIOENFONDS STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL |
48.115 | 0,004% | |
| STICHTING ING CDC PENSIOENFONDS | 14.187 | 0,001% | |
| STICHTING NN CDC PENSIOENFONDS | 6.150 | 0,000% | |
| STICHTING PENSIOENFONDS ABP | 550.168 | 0,042% | |
| STICHTING PENSIOENFONDS APP | ୧୦ | 0,000% | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 22.996 | 0,002% | |
| STICHTING PENSIOENFORDS ING | 16.637 | 0,001% | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 235.898 | 0,018% | |
| STICHTING PENSIOENFONDS PGB | 669.836 | 0,051% | |
| STICHTING PENSIOENFONDS PROVISUM | 1.861 | 0,000% | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 14.520 | 0,001% | |
| STICHTING PENSIOENFONDS UWV | 35.840 | 0,003% | |
| (STICHTING PENSIOENFONDS WERK EN(RE) INTEGRATIE | 75.087 | 0,006% | |
| STICHTING PGGM DEPOSITARY | 249.041 | 0,019% | |
| STICHTING PHILIPS PENSIOENFONDS | 9.316 | 0,001% | |
| STICHTING SHELL PENSIOENFONDS | 12.901 | 0,001% | |
| STICHING SPOORWEGPENSIOENFONDS | 18.829 | 0,001% | |
| STOCKBRIDGE FUND, L.P. | 13.545.302 | 1,033% | |
| STOREBRAND EUROPA PLUS | 8.021 | 0,001% | |
| STOREBRAND GLOBAL ALL COUNTRIES | 24.294 | 0,002% | |
| STOREBRAND GLOBAL PLUS | 27.552 | 0,002% |
Elenco censiti
21/26

EMARKET SDIR
| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| THE INCUBATION FUND LTD | 75 | 0,000% | |
| THE JUPITER GLOBAL FUND SICAV | 1.419.382 | 0,108% | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY | |||
| INDEX MOTHER FUND | 13.041 | 0,001% | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL | 1.175 | 0,000% | |
| EQUITY INDEX MOTHER FUND | |||
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY | 54.542 | 0,004% | |
| INDEX MOTHER FUND | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
52.350 | 0,004% | |
| THE MASTER TRUST BANK OF JAPAN. LTD. AS TRUSTEE FOR | |||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 18.407 | 0,001% | |
| THE MASTER TRUST BANK OF JAPAN. LTD. RE: MSCI-KOKUSAI INDEX | |||
| MOTHER FUND | 276 | 0,000% | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 2.080 | 0,000% | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 15.187 | 0,001% | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 43.848 | 0,003% | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | |||
| PASSIVE MOTHER FUND (ONLY FOR PENSION | 4.644 | 0,000% | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | |||
| HEDGED) (PRIVATELY PLACED INVESTMENT T | 71.485 | 0,005% | |
| THE MASTER TRUST BANK OF JAPAN, LTD, RE: NZAM EURO STOXX ESG-X | 9.265 | 0,001% | |
| (JPY HEDGED) (PRIVATELY PLACED INVEST | |||
| THE NEMOURS FOUNDATION PENSION PENSION PLAN | 1.488 | 0,000% | |
| THE PENSION BOARDS-UNITED CHURCH OF CHRIST INC. | 2.372 | 0.000% | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 20.280 | 0,002% | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 2.637 | 0,000% | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 8.276 | 0,001% | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 598.298 | 0,046% | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 75.774 | 0,006% | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 11.516 | 0,001% | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 16.243 | 0,001% | |
| THEAM QUANT - EQUITY EUROPE DEFI | 45.625 | 0,003% | |
| THEAM QUANT- EQUITY WORLD GLOBAL GOALS | 227.411 | 0,017% | |
| THEAM QUANT- MULTI ASSET DIVERSIFIED DEFENSIVE | 213.275 | 0,016% | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 6.454 | 0,000% | |
| THREADNEEDLE (LUX | 14.133 | 0,001% | |
| THREADNEEDLE (LUX) | 1.444.177 | 0, 110% | |
| THREADNEEDLE (LUX) COLUMBIA THREADNEEDLE INVESTMENTS | 1.108.491 | 0,085% | |
| THREADNEEDLE (LUX). | 1.746.641 | 0,133% | |
| THREADNEEDLE INVESTMENT FUNDS ICVC | 2.366.558 | 0,180% | |
| THRIFT SAVINGS PLAN | 496.824 | 0,038% | |
| THRIFT SAVINGS PLAN | 2.030.151 | 0, 155% | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 6.361 | 0,000% | |
| THYSSEN GLOBAL INVESTMENTS CORP. | 383 | 0,000% | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 758.957 | 0,058% | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 15.344 | 0,001% | |
| TODD INVEST | 20.000 | 0,002% | |
| TONI ACTIONS ISR 100 | 59.646 | 0,005% | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER | 40.392 | 0,003% | |
| INV | |||
| TOUCHSTONE STRAT TRINT GRW FD | 139.390 | 0,011% | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 2.832 | 0,000% | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 6.392 | 0,000% | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 131.858 | 0,010% | |
| TRINITY COLLEGE CAMBRIDGE TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION |
13.071 | 0,001% | |
| INVESTMENT FUND TRUST NUMBER 10 | 25.701 | 0,002% | |
/26
2

| Anagratica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 |
4.020 | 0,000% | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 |
48.993 | 0,004% | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
1.453 | 0,000% | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 26.039 | 0,002% | |
| TSGX SOLACT ESG TBACO EX UNHG (3387) | 6.802 | 0,001% | |
| TWU Superannuation Fund | 7.249 | 0,001% | |
| UAPF - BLACK ROCK PASSIVE EQUITY | 1.976 | 0,000% | |
| UBAM | 120.244 | 0,009% | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 35.598 | 0,003% | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 75.229 | 0,006% | |
| (UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 255.943 | 0,020% | |
| UBS ASSET MANAGEMENT LIFE LTD | 62.367 | 0,005% | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH | 22.995 | 0,002% | |
| INVESTINSTITUTIONAL FUN | |||
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 192.919 | 0,015% | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 271.411 5.734 |
0,021% 0,000% |
|
| UBS GLOBAL EQUITY CLIMATE TRANSITION FUND UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF |
542 | 0,000% | |
| UBS LUX FUND SOLUTIONS | 1.393.298 | 0,106% | |
| Ul | 163.000 | 0,012% | |
| Ul-Fonds Bav RBI AKTIEN | 67.490 | 0,005% | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 2.909 | 0,000% | |
| UNITED NATIONS JOINT STAFF PENSION FUND. | 320.000 | 0,024% | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 2.830 | 0,000% | |
| UNITED SERVICES AUTOMOBILE ASSOCIATION | 4.305 | 0,000% | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN MASTER TRU |
150.967 | 0,012% | |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS |
29.013 | 0,002% | |
| UNIVERSAL INVESTMENT GMBH | 55.000 | 0,004% | |
| Universal-Investment-Gesellschaft mbH | 496.139 | 0,038% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN- ui-Fonds |
2.295 | 0,000% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO- UNIVERSAL-FONDS |
40.000 | 0.003% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN PROTECT ESG |
38.900 | 0,003% | |
| JUNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL- CA V |
41.255 | 0,003% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VE- UNIVERSAL-FONDS |
125.000 | 0,010% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB- UNIVERSAL-FONDS |
1.387 | 0,000% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH W/ZEIT-UNIVERSAL-FONDS W/SEGMENT AKTIEN EUROPA DWS |
35.000 | 0,003% | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 2.864 | 0,000% | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 63.019 | 0,005% | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR UIFONDS AKTIEN WORLD ESG |
3.797 | 0,000% | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO | 46.890 | 0,004% | |
| UNIVERSITIES SUPERANNUATION SCHEME | 58.179 | 0,004% | |
| UNIVERSITY OF NOTRE DAME | 9.772 | 0,001% | |
| UPS GROUP TRUST | 22.870 | 0,002% | |
| US PROVINCE MISSIONARY OBLATES-SERVICE TRUST | 22.095 | 0,002% | |
| USAA CASUALTY INSURANCE COMPANY | 7.276 | 0,001% | |
| USAA GENERAL INDEMNITY COMPANY | 3.879 | 0,000% |

| Anagratica | CF/Pl | Azioni | % sul C.S. |
|---|---|---|---|
| UTAH STATE RETIREMENT SYSTEMS | 73.977 | 0,006% | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDYGTIGE EUROPA KL | 6.871 | 0,001% | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDYGTIGE GLOBALE AKTIER ETIK KL ID SPARINVEST AS FILIAL AF SP |
12.288 | 0,001% | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 9.646 | 0,001% | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 4.278.321 | 0,326% | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 10.118 | 0,001% | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 106.156 | 0,008% | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
39.993 | 0,003% | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 1.184.964 | 0,090% | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
78.739 | 0,006% | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
446.905 | 0,034% | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 3.362.582 | 0,256% | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II | |||
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 1.117.746 | 0,085% | |
| VANGUARD FISE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 73.428 | 0,006% | |
| VANGUARD FISE DEVELOPED EUROPE ALL CAP INDEX ETF | 6.077 | 0.000% | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 520.551 | 0,040% | |
| VANGUARD GLOBAL VALUE EQUITY FUND | 48.723 | 0,004% | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND |
236.577 12.719 |
0,018% | |
| 0,001% | |||
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 640.118 | 0,049% | |
| VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FISE DEV EUR EX UK CCF |
18.378 | 0,001% | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD |
12.353 | 0,001% | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE DVLPD WRLD EX UK CMN CNT FD |
10.854 | 0,001% | |
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY |
165.382 | 0.013% | |
| VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF |
21.319 | 0,002% | |
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FISE DEVELOPED EUROPE II CCF |
21.896 | 0,002% | |
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF |
8.949 | 0.001% | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 7.320.821 | 0,558% | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 294.414 | 0,022% | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 34.610 | 0,003% | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO |
13.635 | 0,001% | |
| VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE | 37.183 | 0,003% | |
| VELLIV, PENSION & LIVSFORSIKRING A/S | 275.777 | 0,021% | |
| VENDOME SELECTION EUR | 74.644 | 0,006% | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 27.084 | 0,002% | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 80.077 | 0,006% | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 23.130 | 0,002% | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 6.364 | 0,000% | |
| VGV POOLFONDS PA 1 | 14.631 | 0,001% | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 7.143 | 0,001% | |
| VICTORYSHARES INTERNATIONAL VOLATILITY WTD INDEX ETF. | 13.341 | 0,001% | |
| VIF ICVC VANGUARD FISE DEVELOPED EUROPE EXUK EQUITY INDEX FUND |
293.335 | 0,022% | |
| VIF ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 25.562 | 0,002% |
Elenco censiti
25/26
| Anagrafica | CF/PI | Azioni | % sul C.S. |
|---|---|---|---|
| VILLIERS DIAPASON | 90.883 | 0,007% | |
| VIRGINIA C. MARS REVOCABLE TRUST DATED AUGUST 6 1991 | 262 | 0,000% | |
| VIRGINIA TECH FOUNDATION INC | 2.251 | 0,000% | |
| VISION FUND - EUROPE GROWTH | 116.984 | 0,009% | |
| VIVACCIO ISR ACTIONS | 181.200 | 0,014% | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 39.654 | 0,003% | |
| VOYA VACS INDEX SERIES I PORTFOLIO | 42.532 | 0,003% | |
| VR BANK KITZINGEN EG EURO CONTROL NACHHALTIG | 39.290 | 0,003% | |
| WALLACE H COULTER FOUNDATION | 3.730 | 0,000% | |
| WASHINGTON STATE INVESTMENT BOARD | 212.871 | 0,016% | |
| WESPATH FUNDS TRUST | 2.329 | 0,000% | |
| WEST YORKSHIRE PENSION FUND | 75.000 | 0,006% | |
| WESTPAC WHOLESALE INTERNATIONAL SHARE NO. 3 TRUST | 3.012 | 0,000% | |
| WHEELS COMMON INVESTMENT FUND. | 2.617 | 0,000% | |
| WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 409 | 0,000% | |
| WILMINGTON INTERNATIONAL FUND | 32.422 | 0,002% | |
| WINDWISE MSCIEAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 20.821 | 0,002% | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 647 | 0,000% | |
| WORLD EQUITIES | 886 | 0,000% | |
| WORLD TRADE ORGANIZATION PENSION PLAN | 6.366 | 0,000% | |
| WYOMING RETIREMENT SYSTEM | 4.570 | 0,000% | |
| XANTIUM PARTNERS LP C/O MAPLES CORPORATE SERVICES LIMITED | ર્સ | 0,000% | |
| XTRACKERS | 605.345 | 0,046% | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 641.291 | 0,049% | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 3.229 | 0,000% | |
| XTRACKERS MSCI EAFE ESG LEADERS EQUITY ETF | 2.910 | 0,000% | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 158.878 | 0,012% | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 25.317 | 0,002% | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 2.809 | 0,000% | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 6.823 | 0.001% | |
| YALE UNIVERSITY | 2.716.015 | 0,207% | |
| YOUNG MENS CHRISTIAN ASSOCIATION RETIREMENT FUND | 87.501 | 0,007% | |
| ZEPHYR - EUROPE EQUITY ESG OPTIMIZED | 3.069 | 0,000% | |
| ZEPHYR - OPTIMISED PLUS 1 | 7.792 | 0,001% | |
| ZEPHYR - OPTIMISED PLUS 2 | 14.156 | 0,001% | |
| ZURICH INSURANCE PLC | 69.707 | 0,005% | |
| ZURICH INVEST ICAV | 67.066 | 0,005% | |
| Zwitserleven Institutionele Beleggingsfondsen - Zwitserleven Duurzaam | 15.339 | ||
| Index Aandelenfonds Europa | 0,001% |
Totale
1.047.318.764 764 79,848%

Assemblea ordinaria 04 maggio 2023 NEXI
Punto 1
Approvazione del Biancio d'Esercizio al 31 dicembre 2022, corredato dell'anninistrazione, dell'a Relazione del Collegio Sindacale e della Società di revisione legale. Presentazione del Bilancio Consolidato al 31 dicembre 2022 e della dichiarazione consolidata di carattere non finanziario redatta ai sensi del Decreto Legislativo 254/2016, come successivamente modificato e integrato. Deliberazioni inerenti e conseguenti.
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 1.047.318.764 | 100% | 79,848% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum dellberativo): | 1.047.318.764 | 100.000% | 79,848% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0.000% | 0.000% | |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 1.045.097.744 | 99.788% | 79,679% |
| Contrario | 1.935.347 | 0.185% | 0,148% |
| Astenuto | 285.673 | 0,027% | 0,022% |
| 1.047.318.764 | 100.000% | 79,848% |

1/135

NEXI Assemblea ordinaria 04 maggio 2023
Punto 1
Approvazione del Bilancio d'Esercizio al 31 dicembre 2022, corredato della Relazione del Consiglio di Amministrazione, della Relazione del Collegio Sindacale e della Società di revisione legale. Presentazione del Bilancio Consolidato al 31 dicembre 2022 e della dichiarazione consolidata di carattere non finanziario redatta ai sensi del Decreto Legislativo 254/2016, come successivamente modificato e integrato. Deliberazioni inerenti e conseguenti.
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato nella persona della Dott.ssa Claudia Ambrosini
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| 1895 FONDS FGR | 166.197 | 0.016% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | ୧୫୯ | 0.000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 1.328 | 0,000% | F | |
| 3 BANKEN-GENERALI GH STOCK | 21.300 | 0,002% | F | |
| 3 BANKEN-GENERALI GL STOCK | 202.200 | 0,019% | F | |
| 3 BANKEN-GENERALI GNL STOCK | 83.200 | 0,008% | F | |
| 801 INVESTMENTS LLC | 483 | 0,000% | F | |
| AA SSGA Actions Indice Euro | 90.849 | 0,009% | F | |
| AB Europe (Luxembourg) Investment S.a r.l. | 52.678.731 | 5.030% | F | |
| AB SICAV III-DYN ALL MKT PORTF | 1.567 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO |
1.623 | 0.000% | F | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 6.113 | 0.001% | F | |
| ABB PENSION FUND | 1.006 | 0,000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY TRACKER FUND |
29.562 | 0.003% | F | |
| ABN AMRO FUNDS | 9.586 | 0.001% | F | |
| ACOMEA EUROPA | 81.000 | 0.008% | F | |
| ACOMEA GLOBALE GLOBALE | 32.000 | 0.003% | F | |
| ACOMEA ITALIA | 150.000 | 0.01 4% | F | |
| ACOMEA MULTI FUND - PATRIMONIO AGGRESSIVO | 20.000 | 0,002% | F | |
| ACOMEA SGR MULTIFUND PATRIMONIODINAMICO | 17.000 | 0,002% | F | |
| ACS 30:70 GLOBAL EQUITY TRACKER FUND | 1.138 | 0,000% | P | |
| ACTIAM BF ASIFEW | 2.257 | 0.000% | F | |
| ACTIAM Duurzaam Index Aandelenfonds Europa | 80.916 | 0,008% | F | |
| ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 18.166 | 0,002% | F | |
| ACTIAM Sustainable Index Fund Equity Europe | 10.779 | 0,001% | F | |
| ADVANCE PLANNING LIMITED | 2.089 | 0.000% | F | |
| ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 1.567 | 0.000% | F | |
| AEGON CUSTODY B.V | 6.032 | 0.001% | F | |
| AEGON CUSTODY B.V. | 133.041 | 0.013% | F | |
| AIB GROUP IRISH PENSION SCHEME | 18.929 | 0,002% | F | |
| ALASKA COMMON TRUST FUND | 19.353 | 0,002% | F | |
| ALASKA PERMANENT FUND CORPORATION | 6.976 | 0,001% | F | |
| ALBERTA INVESTMENT MANAGEMENT CORPORATION | 57.200 | 0.005% | F | |
| ALJACK2 | 17.000 | 0,002% | F | |
| ALLEANZA ASSICURAZIONI SPA | 984.103 | 0,094% | F | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS | 420.000 | 0.040% | F | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 1.062.586 | 0,101% | F |
| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ALLIANZ GLOBAL INVESTORS FUND | 644.378 | 0,062% | F | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 98.868 | 0,009% | F | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT MASTER | 774 | 0.000% | E | |
| ALLIANZ INTERNATIONAL INVESTMENT FUNDS - ALLIANZ THEMATICA FUND |
6.768 | 0,001% | F | |
| ALLIANZ ITALIA 50 SPECIAL | 17.000 | 0.002% | F | |
| Allianz Selection European Equity Dividend | 7.935 | 0,001% | F | |
| ALLIANZGI S AKTIEN | 18.525 | 0,002% | F | |
| ALLIANZGI-FONDS DSPT | 19.166 | 0,002% | F | |
| ALM ACTIONS EURO | 113.126 | 0,011% | F | |
| ALMEGLIO - FONDO PENSIONE APERTO ALLEANZA A CONTRIBUZIONE | 8.564 | 0.001% | F | |
| DEFINITA | ||||
| ALPHA UCITS SICAV - AMBER EQUITY FUND | 40.000 | 0,004% | F | |
| AM SF-EUR EQU OPT VOLAT | 105.068 | 0.010% | F | |
| AMERICAN BUREAU OF SHIPPING | 1.355 | 0.000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 13.406 | 0,001% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 1.732 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL | 310 | 0.000% | F | |
| EQUITY Eif | ||||
| AMERICAN ELECTRIC POWER MASTER RETIREMENT TRUST | 43.899 | 0,004% | F | |
| AMERICAN ELECTRIC POWER SYSTEM RETIREE MEDICAL TRUST FOR CE S | 10.400 | 0,001% | F | |
| AMERICAN HEART ASSOCIATION, INC. | 1.707 | 0.000% | F | |
| AMERICAN STEADFAST LP | 273.568 | 0,026% | F | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 49.889 | 0,005% | F | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 3.646 | 0.000% | F | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.723 | 0.000% | F | |
| AMPLEGEST DIGITAL LEADERS | 102.715 | 0,010% | F | |
| AMPLEGEST LONG/SHORT | 64.600 | 0.006% | F | |
| AMPLEGEST MIDCAPS FCP | 279.300 | 0,027% | F | |
| AMUNDI ETF ICAV - AMUNDI S&P GLOBAL INFORMATION TECHNOLOGY ESG UCITS ETF |
17.897 | 0,002% | F | |
| AMUNDI EURO ISTOXX CLIMATE PARIS ALIGNED PAB | 30.229 | 0,003% | F | |
| AMUNDI FISE MIB | 114.628 | 0,011% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 6.479 | 0,001% | F | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 69.313 | 0,007% | F | |
| AMUNDI FUNDS EUROLAND EQUITY | 4.530.596 | 0,433% | F | |
| AMUNDI FUNDS TOP EUROPEAN PLAYERS | 1.300.369 | 0,124% | F | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 19.321 | 0,002% | F | |
| AMUNDI INDEX MSCI EUROPE | 213.413 | 0,020% | F | |
| AMUNDI INDEX MSCI JAPAN | 15.790 | 0,002% | F | |
| AMUNDI INDEX MSCI WORLD | 54.674 | 0,005% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 1.998 | 0,000% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 4.889 | 0,000% | F | |
| AMUNDI MSCI EMU ESG Leaders Select | 571.923 | 0,055% | F | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 6.918 | 0,001% | F | |
| AMUNDI MSCI EUROPE | 49.384 | 0,005% | F F |
|
| AMUNDI MSCI EUROPE ESG LEADERS SELECT | 9.969 710 |
0,001% | F | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT AMUNDI MSCI EUROPE EX SWITZERLAND |
49.385 | 0,000% 0,005% |
F | |
| AMUNDI MSCI EUROPE EX UK | 500 | 0,000% | F | |
| AMUND! MSCI WORLD ESG LEADERS SELECT | 10.170 | 0,001% | F | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 1.466 | 0,000% | F | |
| AMUNDI PATRIMOINE | 137.720 | 0,013% | F | |
| AMUNDI PATRIMO!NE PEA | 179.696 | 0,017% | F | |
| AMUNDI PRIME EUROZONE | 12.303 | 0,001% | F | |
| AMUNDI RENDEMENT PLUS | 45.531 | 0,004% | F |
F
AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA
90.594
0,009%

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| AMUNDI STOXX EUROPE 600 | 43.516 | 0,004% | F | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 6.135 | 0,001% | F | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | રેરિક | 0,000% | F | |
| AMUNDI TRANSMISSION ACTIONS | 3.616 | 0,000% | F | |
| AP ACTIONS I EURO | 24.175 | 0.002% | F | |
| ARGENTA-FUND FINANCE DYNAMIC | 318.159 | 0.030% | F | |
| ARIZONA PSPRS TRUST | 90.115 | 0,009% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 162.447 | 0.01 6% | F | |
| ARREO QUANT 1 | 55.476 | 0.005% | F | |
| ASIAN DEVELOPMENT BANK | 286 | 0,000% | F | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 24.969 | 0,002% | F | |
| ASSICURAZIONI GENERALI SPA | 2.496 | 0,000% | F | |
| ASSURDIX | 64.034 | 0,006% | F | |
| ATCP-UI-FONDS | 2.298 | 0,000% | F | |
| AURION GLOBAL EQUITY FUND | 1.946 | 0,000% | F | |
| AUSTRALIAN CAPITAL TERRITORY | 11.451 | 0,001% | F | |
| AUSTRALIAN RETIREMENT TRUST | 382.064 | 0,036% | F | |
| AUSTRALIANSUPER | 3.371 | 0.000% | F | |
| AVALON PORTFOLIO II LLC | 1.581 | 0,000% | F | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | ||||
| INTERNATIONAL INDEX TRACKING FUND | 11.529 | 0.001% | F | |
| Aviva Investors Passive Funds ACS - Al 30:70 Global Equity (Currency Hedged) Index Fund |
5.531 | 0,001% | F | |
| Aviva Investors Passive Funds ACS - Al 50:50 Global Equity Index Fund | 60.344 | 0.006% | F | |
| Aviva Investors Passive Funds ACS - Al 60:40 Global Equity Index Fund | 24.203 | 0.002% | F | |
| Aviva Investors Passive Funds ACS - Al Continental European Equity | 96.752 | 0.009% | F | |
| Index Fund | ||||
| Aviva Investors Passive Funds ACS - Al Developed European ex UK Equity Index Fund |
113.221 | 0.01 1% | F | |
| Aviva Investors Passive Funds ACS - Al Developed World ex UK Equity Index Fund |
37.896 | 0,004% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND I |
733 | 0.000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND II |
3.568 | 0.000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- | 2.878 | 0.000% | F | |
| ASSET CORE FUND III AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- |
2.260 | 0,000% | F | |
| ASSET CORE FUND IV AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- |
||||
| ASSET CORE FUND V | 1.279 | 0.000% | F | |
| Aviva Investors UK Fund Services Limited | 86.285 | 0.008% | F | |
| AVIVA LIFE & PENSIONS IRELAND DAC | 42.739 | 0.004% | F | |
| AVIVA LIFE & PENSIONS UK LIMITED | 1.098.996 | 0.105% | F | |
| AWARE SUPER | 2.421 | 0,000% | F | |
| AXA AA DIVERSIFIE INDICIEL 1 | 35.81 6 | 0.003% | F | |
| AXA EURO VALEURS RESPONSABLES | 453.000 | 0,043% | F | |
| AXA IM EQUITY TRUST | 144.000 | 0,01 4% | F | |
| AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CHJ STRATEGY FUND - ECONOMIC |
228.383 | 0,022% | F | |
| AXA Investment Managers UK Limited | 184.722 | 0.018% | F | |
| AXA MPS FINANCIAL DESIGNATED ACTIVITY CO | 660.000 | 0.043% | F | |
| AXA VALEURS EURO | 275.000 | 0,026% | F | |
| AXA Vorsorge Fonds II Equities Global Markets Credit Suisse Funds AG | 25.187 | 0,002% | F | |
| AXA WORLD FUNDS | 2.810.000 | 0,268% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 844.200 | 0,081% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 37.000 | 0,004% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 675.500 | 0,064% | F | |
| AZ FUND 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES | 278.010 | 0,027% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 99.000 | 0,009% | F | |

| Anagrafica | CF/Pi | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| AZIMUT CAPITAL MANAGEMENT SGR SPA | ୧୧। .500 | 0.063% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 14.213 | 0,001% | F | |
| AZL INTERNATIONAL INDEX FUND | 44.818 | 0,004% | F | |
| B BENZEKRI FUND | 11.400 | 0,001% | F | |
| BANCO CENTRAL DE TIMOR-LESTE (BCIL) | 10.622 | 0,001% | P | |
| BANCOPOSTA EQUITY ALL COUNTRY | 2.204 | 0,000% | F | |
| BANK OF BOTSWANA. | 3.265 | 0,000% | F | |
| BANK OF KOREA | 2.851 | 0.000% | F | |
| BANSABADELL 18 FP | 2.196 | 0,000% | F | |
| BASSWOOD INTERNATIONAL FUND LP | 23.075 | 0,002% | F | |
| BASSWOOD INTERNATIONAL FUND LTD. C/O IMS FUND SERVICES | 10.447 | 0,001% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LP. | 3.090 | 0,000% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LTD. C/O | 9.971 | 0,001% | F | |
| INTERNATIONAL MGMT. SERVICES LTD. | ||||
| BATI ACTION OPTIMUM | 175.000 | 0.017% | F | |
| BBH (LUX) SCA CUSTODIAN FOR FIDELITY ACTIVE STRATEGY EUROPE FUND |
1.600.274 | 0.153% | F | |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 4.703 | 0,000% | F | |
| BDF FONDS E ACTIONS EUROPEENNES | 36.090 | 0,003% | F | |
| BEAT DRUGS FUND ASSOCIATION | રવેક | 0.000% | F | |
| BEL EQUITY EUROPE ESG | 125.798 | 0,012% | F | |
| BELLSOUTH CORP RFA VEBA TRUST | 8.303 | 0,001% | F | |
| BERESFORD FUNDS ICAV | 1.627 | 0.000% | F | |
| BEST BUSINESS MODELS SKI | 2.400.000 | 0,229% | F | |
| Best Investment Corporation | 3.907 | 0.000% | F | |
| BESTSELECT - UBS SRI GLOBAL EQUITY | 4.402 | 0,000% | F | |
| BETAMAX EUROPE | 7.101 | 0.001% | F | |
| BFT EURO FUTUR ISR | 57.000 | 0,005% | F | |
| BG MASTER FUND ICAV. | 119.143 | 0,011% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREE |
17.503 | 0,002% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 77.982 | 0,007% | F | |
| BLACKROCK CDN MSCI ACWIEX-CANADA INDEX FUND | 10.530 | 0,001% | F | |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 234.113 | 0,022% | F | |
| BLACKROCK CDN WORLD INDEX FUND | 34.116 | 0.003% | F | |
| BLACKROCK FUND MANAGERS LID | 46.141 | 0,004% | F | |
| BLACKROCK FUNDS I ICAV | 6.095 | 0.001% | F | |
| BLACKROCK FUTURE FINANCIAL AND TECHNOLOGY ETF | 12.949 | 0,001% | F | |
| BLACKROCK GLOBAL FUNDS | 234.661 | 0.022% | F | |
| BLACKROCK GLOBAL INDEX FUNDS | 33.336 | 0,003% | F | |
| BLACKROCK INDEX SELECTION FUND | 180.267 | 0,017% | F | |
| BLACKROCK INSTITUTIONAL POQLED FUNDS PLC | ୧3.968 | 0,006% | P | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDFOR EMPLOYEE BENEFIT TRUSTS |
34.315 | 0,003% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
4.494.237 | 0,429% | F | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. |
7.615 | 0.001% | F | |
| BLACKROCK LIFE LIMITED | 16.576 | 0,002% | F | |
| BLACKROCK LIFE LTD | 59.693 | 0,006% | F | |
| BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK | 7.261 | 0.001% | F | |
| VARIABLE SERIES FUNDS, INC. BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B |
132.675 | 0,013% | F | |
| BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 61.287 | 0,006% | F | |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND | 79.228 | 0.008% | F | |
| LIMITED BLACKWELL PARTNERS LLC - SERIE E C/O CORPORATION SERVICE |
||||
| COMPANY | 14.171 | 0.001% | F | |
| BMO MSCI EAFE ESG LEADERS INDEXETF | 4.179 | 0.000% | F | |
| BMO MSCI EAFE INDEX ETF | 226.369 | 0,022% | F |
દ્રીયર્ડદ

EMARKET SDIR CERTIFIED

| Anagrafica | CF/Pl | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| CDP EQUITY SPA | 69.401.443 | 6,627% | F | |
| CENTRAL PROVIDENT FUND BOARD | 1.439 | 0,000% | F | |
| CERVURITE INTERNATIONAL LLC | 32.846 | 0,003% | F | |
| CFSIL RE CNEALTH GS FD 16 | 7.144 | 0,001% | F | |
| CHEVRON UK PENSION PLAN | 2.607 | 0,000% | F | |
| CHINA LIFE INSURANCE COMPANY LIMITED | 8.388 | 0,001% | F | |
| CIBC EUROPEAN INDEX FUND | 2.636 | 0,000% | F | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 1.096 | 0,000% | F | |
| CIBC INTERNATIONAL EQUITY INDEXPOOL | 511 | 0,000% | F | |
| CIBC INTERNATIONAL INDEX FUND | 28.280 | 0,003% | F | |
| CINDY SPRINGS LLC. | 50.181 | 0,005% | F | |
| CITITRUST LIMITED | 24.947 | 0,002% | F | |
| CITITUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS- BLACKROCK WORLD EQUITY INDEX FUND |
5.012 | 0,000% | F | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 50.716 | 0.005% | F | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 34.216 | 0.003% | F | |
| CITY UNIVERSITY OF NEW YORK | 708 | 0,000% | F | |
| Civil Service Employees Pension Fund | 4.991 | 0,000% | F | |
| CLAY FUNDS - CLAY EUROPEAN MULTI ASSETS | 25.000 | 0,002% | F | |
| CLAY FUNDS - CLAY EUROPEAN MULTI CAPS | 54.000 | 0,005% | F | |
| CLBRM LIQUID FUNDS - GLOBAL MACRO | 530.242 | 0,051% | F | |
| CLEOME INDEX - EMU EQUITIES | 10.521 | 0,001% | F | |
| CLEOME INDEX - EUROPE EQUITIES | 36.050 | 0.003% | F | |
| CM-AM ENTREPRENEURS EUROPE | 1.080.000 | 0,103% | F | |
| CM-AM EURO EQUITIES | 1.270.000 | 0,121% | F | |
| CM-AM EUROPE GROWTH | 3.000.000 | 0,286% | F | |
| CM-AM GLOBAL CITY ZEN | 17.661 | 0,002% | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 2.025 | 0,000% | F | |
| CNP Actions Europe Amundi | 504.616 | 0,048% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.016 | 0,001% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND. | 26.997 | 0,003% | F | |
| COLUMBIA ACORN EUROPEAN FUND | 155.241 | 0,015% | F | |
| COLUMBIA ACORN INTERNATIONAL | 1.574.414 | 0,150% | F | |
| COLUMBIA ACORN INTERNATIONAL SELECT | 527.233 | 0.050% | F | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. |
301.832 | 0,029% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 12.568 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES IRETIR |
93.334 | 0.009% | F | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT | 4.062 | 0,000% | F | |
| ટેપેટ COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT |
291.051 | 0,028% | F | |
| SYSTEM COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR |
166.743 | 0,016% | F | |
| ARIA COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, F.P |
1.090 | 0.000% | F | |
| CONCORDE 96 (ACTION EURO) | 23.796 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 9.971 | 0,001% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 178 | 0.000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 13.323 | 0,001% | F | |
| CONSTELLATION FITZPATRICK QUALIFIED FUND | 2.730 | 0,000% | F | |
| CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 432 | 0,000% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 1.447 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 4.831 | 0,000% | F | |
| COUNTY OF SANTA CLARA | 19.500 | 0,002% | F | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 7.060 | 0,001% | F | |
| CPR EUROLAND PREMIUM ESG | 26.069 | 0,002% | F | |
| CPR Invest - European Strategic Autonomy | 74.007 | 0,007% | E |

EMARKET

| Anagrafica | CF/Pi | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| Eagle (AIBC) & Cy S.C.A. | 79.729.512 | 7,613% | F | |
| EASTSPRING INVESTMENTS | 793 | 0,000% | F | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 3.364 | 0,000% | F | |
| ECOFI ENDURANCE EURO | 20.000 | 0.002% | F | |
| ECUREUIL PROFIL 75 (ACTIONS) | 82.259 | 0.008% | F | |
| ECUREUIL PROFIL 90 ACTIONS EUR | 329.573 | 0,031% | F | |
| Edmond de Rothschild Fund Europe Synergy | 125.360 | 0,012% | F | |
| EdR SICAV - Europe Midcaps | 53.947 | 0.005% | F | |
| EMBO-FONDS | 14.692 | 0,001% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 2.255 | 0,000% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 780 | 0,000% | F | |
| ENCYCLOPAEDIA BRITANNICA PENSION PLAN TRUST | 8.885 | 0,001% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 2.835 | 0,000% | F | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.848 | 0,002% | F | |
| ENSIGN PEAK ADVISORS INC | 30.550 | 0,003% | F | |
| EPARGNE ETHIQUE FLEXIBLE | 8.340 | 0.001% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | 43.571 | 0,004% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH | 3.538 | 0,000% | F | |
| PORTFOLIO | 6.782 | F | ||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH |
0,001% | |||
| PORTFOLIO | 14.875 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY | ||||
| PORTFOLIO | 17.705 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY | 22.358 | 0,002% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY | 69.067 | 0,007% | F | |
| PORTFOLIO | ||||
| EQUIPSUPER | 19.535 | 0,002% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 3.228 | 0,000% | F | |
| ERAFP ACTIONS EURO 1 | 1.065.845 | 0, 102% | F F |
|
| ERAFP ACTIONS EURO II | 1.150.000 | 0,110% | F | |
| ERAFP ACTIONS PAB EURO I | 11.055 79.170 |
0,001% | F | |
| ES RIVER AND MERCANTILE GLOBAL RECOVERY FUND | 1.108.834 | 0,008% | F | |
| ETFMG PRIME MOBILE PAYMENTS ETF | 0, 106% | |||
| ETFS Management (AUS) Limited as trustee for ETFS Fintech & Blockchain ETF |
7.619 | 0,001% | F | |
| ETICA AZIONARIO | 642.672 | 0,061% | F | |
| ETICA BILANCIATO | 1.410.408 | 0.135% | F | |
| ETICA OBBLIGAZIONARIO MISTO | 185.654 | 0.018% | F | |
| ETICA RENDITA BILANCIATA | 419.314 | 0,040% | F | |
| ETICA SGR SPA - FONDO ETICA OBIETTIVO SQCIALE | 2.113 | 0,000% | F | |
| ETICA SRG SPA - FONDO ETICA IMPATTO CLIMA | 450.000 | 0,043% | F | |
| ETOILE INDUSTRIE EUROPE | 59.320 | 0.006% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 14.729 | 0,001% | F | |
| EUROPEAN CENTRAL BANK | 55,345 | 0,005% | F | |
| EVA VALLEY MAI LLC | 4.531 | 0,000% | F | |
| Evergood H&F Lux S.a r.l. | 261.230.869 | 24,943% | F | |
| EWP PA FUND, LTD-INTL TRADING | 7.475 | 0,001% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 19.897 | 0,002% | F | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | F | |||
| INTERNATIONALFUND | 5.143 | 0,000% | ||
| FAMILY INVESTMENTS GLOBAL ICVC ONEFAMILY GLOBAL EQUITY FUND | 371 | 0,000% | F | |
| FC CARPIMKO (ACTIONS EURO) | 88.123 | 0,008% | F | |
| FCP ARRCO LONG TERME D | 108.767 | 0,010% | F | |
| FCP ECUREUIL RETRAITE EURO ACTIONS 4 | 150.000 | 0,01 4% | F | |
| FCP FOND MEDERIC ALZHEIMER AMU | 3.599 | 0,000% | F | |
| FCP KLESIA K RETRAITE EURO | 183.533 | 0,018% | F | |
| FCP SODIUM I | 28.1 60 | 0,003% | F |

Anagrafica
INDEX FUND
PAYMENTS ETF
UNITE XE UNIT
FII HOLDINGS. INC
FJARDF AP-FONDEN
FORD PENSION UNIVERSAL
FOREIGN STOCK INDEX MOTHER FUND
FORDHAM UNIVERSITY
FOREST FOUNDATION
FIRST SUPER
INDEX FUND
FUND
FUND
FUND
FUND
FCPE EVOLUTIS
F
F
E
F
10.325
2.328
299
25 005
0,001%
0.000%
0.002%
0.000%
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| FORSTA AP - FONDEN | 104.598 | 0,010% | F | |
| FOVERUKA PENSION UNIVERSAL | 24.836 | 0,002% | F | |
| FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 123.572 | 0,012% | F | |
| FRANCE PLACEMENT EURO ESG PLUS | 240.198 | 0.023% | F | |
| FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 4.988 | 0,000% | F | |
| FRANKLIN LIBERTYSHARES ICAV | 9.540 | 0.001% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FISE EUROPE ETF | 5.859 | 0,001% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FISE EUROPE HEDGED ETF | 804 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 9.252 | 0,001% | F | |
| FUNDACAO CALOUSTE GULBENKIAN | 5.770 | 0,001% | F | |
| FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO | 23.754 | F | ||
| ADMINISTRATIVA ESPECIAL DE MACAU | 0,002% | |||
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE | 272.488 | 0,026% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. |
5.914 | 0,001% | F | |
| G FUND OPPORTUNITIES EUROPE | 630.000 | 0,060% | F | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 16.001 | 0.002% | F | |
| GAM INVESTMENT MANAGEMENT (SWITZERLAND) AG | 5.883 | 0,001% | F | |
| GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 2.385 | 0,000% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 565.607 | 0,054% | F | |
| GENERALI ESPANA S A DE SEGUROS Y REASEGUROS | 32.571 | 0,003% | F | |
| GENERALI GLOBAL - FONDO PENSIONE APERTO A CONTRIBUZIONE DEFINITA |
201.401 | 0,019% | F | |
| GENERALI ITALIA SPA | 1.862.973 | 0,178% | F | |
| GENERALI REVENUS | 84.201 | 0,008% | F | |
| GENERALI SMART FUNDS | 65.000 | 0,006% | F | |
| GENERALI VIE | 951.834 | 0.091% | F | |
| GENERTEL SPA | 31.644 | 0.003% | F | |
| GENERTELLIFE SPA | 712.423 | 0,068% | F | |
| GERANA SICAV-SIF, S.A. | 7.858 | 0,001% | F | |
| GFA CARAIBES | 6.307 | 0,001% | F | |
| GID-FONDS ALAET | 178.000 | 0,017% | F | |
| GID-FONDS AVAOT | 66.831 | 0,006% | F | |
| GID-FONDS AVAOT 2 | 36.917 | 0,004% | F | |
| GID-FONDS CEAOT | 290.000 | 0.028% | F | |
| GID-FONDS DLAET | 32.200 | 0.003% | F | |
| GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 4.123 | 0,000% | F | |
| GLOBAL EQUITIES ENHANCED INDEX FUND | 15.757 | 0,002% | F | |
| GLOBAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. | ||||
| C/O OGIER GLOBAL (CAYMAN) LIMITED | 6 | 0.000% | F | |
| GLOBAL X ETFS ICAV | 13.378 | 0,001% | F | |
| GLOBAL X FINTECH ETF | 1.755.621 | 0,168% | F | |
| Global X Management (AUS) Limited | 459.375 | 0,044% | F | |
| GODFOND SVERIGE & VARLDEN | 1.232 | 0,000% | F | |
| GOLDMAN SACHS ETF ICAV | કર્ | 0,000% | F | |
| GOLDMAN SACHS EIF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | રજેવ | 0,000% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 156.291 | 0,015% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
16.481 | 0,002% | F | |
| GOLDMAN SACHS FUNDS | 1.981 | 0,000% | F | |
| GOLDMAN SACHS FUNDS III | 39.623 | 0,004% | F | |
| GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN | 6.028 | 0,001% | F | |
| TRACKER FUND | ||||
| GOVERNMENT OF NORWAY | 23.072.173 | 2,203% | F | |
| GOVERNMENT OF SINGAPORE | 24.824.429 | 2,370% | E | |
| GOVERNMENT PENSION INVESTMENT FUND | 3.771.016 | 0,360% | F | |
| GRAHAM DEVELOPMENTAL EQUITY STRATEGIES LLC | 275 | 0,000% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 5.345 | 0,001% | F |
11/135

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| IMPERIAL INTERNATIONAL EQUITY POOL | 26.414 | 0.003% | F | |
| IMPROVING EUROPEAN MODELS SRI | 90.000 | 0,009% | F | |
| INDEXIQ Factors Sustainable EMU Equity | । સ્વિ | 0,000% | F | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 7.345 | 0.001% | F | |
| ING DIRECT FONDO NARANJA CONSERVADOR,FI | 1.307 | 0,000% | F | |
| ING DIRECT FONDO NARANJA DINAMICO,FI | 1 4.404 | 0,001% | F | |
| ING DIRECT FONDO NARANJA MODERADO,FI | 8.609 | 0,001% | F | |
| ING DIRECT SİCAV | 29.962 | 0,003% | F | |
| INSTITUTIONAL RETIREMENT TRUST | 37.694 | 0,004% | F | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 407.365 | 0,039% | F | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT | 464.866 | 0,044% | f | |
| DIMENSIONS GROUP INC | ||||
| INTERNATIONAL EQUITIES SECTOR TRUST INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST |
1.051 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND | 2.405 | 0.000% | F F |
|
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT | 36.436 | 0,003% | ||
| ACCOUNT | 29 | 0.000% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L |
88.166 | 0.008% | F | |
| INVESCO FISE RAFI DEVELOPED MARKETS EX U S ETF | 48.723 | 0,005% | F | |
| INVESCO MARKETS II PLC | 16.923 | 0,002% | F | |
| INVESCO MARKETS III PLC | 418 | 0,000% | F | |
| INVESCO PUREBETA FISE DEVELOPED EX NORTH AMERICA ETF | 373 | 0,000% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 2.510 | 0,000% | F | |
| IINVESTERINGSFORENINGEN BANKINVEST ENGROS, GLOBALE AKTIER AKK.KL |
102.245 | 0.010% | F | |
| IINVESTERINGSFORENINGEN INVESTIN SAMPENSION GLOBALE AKTIER | 819 | 0,000% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS | 3.877 | 0,000% | F | |
| KL INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS GLOBALE AKTI |
17.243 | 0.002% | F | |
| 9.795 | 0.001% | F | ||
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | ||||
| INVESTISSEMENT 101 AUTRES | 4.643 | 0,000% | F | |
| INVESTITORI EIGHTY TWENTY | 9.550 | 0.001% | F | |
| INVESTITORI EUROPA | 7.500 | 0,001% | F F |
|
| Investors Wholesale Global Equity (Index) Trust | 24.607 11 '886 |
0,002% 0,001% |
F | |
| IP ACTIONS EURO IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF |
19.708 | 0.002% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 10.100 | 0,001% | F | |
| IRCANTEC PAB AMUNDI | ୧୫.୫୧୦ | 0,007% | F | |
| IRCEC CASSETTE DIVERSIFIE | 23.461 | 0,002% | F | |
| IRISH LIFE ASSURANCE PLC | 103.877 | 0.01 0% | F | |
| IRISH LIFE ASSURANCE. | 58.540 | 0,006% | F | |
| IRISH LIFE CLIMATE FOCUSED FUND | 2.189 | 0,000% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.644 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 3.183.677 | 0,304% | F | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 146.296 | 0,014% | F | |
| ISHARES CORE MSCI EUROPE ETF | 263.636 | 0,025% | F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 313.641 | 0,030% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 702.224 | 0,067% | F | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS (AUD | 3.347 | 0,000% | F | |
| HEDGED) EIF | 6.581 | 0,001% | F | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS ETF | 29.346 | 0.003% | F | |
| ISHARES ESG ADVANCED MSCI EAFE ETF ISHARES ESG ADVANCED MSCIEAFE INDEX ETF |
5.287 | 0.001% | F | |
| ISHARES ESG MSCI EAFE LEADERS INDEX ETF | 333 | 0,000% | F | |
| ISHARES EURO STOXX UCITS ETF (DE) | 243.107 | 0.023% | F | |
| ISHARES EUROPE ETF | 153.177 | 0,015% | 10 | |
| ISHARES EXPONENTIAL TECHNOLOGIES ETF | 1.816.202 | 0,173% | ||
13/135
EMARKET
SDIR
12

| F 2.730 0,000% ISHARES EXPONENTIAL TECHNOLOGIES INDEX ETF F 42.185 0,004% ISHARES GLOBAL FINANCIALS ETF F 537.050 0,051% ISHARES II PUBLIC LIMITED COMPANY F 238.825 0,023% ISHARES III PUBLIC LIMITED COMPANY F 2.863 0,000% ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF F 933.527 0,089% ISHARES IV PUBLIC LIMITED COMPANY F 162.378 0,016% ISHARES MSCI ACWI ETF F 104.064 0,010% ISHARES MSCI ACWI EX U.S. ETF F 1.866.361 0,178% ISHARES MSCI EAFE ETF F 987.627 0.09 4% ISHARES MSCI EAFE GROWTH ETF F 336.986 ISHARES MSCI EAFE INTERNATIONALINDEX FUND 0,032% F 12.113 ISHARES MSCI EUROPE IMI INDEX ETF 0,001% F 864.697 0,083% ISHARES MSCI EUROZONE ETF F 3.702 0.000% ISHARES MSCI INTL SIZE FACTOR ETF F 159.628 0,015% ISHARES MSCI INTL VALUE FACTOR ETF F 823.337 0,079% ISHARES MSCI ITALY ETF F 2.466 0,000% ISHARES MSCI KOKUSAI ETF F 35.076 0,003% ISHARES MSCI WORLD ETF F 87.055 0,008% ISHARES PUBLIC LIMITED COMPANY F ISHARES STOXX EUROPE 600 INDUSTRIAL GOODSSERVICES UCITS EIF DE 139.804 0,013% F 402-733 ISHARES STOXX EUROPE 600 UCITS ETF (DE) 0,038% F ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) 169.646 0,016% F ISHARES V PUBLIC LIMITED COMPANY 57.924 0,006% 81.293 F ISHARES VI PUBLIC LIMITED COMPANY 0,008% F ISHARES VII PLC 233.307 0.022% F ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND 44.836 0,004% F 3.915 ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND 0.000% F ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) 5.152 0,000% F JANUS HENDERSON GLOBAL FINANCIALS FUND 45.789 0.004% JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES F 5.107 0,000% FUND JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO 89.156 F 0,009% JANUS HENDERSON MULTI STRATEGY MASTER FUND LIMITED (THE) C/O F 4.135 0,000% JANUS CAPITAL MANAGEMENT LLC JNL INTERNATIONAL INDEX FUND F 125.769 0,012% JNL/JPMORGAN GLOBAL ALLOCATION FUND 0,000% F 1.692 JNL/MELLON MSCI WORLD INDEX FUND F 5.231 0,000% JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY 0.010% F 101.748 ALLOCATION FUND JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY 0,000% 1.144 દ JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY F 33.245 0,003% JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF 6.274 F 0,001% John Hancock Trust Company Collective Investment Trust F 4.401 0,000% JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY F 17.962 0,002% INDEX TRUST. JOHN HANCOCK VARIABLE INSURANCEIRUST STRAT EQ ALLOCATION E 86.121 0,008% TRUST JPMORGAN BETABUILDERS EUROPE ETF 0.073% F 764.381 JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF 185.263 F 0,018% JPMORGAN GLOBAL ALLOCATION FUND 3.815 F 0.000% JTW TRUST NO. 1 UAD 9/19/02 1.472 F 0,000% JTW TRUST NO. 2 UAD 9/19/02 2.038 F 0,000% JTW TRUST NO. 3 UAD 9/19/02 2.529 F 0,000% JTW TRUST NO. 4 UAD 9/19/02 F 2.253 0,000% JTW TRUST NO. 5 UAD 9/19/02 F 1.139 0,000% JUPITER EUROPEAN FUND. 5.980.820 F 0,571% JUPITER EUROPEAN SPECIAL SITUATIONS FUND. 563.750 le 0,054% |
Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|---|
| Anagrafica | CF/Pl | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| K INVESTMENTS SH LIMITED. | 57.618 | 0.006% | F | |
| KAISER FOUNDATION HOSPITALS | 10.386 | 0,001% | F | |
| KAISER PERMANENTE GROUP TRUST | 23.621 | 0,002% | F | |
| KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 9.197 | 0,001% | F | |
| KAPITALFORENINGEN INSTITUTIONEL INVESTOR, EUROPAEISKE SMALL CAP AKTIER |
825.949 | 0.079% | F | |
| KAPITALFORENINGEN INVESTIN PRO GLOBALE AKTIER INDEX | 39.065 | 0.004% | F | |
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 142.704 | 0,01 4% | F | |
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED |
44.382 | 0,004% | F | |
| KBC EQUITY FUND EUROZONE DBFRDT | 69.694 | 0,007% | F | |
| KBC EQUITY FUND NEW SHARES | 33.232 | 0,003% | F | |
| KBC EQUITY FUND SRI EUROZONE | 76.783 | 0,007% | F | |
| KBC EQUITY FUND SRI WORLD | 17.777 | 0,002% | F | |
| KBC INST FUND EURO EQUITY | 124.446 | 0,012% | F | |
| KFP MARKETABLE LLC | 1.114 | 0,000% | F | |
| KOKUŠAI EQ IDX FD,A TR BLROCK | 19.031 | 0,002% | F | |
| L AND G ASSURIPENS MGNT)LTD I LGIM PMC CSUF(36670) TESCO | ||||
| INDEX EQUITY TSGN (5270 | 18.576 | 0,002% | F | |
| L.S. CHALLENGE | 2.000 | 0.000% | F | |
| LARCOUEST INVESTISSEMENT - MH | 12.000 | 0,001% | F | |
| LARGE CAP INTL PORTFOLIO OF DFA INV | 220.310 | 0,021% | F | |
| LAZAM INVESTMENT | 14.100 | 0,001% | F | |
| ILBPAM IRC ACTIONS ISR | 200.453 | 0,019% | F | |
| LBPAM ISR ACTIONS 80 | 49.115 | 0,005% | F | |
| ILBPAM ISR ACTIONS EURO LARGE CAP | 45.239 | 0,004% | F | |
| LBPAM ISR ACTIONS EURO MIN VOL | 1.157 | 0,000% | F | |
| ILBPAM ISR AVENIR EURO | 4.084 | 0,000% | F | |
| LBPAM ISR STRATEGIE PEA 1 | 6.062 | 0,001% | F | |
| LBPAM ISR STRATEGIE PEA 2 | 9.682 | 0,001% | F | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 1.114 | 0,000% | പ | |
| LEADERSEL P.M.I | 10 | 0,000% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 21.334 | 0,002% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 6.144 | 0,001% | F | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 187 | 0,000% | F | |
| LEGAL & GENERAL ICAV. | 1.105 | 0,000% | F | |
| LEGAL & GENERAL MSCI EAFE FUND LLC | 40.517 | 0,004% | F | |
| LEGAL & GENERAL MSCI EAFE SL FUND LLC | 43.303 | 0,004% | F | |
| LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) | 131.519 | 0.013% | F | |
| LIMITEDONS MANAGEMENT) LIMITED LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED |
1.446.273 | 0,138% | F | |
| ILEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 26.206 | 0,003% | F | |
| 41.003 | 0,004% | F | ||
| LEGAL AND GENERAL CCF LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. |
84.820 | 0,008% | F | |
| 2.016 | F | |||
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 271.944 | 0,000% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 2.741 | 0,026% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 0.000% | F | ||
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 71.738 | 0,007% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 92.581 | 0,009% | ||
| LGAS SHF EURO EX UK ESG FD(1848 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 |
6.005 | 0,001% | F | |
| LGAS SHF FUT WRLD ESG DEV IDX(6734) | 1.835 | 0,000% | F | |
| LGIASUPER | 22.213 | 0,002% | F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME. | 787 | 0,000% | F | |
| LIF-LYX DIGIT ECONOMY(DR)UCITS | 43.417 | 0,004% | F | |
| LIF-LYX DISRUPTIVE TECH(DR)UC | 52.01.2 | 0,005% | F | |
| LIF-LYX MILLENNIALS UCITS ETF | 18.457 | 0,002% | F |
ર્દ્રાંગરૂટ
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| LIF-LYX MSCI WRL CATHOL PRINC | 4.830 | 0,000% | F | |
| LMAP 909 SUB FUND OF LMAP IRELAND ICAV | 17.127 | 0,002% | F | |
| JLMAP IRELAND ICAV - LMAP 910 MAPLES CORPORATE SERVICES LTD | 7.386 | 0,001% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 299 | 0,000% | F | |
| LONDON LGPS CIV AUTHORISED CONTRACTUAL SCHEME. | 8.678 | 0,001% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 264 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM | 76 | 0,000% | F | |
| ILOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 21.721 | 0,002% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW ESG (MARKET | ||||
| NEUTR | 51.090 | 0,005% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW SYSTEMATIC ALPHA |
108.717 | 0.010% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS (MARKET NEUT |
581 .335 | 0,056% | F | |
| ILUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS UCITS FUND | 846.940 | 0,081% | F | |
| LUNA LLC | 308 | 0,000% | F | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 10.855 | 0.001% | F | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 83.097 | 0,008% | F | |
| LYX CORE MSCI WLD(DR)UCITS ETF | 17.230 | 0,002% | F | |
| LYX IND -LYX CORE STOXX EU 600 | 448.613 | 0.043% | F | |
| LYX MSCI EU ESG LEADERS (DR) | 193.252 | 0.018% | F | |
| LYXIND FD-LYX MSCI EMU GROWTH | 17.402 | 0.002% | F | |
| Lyxor 1 STOXX Europe 600 ESG (DR) UCITS ETF | 3.791 | 0,000% | F | |
| LYXOR FTSE MIB UCITS ETF | 507.028 | 0,048% | F | |
| LYXOR MSCI EUROPE UCITS ETF | 49.975 | 0,005% | F | |
| LYXOR-MSCI EMU ESG BROD CTB | 16.875 | 0,002% | F | |
| M INTERNATIONAL EQUITY FUND | 3.909 | 0,000% | F | |
| M STANLEY PATHWAY FD-INTEQ FD | 10.618 | 0,001% | F | |
| MACK EAFE EQUITY POOL | 15.799 | 0,002% | F | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 16.087 | F | ||
| MACKENZIE MAX DIVERSIFICATION DEVELOPED EUR INDEX ETF | 0,002% | F | ||
| MACKENZIE MAXIMUM DIVERS.ALL WORLD DEVELOPED EX NORTH | 479 1.230 |
0,000% 0,000% |
F | |
| AMERICA IE | ||||
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.586 | 0.000% | F | |
| MACQUARIE MULTI-FACTOR FUND | 1.278 | 0,000% | F | |
| MACQUARIE WHOLESALE FUNDS | 1.949 | 0.000% | F | |
| MADELEINE | 145.510 | 0,01 4% | F | |
| MAIN I - UNIVERSAL - FONDS | 10.736 | 0.001% | F | |
| MANAGED PENSION FUNDS LIMITED | 228.075 | 0,022% | F | |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND |
26.418 | 0,003% | F | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 5.853 | 0,001% | F | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 2.872 | 0,000% | F | |
| MARIGOLD TACTICAL STRATEGIES LTD | 2.834 | 0,000% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES - TOPS WORLD EQUITIES FU | 12.666 | 0.001% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O MARSHALL WACE IRELAND LTD. |
1.131.621 | 0,108% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-MARKET NEUTRAL TOPS FUND |
874 | 0,000% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-TOPS GLOBAL EQUITIES LE | 10.320 | 0,001% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 22.036 | 0,002% | F | |
| MASTER TRUST BANK OF JAPAN LTD. RE: FIDELITY EUROPE FUND | 555.055 | 0,053% | F | |
| MASTERINVEST KAPITALANLAGE GMBH | 2.019 | 0,000% | F | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 9.494 | 0,001% | F | |
| MAZAL | 5.600 | 0,001% | F | |
| Mazzia Paolo | 1.000 | F | ||
| MBB PUBLIC MARKETS I LLC | 45.375 | 0.000% | P | |
| MBB SMART FUND C LLC | 0,004% | |||
| 4.184 | 0,000% | F |

| Anagrafica | CF/Pi | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 21.489 | 0,002% | F | |
| MEDICAL ASSURANCE SOCIETY NEW ZEALAND LIMITED | 11.655 | 0.001% | F | |
| MEDIOLANUM BEST BRANDS - COUPON STRATEGY COLLECTION | 219.143 | 0,021% | F | |
| MEDIOLANUM BEST BRANDS - EQUITY POWER COUPON COLLECTION | 282.246 | 0,027% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.700.000 | 0,258% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 6.300.000 | 0,602% | F | |
| MERCER PASSIVE INTERNATIONAL SHARES FUND | 23.228 | 0,002% | F | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.814 | 0,000% | F | |
| MERCER PRIVATE WEALTH INTERNATIONAL FOCUSED EQUITY POOL | 9.779 | 0,001% | F | |
| MERCER QIF COMMON CONTRACTUAL FUND | 678.556 | 0.065% | F | |
| MERCER UCITS COMMON CONTRACTUALFUND | 15.220 | 0,001% | F | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 17.388 | F | ||
| MERCURY UK HOLDCO LIMITED | 121.631.574 | 0,002% | F | |
| METIS EQUITY TRUST. | 11,614% | F | ||
| METROPOLITAN LIFE INSURANCE COMPANY | 8.492 | 0,001% | ||
| 26.176 | 0,002% | F | ||
| MF INTERNATIONAL FUND LLC | 18.270 | 0,002% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 8.300 | 0,001% | F | |
| MGI FÜNDS PLC | 43.363 | 0,004% | F | |
| MICHELLE LUND REV TRUST | 1,209 | 0,000% | F | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 2.157 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 30 | 1.200 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 1.370 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 50 | 1.670 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 1.230 | 0,000% | F | |
| MINE SUPERANNUATION FUND | 6.387 | 0,001% | F | |
| MIRAE ASSET GLOBAL INVESTMENTS (HK) LIMITED. | 6.767 | 0,001% | F | |
| MLC INVESTMENTS, MLC LIMITED | 22.468 | 0,002% | F | |
| MME 2026 | 300,000 | 0,029% | F | |
| MME 2027 | 99.998 | 0,010% | F | |
| MOBIUS LIFE LIMITED | 10.668 | 0,001% | F | |
| MONCEAU ACTIONS EEE | 162.271 | 0.01 5% | F | |
| MONETA LONG SHORT | 800.000 | 0.076% | F | |
| MONETA MICRO ENTREPRISES | 500.002 | 0,048% | F | |
| MONETA MULTI CAPS | 5.500.000 | 0,525% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 7.829.123 | 0,748% | F | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO |
2.933 | 0,000% | F | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO |
487 | 0,000% | F | |
| IMOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 6.169 | 0,001% | F | |
| MOTHER CABRINI HEALTH FOUNDATION INC | 14.907 | 0,001% | F | |
| MOZILLA CORPORATION | 2.970 | 0,000% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 23.335 | 0,002% | F | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 372 | 0,000% | F | |
| 241.974 | F | |||
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 83.143 | 0,023% | F | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 0,008% | F | ||
| MUGUET VENTURES LLC | 1.575 | 0.000% | ||
| MUL- LYX FTSE IT ALL CAP PIR20 | 11.270 | 0,001% | F | |
| MUL-LY MSCI EU ESG C I CIB DR | 92 | 0,000% | F | |
| MUL-LYX NET ZERO 50 SP EU CLIP | 8.180 | 0.001% | F | |
| MUL-LYX NET ZERO 50 SP WLD CLI | 2.729 | 0,000% | F | |
| MUL-LYX NET ZERO50 SP EU CLI P | 387.803 | 0,037% | F | |
| MULTI UNITS LUX-LYX CORE MSCI | 46.183 | 0,004% | F | |
| MULTIFLEX SICAV | 5.098 | 0,000% | F | |
| MULTILABEL SICAV | 285.282 | 0,027% | F | |
| IMUNICIPAL EMPLOYEES ANNUITY AND BENEFIT FUND OF CHICAGO | 1.168 | 0,000% | F | |
| MW INV Strat Eureka Fund AC | 360.339 | 0,034% | F |

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| MWIS - TOPS DEVELOPED WORLD EQUITIES FUND | 12.176 | 0,001% | F | |
| MWIS TOPS Intl Equity Fd AC | 36.683 | 0,004% | F | |
| MWIS TOPS World EX US AC | 143.360 | 0,014% | F | |
| NATIO-FONDS COLLINE INTERNATIONAL | 105.073 | 0,010% | F | |
| NATIONAL BANK FINANCIAL INC | 3.691 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 5.079 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 127.284 | 0,012% | F | |
| NATIONAL PENSION INSURANCE FUND | 3.017 | 0,000% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 349.430 | 0.033% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 40.056 | 0,004% | F | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 43.812 | 0,004% | F | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
14.148 | 0,001% | F | |
| NBIMC EAFE EQUITY INDEX FUND. | 238 | 0,000% | F | |
| NEMOURS FOUNDATION | 471 | 0,000% | F | |
| INEUALT LLC | 9.733 | 0,001% | F | |
| NEUBERGER BERMAN ADVISERS MANAGEMENT TRUST INTERNATIONAL EQUITYPORTFOLIO |
36.909 | 0,004% | F | |
| NEUBERGER BERMAN INTERNATIONAL EQUITY FUND | 1.236.843 | 0,118% | F | |
| NEUBERGER BERMAN INTERNATIONAL SELECT FUND | 163.235 | 0.016% | F | |
| NEUBERGER BERMAN TRUST COMPANY N.A. COLLECTIVE INVESTMENT TRUST |
144.598 | 0.014% | F | |
| NEW AIRWAYS PENSION SCHEME | 311 | 0,000% | F | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 7.819 | 0,001% | F | |
| NEW YORK STATE COMMON RETIREMENT FUND | 32.879 | 0,003% | F | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 174.625 | 0,017% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POW |
ો 15 | 0,000% | F | |
| NFS LIMITED | 7.193 | 0,001% | F | |
| NMTB/NIK KOKUSAI-H 935034 | 1.336 | 0,000% | F | |
| NMTB/NIK KOKUSAI-NH 935026 | 21.240 | 0,002% | F | |
| NORDEA EUROPEAN PASSIVE FUND | 9.703 | 0,001% | F | |
| NORDEA GLOBAL PASSIVE FUND | 15.946 | 0,002% | F | |
| NORDEA WORLD PASSIVE FUND | 14.068 | 0,001% | F | |
| NORGES BANK | 133.982 | 0.013% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 165.879 | 0.016% | F | |
| NORTHERN GLOBAL SUSTAINABILITY INDEX FUND | 34.837 | 0,003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
28.302 | 0,003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX- US F |
31.689 | 0,003% | F | |
| NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 29.019 | 0,003% | F | |
| NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 84.687 | 0,008% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 1.256.935 | 0,120% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 350.789 | 0.033% | F | |
| NORTHERN TRUST UCITS FGR FUND | 78.222 | 0,007% | F | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 4.486 | 0,000% | F | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 4.043 | 0,000% | F | |
| NSP MONTICELLO MINNESOTA RETAIL | 9.613 | 0,001% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND | 531 | 0,000% | F | |
| NTCC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 199.154 | 0.019% | F | |
| NVIT INTERNATIONAL INDEX FUND | 48.821 | 0.005% | F | |
| OAKMARK INTERNATIONAL SMALL CAPFUND | 4.190.700 | 0,400% | F | |
| OFI INVEST ESG EURO EQ SM BETA | 36.233 | 0,003% | F | |
| OHMAN MARKNAD EUROPA | 19.562 | 0.002% | F | |
| OHMAN MARKNAD GLOBAL | 17.510 | 0,002% | F | |
| OMEGA FFIP LIMITED PARTNERSHIP | 484 | 0,000% | F | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 55.215 | 0,005% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 823 | 0,000% | F |

| Anagrafica | CF/Pl | Azıoni | % su votanti Voto | |
|---|---|---|---|---|
| ORANO ACTIONS ZONE EURO | 14.231 | 0,001% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 544.300 | 0,052% | F | |
| OSSIAM LUX | 30.81 6 | 0,003% | F | |
| PANAGORA GROUP TRUST | 22.358 | 0,002% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 11.200 | 0,001% | F | |
| PCFS - EUROPE SMALL & MID CAP EQUITIES | 12.434 | 0.001% | F | |
| PCFS - PURE DYNAMIC OPPORTUNITY | 18.000 | 0,002% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 3.202 | 0,000% | F | |
| PENSION BENEFIT GUARANTY CORPORATION | 523.722 | 0,050% | F | |
| PENSION RESERVES INVESTMENT TRUST FUND | 89.803 | 0,009% | F | |
| PEOPLE'S BANK OF CHINA | 813.040 | 0.078% | F | |
| PERP PROG (ACTIONS EUROPE) | 18.856 | 0,002% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 2.126 | 0,000% | F | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 1.175 | 0,000% | F | |
| PICTET - EUROPE INDEX | 56.662 | 0.005% | F | |
| PICTET - MULTI ASSET GLOBAL OPPORTUNITIES | 7.804 | 0,001% | F | |
| PICTET CH - GLOBAL EQUITIES | 7.585 | 0,001% | F | |
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER | 14.480 | 0.001% | F | |
| PICTET CHINSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL | 19.408 | 0,002% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER | 13.736 | 0.001% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE | 2.164 | 0.000% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS SUSTAINABLE EQUITIES TRACKER |
11.552 | 0,001% | F | |
| PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX S |
6.959 | 0,001% | F | |
| PICTET-EUROLAND INDEX | 31.875 | 0.003% | F | |
| PIER 21 GLOBAL GROWTH POOL | 2.05 I | 0,000% | F | |
| PINEBRIDGE GLOBAL FUNDS | 2.973 | 0,000% | F | |
| PIR EQUITY AXA ASSICURAZIONI | 180.000 | 0,017% | F | |
| PK CSG World Equity Credit Suisse Funds AG | 17.072 | 0.002% | F | |
| PLATO INST I FUND EURO EQUITY | 13.455 | 0,001% | F | |
| PLATO INST I FUND EUROPEAN EQUITY | 25.375 | 0,002% | F | |
| Plato Instit Index Fnd World D8I-RDT | 7.029 | 0,001% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 2.618 | 0,000% | F | |
| POINTZ ASSOCIATES LLC C/O WALKERS CORPORATE LIMITED | ||||
| CAYMAN CORPORATE CENTRE | 1.617 | 0,000% | F | |
| Pollux | 7.940 | 0,001% | F | |
| POOL REINSURANCE CO LTD | 3.017 | 0,000% | F | |
| PORTZAMPARC OPPORTUNITES | 70.000 | 0,007% | F | |
| POSTE ITALIANE SPA | 97103880585 | 46.518.238 | 4,442% | F |
| PRESBYTERIAN CHURCH IN AMERICA TAX-SHELTERED ANNUITY PLAN | 3.630 | 0.000% | F | |
| PRESCIENT ICAV | 78.750 | 0,008% | F | |
| PREVINDAI BİL EURIZON | 5.510 | 0,001% | F | |
| PREVINDAI SVI EURIZON | 7.682 | 0,001% | F | |
| PRICOS | 458.426 | 0,044% | F | |
| PRICOS DEFENSIVE | 12.368 | 0,001 % | F | |
| PRICOS SRI | 15.429 | 0,001% | F | |
| PRIME SUPER | 3.513 | 0,000% | F | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 38.837 | 0,004% | E | |
| Prudential Pensions Limited | 9.143 | 0,001% | F | |
| PRUDENTIAL RETREMENT INSURANCE ANNUITY COMPANY | 21.782 | 0,002% | E | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 4.332 | 0,000% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 28.531 | 0.003% | F | |
| PUBLIC EMPLOYEES' LONG-TERM CARE FUND | 773.407 | 0,074% | E | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 160.761 | 0,015% | E | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 4.256 | 0,000% | F | |
| PUBLIC EMPLOYEES REIIREMENT SYSTEM OF MISSISSIPPI | 74.691 | 0,007% | l | |
19/ રિટે

| Anagrafica | CF/Pl | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 338.804 | 0,032% | l | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 58.161 | 0.006% | F | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 75.658 | 0,007% | F | |
| PURE CAPITAL S.A | l | 0,000% | F | |
| PUTM AUTHORISED CONTRACTUAL SCHEME - PUTM ACS SUSTAINABLE INDEX EUROPEAN EQUITY FUND |
197.037 | 0,019% | F | |
| QIC INTERNATIONAL EQUITIES FUND. | 3.167 | 0,000% | P | |
| QUADRATOR SRI | 316.240 | 0.030% | F | |
| QUALITY EDUCATION FUND | 1.298 | 0,000% | F | |
| QUERCUS | 212.800 | 0,020% | F | |
| ReAssure Limited | 168.803 | 0,016% | F | |
| RELYENS MUTUAL INSURANCE | 182.000 | 0.017% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 5.362 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 14.241 | 0.001% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLE | 18.676 | 0.002% | F | |
| RIZE UCITS ICAV | 16.659 | 0,002% | F | |
| RIZE UCIISICAV | 4.672 | 0,000% | F | |
| RL PREVOYANCE (ACTIONS EUROPE) | 30.683 | 0.003% | F | |
| ROBECO CAPITAL GROWTH FUNDS | 2.300.000 | 0,220% | F | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 5.419 | 0.001% | F | |
| ROPS EURO P | 74.820 | 0,007% | F | |
| ROPS-SMART INDEX EURO | 140.275 | 0,013% | F | |
| ROSEDENE LLC | 2.364 | 0,000% | F | |
| ROTHSCHILD MARTIN MAUREL | 64.100 | 0,006% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
94.535 | 0.009% | F | |
| RSRC ACTIONS (ACTION EURO) | 109.197 | 0.010% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 35.918 | 0.003% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 7.014 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 2.985 | 0,000% | F | |
| SABADELL EUROACCION, FI | 169.082 | 0,016% | F | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 10.789 | 0,001% | F | |
| SAEV MASTERFONDS INKA | 233.243 | 0.022% | F | |
| SALIX LLC | 16.859 | 0,002% | F | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 1.793 | 0,000% | F | |
| SANLAM UNIVERSAL FUNDS PLC | 8.589 | 0.001% | F | |
| SANTANDER SMALL CAPS EUROPA FI | 164.986 | 0,016% | F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 8.436 | 0.001% | F | |
| SBC MASTER PENSION TRUST | 3.934 | 0.000% | F | |
| SCHRODER INTERNATIONAL SELECTION FUND | 617.325 | 0.059% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 93.438 | 0,009% | E | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
19.307 | 0,002% | F | |
| SCHWAB INTERNATIONAL EQUITY ETF | 924.593 | 0,088% | F | |
| SCHWAB INTERNATIONAL INDEX FUND | 326.368 | 0.031% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 23 | 0,000% | E | |
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 7.007 | 0,001% | F | |
| SCOTTA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 645 | 0,000% | F | |
| SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN | 78.596 | 0,008% | F | |
| (Ex UK)EQUITY FUND SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC- |
2.023 | 0.000% | F | |
| INTERNATIONAL EQUITY TRACKER FUND SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY |
3.779 | 0,000% | F | |
| PORTF SEI GL MAST FD-SEI DYN ASS ALL |
||||
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION | 4.536 | 0,000% | F | |
| FUND | 15.465 | 0,001% | F | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 337 | 0,000% | F | |
| SEMPRA ENERGY PENSION MASTER TRUST | 8.064 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| SENTINEL INTERNATIONAL TRUST | 2.082 | 0,000% | F | |
| SG ACTIONS EURO SELECTION | 1.452.545 | 0,139% | F | |
| SHARON D LUND RESIDUAL TRUST | 604 | 0,000% | F | |
| SHELL CANADA 2007 PENSION PLAN | 876 | 0,000% | F | |
| SHELL FOUNDATION | 12.523 | 0,001% | F | |
| SHELL PENSION TRUST | 6.920 | 0.001% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | 4.257 | 0,000% | F | |
| INTERNATIONAL PENSION FUND SHINKO GLOBAL EQUITY INDEX MOTHER FUND |
1 60 | 0,000% | F | |
| SIEMENS BALANCED | 13.658 | 0,001% | F | |
| SIEMENS EMU EQUITIES | 41.519 | 0,004% | F | |
| SIEMENS-FONDS SIEMENS-RENTE | 72.260 | 0,007% | F | |
| SILVER AMUNDI EURO EQUITY | 170.879 | 0,016% | F | |
| SINGLE SELECT PLATFORM | 132.035 | 0.013% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 246.443 | 0,024% | F | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL | ||||
| UNCONSTRAINED FUND | 21.646 | 0.002% | F | |
| SOCIETA CATTOLICA DI ASSICURAZIONE - SOCIETA COOPERATIVA | 56.412 | 0.005% | F | |
| SOGECAP ACTIONS - MID CAP | 219.114 | 0,021% | F | |
| SOGECAP AP CLIMAT PAB | 128.138 | 0,012% | F | |
| SOLIDARITES | 14.835 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 470.572 | 0,045% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 10.475 | 0,001% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 175.915 | 0,017% | F | |
| SPDR PORTFOLIO EUROPE ETF | 24.100 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 6.778 | 0.001% | F | |
| SPP GENERATION 70-TAL | 9.226 | 0,001% | F | |
| SPP PENSION & FORSAKRING AB (PUBL) | 754 | 0,000% | F | |
| SSB CUSTODIAL SERVICES IREL RUSSELL INVS IREL | 29.659 | 0.003% | F | |
| SSB MSCI ACWIEX USA IMI SCREENED NONLENDING COMMON TRUST | 11.849 | 0,001% | F | |
| FUND | ||||
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND |
15.711 | 0,002% | F | |
| SSB MSCITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 498.764 | 0,048% | F | |
| SSGA MSCI ACWEEX-USA INDEX NON-LENDING DAILY TRUST | 3.232 | 0,000% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 76.811 | 0,007% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 106.822 | 0,010% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 2.188.362 | 0,209% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 71.855 | 0,007% | F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 63.151 | 0.006% | F | |
| STAR PASTEUR | 20.889 | 0.002% | F | |
| STATE OF MINNESOTA | 241.787 | 0,023% | F | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 356.400 | 0,034% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 406.644 | 0,039% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 2 | 0,000% | F | |
| STATE OF WYOMING | 31.627 | 0.003% | F | |
| STATE STREET CCF | 1.802 | F | ||
| 0,000% | F | |||
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.81 1 | 0,000% | ||
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 147.942 | 0,01 4% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 110.409 | 0,011% | F | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 105.114 | 0.010% | F | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 8.588 | 0,001% | F | |
| STATE STREET IRELAND UNIT TRUST | 26.658 | 0.003% | F | |
| STATE STREET TOTAL RETURN VIS FUND | 10.218 | 0,001% | F | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 197.735 | 0,019% | F | |
| STEADFAST INTERNATIONAL MASTER FUND LTD C/O MORGAN STANLEY FUND SRVCS (CAYMAN) LTD |
509.432 | 0,049% | F | |
| STELLAR INSURANCE, LTD. | 1.867 | 0.000% | F | |
| STEPHEN N POTTER TRUST | ୧೭ | 0.000% | E | |
21/135

EMARKET SDIR CERTIFIED

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| TEACHER RETIREMENT SYSTEM OF TEXAS | 15.022 | 0.001% | l | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 111 | 0,000% | F | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | l | 0.000% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 22.973 | 0,002% | F | |
| TELSTRA SUPERANNUATION SCHEME | 15.075 | 0,001% | F | |
| Terrail Remi Francois Marie | 28.000 | 0,003% | f | |
| TEXAS PERMANENT SCHOOL FUND CORPORATION | 1 49 .203 | 0,01 4% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 3.864 | 0,000% | F | |
| TEXTRON INC MASTER TRUST | 1.725 | 0.000% | F | |
| THE ALPHAGEN MULT-STRATEGY MASTER FUND LIMITED | 125.095 | 0,012% | F | |
| THE AMERICAN UNIVERSITY IN CAIRO | 5.855 | 0,001% | F | |
| THE BANK OF KOREA | 46.012 | 0,004% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 93.377 | 0,009% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN |
232.344 | 0,022% | F | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 53.840 | 0,005% | F | |
| THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 335.500 | 0,032% | F | |
| THE CAPTIVE INVESTORS FUND | 279.922 | 0,027% | F | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 6.200 | 0.001% | F | |
| THE ENDEAVOUR II FUND. | 1.125 | 0,000% | F | |
| THE ESB PENSION FUND | 12.963 | 0,001% | F | |
| THE FUNDO DE PENSOES | 4.265 | 0.000% | F | |
| THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT PLANS MASTER TRUST |
177 | 0,000% | F | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 385 | 0,000% | F | |
| THE INCUBATION FUND LTD | 75 | 0,000% | F | |
| THE JUPITER GLOBAL FUND SICAV | 1.419.382 | 0.136% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND |
13.041 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND |
1.175 | 0,000% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND |
54.542 | 0,005% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
52.350 | 0.005% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
18.407 | 0.002% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX | 276 | 0.000% | F | |
| MOTHER FUND THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 |
2.080 | 0.000% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021 492 | 15.187 | 0.001% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 43.848 | 0,004% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY PASSIVE MOTHER FUND (ONLY FOR PENSION |
4.644 | 0.000% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | 71.485 | 0,007% | F | |
| HEDGED) (PRIVATELY PLACED INVESTMENT T THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X |
9.265 | 0.001% | F | |
| (JPY HEDGED) (PRIVATELY PLACED INVEST THE NEMQURS FOUNDATION PENSION PLAN |
1.488 | 0,000% | F | |
| THE PENSION BOARDS-UNITED CHURCH OF CHRISTINC. | 2.372 | 0,000% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 20.280 | 0,002% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 2.637 | 0,000% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 8.276 | 0,001% | F | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 598.298 | 0.057% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 75.774 | 0,007% | F | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 11.516 | 0,001% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 16.243 | 0,002% | F | |
| THEAM QUANT - EQUITY EUROPE DEFI | 45.625 | 0.004% | F | |
| THEAM QUANT- EQUITY WORLD GLOBAL GOALS | 227.411 | 0,022% | F | |
| THEAM QUANT- MULTI ASSET DIVERSIFIED DEFENSIVE | 213.275 | 0,020% | E |
23/135

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 6.454 | 0,001% | F | |
| THREADNEEDLE (LUX | 14.133 | 0,001% | F | |
| THREADNEEDLE (LUX) | 1.444.177 | 0,138% | F | |
| THREADNEEDLE (LUX) COLUMBIA THREADNEEDLE INVESTMENTS | 1.108.491 | 0, 106% | F | |
| THREADNEEDLE (LUX). | 1.746.641 | 0,167% | F | |
| THREADNEEDLE INVESTMENT FUNDS ICVC | 2.366.558 | 0,226% | F | |
| THRIFT SAVINGS PLAN | 2.030.151 | 0.194% | F | |
| THRIFT SAVINGS PLAN | 496.824 | 0,047% | F | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 6.361 | 0.001% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP. | 383 | 0,000% | F | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 758.957 | 0.072% | F | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 15.344 | 0.001% | F | |
| TODD INVEST | 20.000 | 0,002% | F | |
| TONI ACTIONS ISR 100 | 59.646 | 0.006% | F | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV |
40.392 | 0,004% | F | |
| TOUCHSTONE STRAT TR INT GRW FD | 139.390 | 0,013% | F | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 2.832 | 0,000% | F | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 6.392 | 0,001% | F | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 131.858 | 0.013% | F | |
| TRINITY COLLEGE CAMBRIDGE | 13.071 | 0.001% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 10 | 25.701 | 0.002% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 |
4.020 | 0.000% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 |
48.993 | 0,005% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
1.453 | 0,000% | F | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 26.039 | 0,002% | F | |
| TSGX SOLACT ESG TBACO EX UNHG(3387) | 6.802 | 0.001% | F | |
| TWU Superannuation Fund | 7.249 | 0,001% | F | |
| UAPF - BLACK ROCK PASSIVE EQUITY | 1.976 | 0,000% | F | |
| UBAM | 120.244 | 0,011% | F | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCTS ETF (ENGLISH) | 35.598 | 0,003% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 75.229 | 0,007% | F | |
| (UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 255.943 | 0,024% | F | |
| UBS ASSET MANAGEMENT LIFE LTD | 62.367 | 0,006% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH | 22.995 | 0,002% | F | |
| INVESTINSTITUTIONAL FUN | ||||
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 192.919 | 0,018% | F | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 271.411 | 0,026% | F | |
| UBS GLOBAL EQUITY CLIMATE TRANSITION FUND | 5.734 | 0.001% | F | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETFICAL ETF UBS LUX FUND SOLUTIONS |
542 | 0,000% | F | |
| பர | 1.393.298 163.000 |
0,133% | F | |
| U-FONDS BAV RBI AKTIEN | 67.490 | 0.01 6% | F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 2.909 | 0,006% | 는 F |
|
| UNITED NATIONS JOINT STAFF PENSION FUND. | 0,000% | F | ||
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 320.000 2.830 |
0,031% 0,000% |
F | |
| UNITED SERVICES AUTOMOBILE ASSOCIATION | 4.305 | 0,000% | F | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | 150.967 | 0,01 4% | F | |
| MASTER TRU UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL |
29.013 | F | ||
| FONDS | 0,003% | |||
| UNIVERSAL INVESTMENT GMBH Universal-Investment-Gesellschaft mbH |
55.000 | 0,005% | F F |
|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN- | 496.139 | 0,047% | ||
| ul-Fonds | 2.295 | 0,000% | F |
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO- | 40.000 | 0.004% | F | |
| UNIVERSAL-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO | 38.900 | 0.004% | F | |
| AKTIEN PROTECT ESG | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL- | 41.255 | 0.004% | F | |
| CA V UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VE- |
||||
| UNIVERSAL-FONDS | 125.000 | 0,012% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WM8- | ||||
| UNIVERSAL-FONDS | 1.387 | 0,000% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH W/ZEIT-UNIVERSAL-FONDS | 35.000 | 0.003% | F | |
| W/SEGMENT AKTIEN EUROPA DWS | ||||
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 2.864 | 0,000% | F | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 63.019 | 0.006% | F | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR UIFONDS AKTIEN | 3.797 | 0.000% | F | |
| WORLD ESG | ||||
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO | 46.890 | 0.004% | F | |
| F | ||||
| UNIVERSITIES SUPERANNUATION SCHEME | 58.179 | 0,006% | F | |
| UNIVERSITY OF NOTRE DAME | 9.772 | 0.001% | ||
| UPS GROUP TRUST | 22.870 | 0,002% | F | |
| US PROVINCE MISSIONARY OBLATES-SERVICE TRUST | 22.095 | 0,002% | F | |
| USAA CASUALTY INSURANCE COMPANY | 7.276 | 0,001% | F | |
| USAA GENERAL INDEMNITY COMPANY | 3.879 | 0,000% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 73.977 | 0,007% | F | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDY GTIGE EUROPA KL | 6.87 I | 0,001% | F | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDYGTIGE GLOBALE | 12.288 | 0,001% | F | |
| AKTIER ETIK KL ID SPARINVEST AS FILIAL AF SP | ||||
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 9.646 | 0,001% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 4.278.321 | 0,409% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 10.118 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 106.156 | 0,010% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX | 39.993 | F | ||
| FUND | 0,004% | |||
| VANGUARD EUROPEAN STOCK INDEX FUND | 1.184.964 | 0,113% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
78.739 | 0.008% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 446.905 | 0,043% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST | ||||
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 3.362.582 | 0,321% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II VANGUARD FTSE ALL WORLD EX US INDEX FUND |
1.117.746 | 0,107% | F | |
| VANGUARD FISE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 73.428 | 0,007% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 6.077 | 0.001% | P | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 520.551 | 0,050% | F | |
| VANGUARD GLOBAL VALUE EQUITY FUND | 48.723 | 0,005% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 236.577 | 0,023% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 12.719 | 0.001% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 640.118 | 0,061% | F | |
| VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FISE DEV EUR EX UK CCF |
18.378 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE DEVELOPED WRLD CMMN CONT FD |
12.353 | 0,001% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE | 10.854 | 0,001% | F | |
| DVLPD WRLD EX UK CMN CNT FD VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FISE DEVELOPED |
165.382 | 0,016% | F | |
| WOR LD EX - U.K. EQUITY VANGUARD INVESTMENTS II CCF - VANGUARD SRIFTSE DEVELOPED |
||||
| WORLD II (B) CCF | 21.319 | 0.002% | F |
25

EMARKET SDIR CERTIFIED

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| Zwitserleven Institutionele Beleggingsfondsen - Zwitserleven Duurzaam Index Aandelenfonds Europa |
15.339 | 0.001% | F | |
| CARPIMKO ACTIONS LO | 500.000 | 0.048% | C | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 450.000 | 0.043% | C | |
| ILOF GLOBAL FINTECH | 650.000 | 0.062% | C | |
| LOF TargetNetZero Europe Equity | 4.518 | 0.000% | C | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 28.413 | 0.003% | C | |
| PRI MONETA BEST OF FRANCE | 300.000 | 0,029% | C | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 2.416 | 0.000% | C | |
| ADASINA SOCIAL JUSTICE ALL CAP GLOBAL ETF | 7.194 | 0.001% | A | |
| CITY OF NEW YORK GROUP TRUST | 129.153 | 0,012% | A | |
| DS LIQUID DIV RVA MEL LLC | 3.988 | 0.000% | A | |
| REGARD ACT CROISSAN | 15.000 | 0.001% | A | |
| TEACHERS' RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 55.338 | 0.005% | A | |
| WEST YORKSHIRE PENSION FUND | 75.000 | 0.007% | A |
Totale votanti
1.047.318.764 100%
C - F Octoriouros
C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C -
27/132
Assemblea ordinaria 04 maggio 2023 NEXI
Punto 2.a
Relazione sulla politica di remunerazione e sui composti: Prima sezione: relazione sulla politica di remunerazione per l'esercizio 2023 (deliberazione vincolante);
| n. azioni | % azioni rappresentate in | % del Capitale Sociale | |
|---|---|---|---|
| assemblea | |||
| Quorum costitutivo assemblea | 1.047.318.764 | 100% | 79,848% |
| Azioni per le quali il RD dispone di istruzioni per | |||
| l'OdG in votazione (quorum deliberativo): | 1.047.318.764 | 100.000% | 79,848% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0.000% | 0.000% | |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 894.976.008 | 85,454% | 68,233% |
| Contrario | 152.318.382 י | 14,544% | 11.613% |
| Astenuto | 24.374 | 0.002% | 0,002% |
| C | 1.047.318.764 | 100.000% | 79.848% |

28/135

NEXI Assemblea ordinaria 04 maggio 2023
Punto 2.a
Relazione sulla politica di remunerazione e sui compensi corrisposti: relazione sulla politica di remunerazione per l'esercizio 2023 (deliberazione vincolante);
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato nella persona della Dott.ssa Claudia Ambrosini
| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| 1895 FONDS FGR | 166.197 | 0.01 6% | F | |
| 3 BANKEN-GENERALI GH STOCK | 21.300 | 0,002% | F | |
| 3 BANKEN-GENERALI GL STOCK | 202.200 | 0.019% | F | |
| 3 BANKEN-GENERALI GNL STOCK | 83.200 | 0.008% | F | |
| 801 INVESTMENTS LLC | 483 | 0.000% | F | |
| AB Europe (Luxembourg) Investment S.a r.l. | 52.678.731 | 5,030% | F | |
| ABB PENSION FUND | 1.000 | 0.000% | F | |
| ACOMEA EUROPA | 81.000 | 0.008% | F | |
| ACOMEA GLOBALE GLOBALE | 32.000 | 0.003% | F | |
| ACOMEA ITALIA | 150.000 | 0.01 4% | F | |
| ACOMEA MULTI FUND - PATRIMONIÓ AGGRESSIVÓ | 20.000 | 0.002% | F | |
| ACOMEA SGR MULTIFUND PATRIMONIODINAMICO | 17.000 | 0,002% | F | |
| ACTIAM BF ASIFEW | 2.257 | 0.000% | F | |
| ACTIAM Duurzaam Index Aandelentonds Europa | 80.916 | 0,008% | F | |
| AÇTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 18.166 | 0.002% | F | |
| ACTIAM Sustainable Index Fund Equity Europe | 10.779 | 0.001% | F | |
| ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 1.567 | 0,000% | F | |
| ALBERTA INVESTMENT MANAGEMENT CORPORATION | 57.200 | 0.005% | F | |
| ALJACK2 | 17.000 | 0,002% | F | |
| ALLEANZA ASSICURAZIONI SPA | 984.103 | 0,094% | F | |
| ALMEGLIO - FONDO PENSIONE APERTO ALLEANZA A CONTRIBUZIONE | 8.564 | 0.001% | F | |
| DEFINITA | ||||
| ALPHA UCITS SICAV - AMBER EQUITY FUND | 40.000 | 0.004% | F | |
| AMERICAN STEADFAST LP | 273.568 | 0.026% | F | |
| ASSICURAZIONI GENERALI SPA | 2.496 | 0.000% | F | |
| ATCP-UI-FONDS | 2.298 | 0,000% | F | |
| AUSTRALIAN RETIREMENT TRUST | 382.064 | 0.036% | F | |
| AUSTRALIANSUPER | 3.371 | 0,000% | F | |
| AWARE SUPER | 2.421 | 0,000% | F | |
| B BENZEKRI FUND | 11.400 | 0.001% | F | |
| BANSABADELL 18 FP | 2.196 | 0.000% | F | |
| BASSWOOD INTERNATIONAL FUND LP | 23.075 | 0,002% | F | |
| BASSWOOD INTERNATIONAL FUND LTD. C/O IMS FUND SERVICES | 10.447 | 0.001% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LP. | 3.090 | 0,000% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LTD. C/O | 9.971 | 0.001% | F | |
| INTERNATIONAL MGMT. SERVICES LTD. | ||||
| BATI ACTION OPTIMUM | 175.000 | 0.017% | F | |
| BETAMAX EUROPE | 7.101 | 0,001% | F | |
| BG MASTER FUND ICAV. | 119.143 | 0,011% | F | |
| BLACKWELL PARTNERS LLC - SERIE E C/O CORPORATION SERVICE COMPANY |
14.171 | 0,001% | F | |
| BRIDGEWATER PURE ALPHA EURO FUND LTD | 771 | 0.000% | F |

| BRIDGEWATER PURE ALPHA FUND III. LTD. 7.276 0.001% F BRIDGEWATER PURE ALPHA STERLING FUND LTD F 2.100 0,000% F BRIDGEWATER PURE ALPHA TRADING COMPANY II LTD. 112.739 0,011% BRIDGEWATER PURE ALPHA TRADING COMPANY LTD F 12.068 0,001% 1.520 F BS PENTAPENSION EMPRESA 0,000% F 58.288 BUMA-UNIVERSAL-FONDS I 0,006% F BW DMO FUND, LTD 8.491 0,001% F BW PASPG LTD 399 0,000% F BWM PA 24 LTD 2.843 0,000% f CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM 536.239 0,051% F CATERPILLAR INC. GROUP INSURANCE PLAN TRUST. 33.787 0,003% F CATERPILLAR INC. MASTER RETIREMENT TRUST 262.331 0,025% F 252.161 CATERPILLAR INVESTMENT TRUST. 0,024% F 3.564 CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA 0,000% F 108.542.556 CDP EQUITY INVESTIMENTI SPA 10,364% F 69.401.443 CDP EQUITY SPA 6,627% F 2.607 CHEVRON UK PENSION PLAN 0,000% F CHINA LIFE INSURANCE COMPANY LIMITED 8.388 0,001% F CINDY SPRINGS LLC. 50.181 0.005% F CLBRM LIQUID FUNDS - GLOBAL MACRO 530.242 0.051% F CMLA INDEXED GLOBAL SHARE FUND 2.025 0.000% F COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC 12.568 0,001% COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES F 93.334 0.009% RETIR COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR F 166.743 0,016% ARIA F COMPAÑÍA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, F.P 1.090 0,000% F CONSERVATION INTERNATIONAL FOUNDATION, INC. 178 0.000% F 2.730 CONSTELLATION FITZPATRICK QUALIFIED FUND 0,000% F CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND 432 0,000% CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX F 6.51 1 0,001% MOTHER FUND(CURRENCY HEDGED) F D A S DIFESA AUTOMOBILISTICA SINISTRI SPA DI ASSICURAZIONE 5.472 0,001% 2.530 F DILLON MARKETABLE SECURITIES COMMON TRUST FUND. 0,000% F DYNASTY INVEST LTD 1.400 0,000% F Eagle (AIBC) & Cy S.C.A. 79.729.512 7,613% F EMBO-FONDS 14.692 0,001% EMERGENCY SERVICES SUPERANNUATION SCHEME F 2.255 0,000% F EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE 780 0.000% ETFMG PRIME MOBILE PAYMENTS ETF F 1.108.834 0.106% ETFS Management (AUS) Limited as trustee for ETFS Fintech & 7.619 0.001% E Blockchain ETF Evergood H&F Lux S.a r.l. F 261 .230.869 24,943% EWP PA FUND, LTD-INTL TRADING F 7.475 0,001% FCP KLESIA K RETRAITE EURO F 183.533 0.018% FEDERATED HERMES INTERNATIONAL LEADERS FUND F 1.988.900 0.190% F FEDERATED HERMES INTERNATIONAL SMALL MID COMPANY FUND 160.000 0,015% FEDERATED UNIT TRUST 606.397 F 0,058% FIDEAS SMART FOR CLIMATE ACTIONS EUROZ F 28.358 0,003% FII HOLDINGS, INC. F 828 0,000% F FIRST SUPER 41.328 0,004% FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT 15.170 F 0,001% INDEX FUND FLORIDA RETIREMENT SYSTEM TRUST FUND 29.996 F 0,003% F FONDO NAZIONALE PENSIONE COMPLEMENTARE COMETA 10.171 0.001% FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST 3.735 는 0,000% FORD PENSION UNIVERSAL F 10.325 0,001% 2.328 F FORDHAM UNIVERSITY 0.000% FOREIGN STOCK INDEX MOTHER FUND 25.005 F 0,002% FOVERUKA PENSION UNIVERSAL F 24.836 0,002% |
Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|---|

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 210.884 | 0,020% | P | |
| GENERALI ESPANA S A DE SEGUROS Y REASEGUROS | 32.571 | 0,003% | F | |
| GENERALI GLOBAL - FONDO PENSIONE APERTO A CONTRIBUIZIONE | 201.401 | 0,019% | F | |
| DEFINITA | ||||
| GENERALI ITALIA SPA | 1.862.973 | 0,178% | F | |
| GENERALI REVENUS | 84.201 | 0.008% | F | |
| GENERALI SMART FUNDS | 65.000 | 0,006% | F | |
| GENERALI VIE | 951.834 | 0,091% | F | |
| GENERTEL SPA | 31.644 | 0.003% | F | |
| GENERTELLIFE SPA | 712.423 | 0.068% | F | |
| GERANA SICAV-SIF, S.A. | 7.858 | 0.001% | F | |
| GFA CARAIBES | 6.307 | 0,001% | F | |
| GID-FONDS ALAET | 178.000 | 0,017% | F | |
| GID-FONDS AVAOT | 66.831 | 0.006% | F | |
| GID-FONDS AVAOT 2 | 36.917 | 0.004% | F | |
| GID-FONDS CEADT | 290.000 | 0,028% | F | |
| GID-FONDS DLAET | 32.200 | 0,003% | F | |
| GLOBAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. | 6 0.000% |
F | ||
| C/O OGIER GLOBAL (CAYMAN) LIMITED | ||||
| GLOBAL X ETFS ICAV | 13.378 | 0.001% | F | |
| GLOBAL X FINTECH ETF | 1.755.621 | 0,168% | F | |
| Global X Management (AUS) Limited | 459.375 | 0,044% | F | |
| GOVERNMENT OF NORWAY | 23.072.173 | 2,203% | F | |
| GOVERNMENT OF SINGAPORE | 24.824.429 | 2,370% | F | |
| GWL GLOBAL INVESTMENTS LLC. | 195.300 | 0,019% | F | |
| HAMILTON FINANCIALS INNOVATION ETF | 12.514 | 0,001% | F | |
| HARRIS ASSOCIATES OAKMARK INTERNATIONAL SMALL CAP | 497.300 | 0.047% | F | |
| COLLECTIVE FUND | ||||
| HOBSON LUCAS FAMILY FOUNDATION | 1 49.600 | 0,01 4% | P | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE |
523.776 | 0,050% | F | |
| HRW TESTAMENTARY TRUST NO. 1 | 3.513 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 3 | 4.554 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 4 | 2.498 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 6 | 1.139 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 9. | 2.491 | 0.000% | F | |
| HRW TRUST NO. 1 UAD 01/17/03 | 4.723 | 0,000% | F | |
| HRW TRUST NO. 3 UAD 01/17/03 | 3.618 | 0.000% | F | |
| IMPACTASSETS INC | 1.676 | 0,000% | F | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 1.051 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT | ||||
| ACCOUNT | 29 | 0,000% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) | P | |||
| L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | 88.166 | 0,008% | ||
| JTW TRUST NO. 1 UAD 9/19/02 | 1.472 | 0,000% | F | |
| JTW TRUST NO. 2 UAD 9/19/02. | 2.038 | 0.000% | F | |
| JTW TRUST NO. 3 UAD 9/19/02. | 2.529 | 0,000% | F | |
| JTW TRUST NO. 4 UAD 9/19/02. | 2.253 | 0,000% | F | |
| JTW TRUST NO. 5 UAD 9/19/02 | 1.139 | 0,000% | F | |
| LARCOUEST INVESTISSEMENT - MH | 12.000 | 0.001% | F | |
| LAZAM INVESTMENT | 14.100 | 0,001% | F | |
| LEADERSEL P.M.I | 10 | 0,000% | F | |
| LGIASUPER | 22.213 | 0,002% | F | |
| LMAP 909 SUB FUND OF LMAP IRELAND ICAV | 17.127 | 0,002% | F | |
| ILMAP IRELAND ICAV - LMAP 910 MAPLES CORPORATE SERVICES LTD | 7.386 | 0,001% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 264 | 0,000% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW ESG (MARKET | ||||
| NEUTR | 51.090 | 0,005% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW SYSTEMATIC ALPHA |
108.717 | 0,010% | F | |
31/135

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS (MARKET NEUT |
581.335 | 0,056% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS UCITS FUND | 846.940 | 0.081% | F | |
| LUNA LLC | 308 | 0,000% | F | |
| MACK EAFE EQUITY POOL | 15.799 | 0,002% | F | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 16.087 | 0,002% | F | |
| MACKENZIE MAX DIVERSIFICATION DEVELOPED EUR INDEX ETF | 479 | 0,000% | F | |
| MACKENZIE MAXIMUM DIVERS.ALL WORLD DEVELOPED EX NORTH AMERICA IE |
1.230 | 0,000% | F | |
| MADELEINE | 145.510 | 0,01 4% | F | |
| MAIN I - UNIVERSAL - FONDS | 10.736 | 0,001% | F | |
| IMARSHALL WACE INVESTMENT STRATEGIES - TOPS WORLD EQUITIES FU | 12.666 | 0,001% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O MARSHALL WACE IRELAND LTD. |
1.131.621 | 0,108% | F | |
| IMARSHALL WACE INVESTMENT STRATEGIES-MARKET NEUTRAL TOPS FUND |
874 | 0,000% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-TOPS GLOBAL EQUITIES LE | 10.320 | 0.001% | F | |
| MASTERINVEST KAPITALANLAGE GMBH | 2.019 | 0,000% | F | |
| MAZAL | 5.600 | 0,001% | F | |
| Mazzia Paolo | 1.000 | 0,000% | F | |
| MBB SMART FUND C LLC | 4.184 | 0,000% | F | |
| MEDIOLANUM BEST BRANDS - COUPON STRATEGY COLLECTION | 219.143 | 0,021% | F | |
| MEDIOLANUM BEST BRANDS - EQUITY POWER COUPON COLLECTION | 282.246 | 0,027% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.700.000 | 0,258% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 6.300.000 | 0,602% | F | |
| MERCURY UK HOLDCO LIMITED | 121.631.574 | 11,614% | F | |
| METIS EQUITY TRUST. | 8.492 | 0,001% | F | |
| MF INTERNATIONAL FUND LLC | 18.270 | 0,002% | F | |
| MINE SUPERANNUATION FUND | 6.387 | 0,001% | F | |
| MME 2026 | 300.000 | 0,029% | F | |
| MME 2027 | 99.998 | 0,010% | F | |
| MONETA LONG SHORT | 800.000 | 0,076% | F | |
| MONETA MICRO ENTREPRISES | 500.002 | 0,048% | F | |
| MONETA MULTI CAPS | 5.500.000 | 0,525% | F | |
| MONETARY AUTHORITY OF SINGAPORE MUNICIPAL EMPLOYEES ANNUITY AND BENEFIT FUND OF CHICAGO |
7.829.123 1.168 |
0.748% 0,000% |
F F |
|
| MW INV Strat Eureka Fund AC | 360.339 | 0,034% | F | |
| MWIS - TOPS DEVELOPED WORLD EQUITIES FUND | 12.176 | 0,001% | F | |
| MWIS TOPS Intl Equity Fd AC | 36.683 | 0,004% | F | |
| MWIS TOPS World EX US AC | 143.360 | 0,01 4% | F | |
| NATIO-FONDS COLLINE INTERNATIONAL | 105.073 | 0,010% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST |
9.129 | 0,001% | F F |
|
| NBIMC EAFE EQUITY INDEX FUND. | 349.430 રૂઝેક |
0,033% 0,000% |
F | |
| NEMOURS FOUNDATION | 471 | 0,000% | F | |
| NEUBERGER BERMAN ADVISERS MANAGEMENT TRUST INTERNATIONAL | 36.909 | 0.004% | F | |
| EQUITYPORTFOLIO NEUBERGER BERMAN INTERNATIONAL EQUITY FUND |
1.236.843 | 0,118% | F | |
| NEUBERGER BERMAN INTERNATIONAL SELECT FUND | 163.235 | 0,016% | F | |
| NEUBERGER BERMAN TRUST COMPANY N.A. COLLECTIVE INVESTMENT TRUST |
144.598 | 0,01 4% | F | |
| NORGES BANK | 133.982 | 0,013% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 165.879 | 0,016% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
28.302 | 0.003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX- પાર દ |
31.689 | 0,003% | F | |
| Anagratica | CF/Pl | Azioni | % su votantı | Voto |
|---|---|---|---|---|
| NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 29.019 | 0,003% | F | |
| NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 84.687 | F | ||
| 0,008% | ||||
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 1.256.935 | 0,120% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 350.789 | 0,033% | F | |
| NORTHERN TRUST UCITS FGR FUND | 78.222 | 0.007% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND | 531 | 0,000% | F | |
| INTCC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 199.154 | 0,019% | F | |
| OAKMARK INTERNATIONAL SMALL CAPFUND | 4.190.700 | 0,400% | F | |
| OHMAN MARKNAD EUROPA | 19.562 | 0,002% | F | |
| OHMAN MARKNAD GLOBAL | 17.510 | 0,002% | F | |
| OMEGA FFIP LIMITED PARTNERSHIP | 484 | 0,000% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 823 | 0,000% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 544.300 | 0,052% | F | |
| PCFS - EUROPE SMALL & MID CAP EQUITIES | 12.434 | 0,001% | F | |
| PCFS - PURE DYNAMIC OPPORTUNITY | 18.000 | 0,002% | F | |
| PENSION BENEFIT GUARANTY CORPORATION | 523.722 | 0,050% | F | |
| PEOPLE'S BANK OF CHINA | 46.732 | 0,004% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 2.126 | 0,000% | F | |
| PINEBRIDGE GLOBAL FUNDS | 2.973 | 0,000% | F | |
| POSTE ITALIANE SPA | 97103880585 | 46.518.238 | F | |
| 4,442% | ||||
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 21.782 | 0,002% | F | |
| PUBLIC EMPLOYEES' LONG-TERM CARE FUND | 773.407 | 0,074% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 160.761 | 0,015% | F | |
| БИВПС ЕМЬГОХЕЕS REIIREMENT 2721EM OF MISSISSIPSI | 74.691 | 0,007% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 58.161 | 0.006% | F | |
| PURE CAPITAL S.A | 0,000% | F | ||
| ROBECO CAPITAL GROWTH FUNDS | 2.300.000 | 0,220% | F | |
| ROTHSCHILD MARTIN MAUREL | 64.100 | 0,006% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
94.535 | 0,009% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 35.918 | 0,003% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 7.01 4 | 0,001% | F | |
| 2.985 | F | |||
| Russell Investments Sustainable Global Shares Fund | 0,000% | |||
| SALIX LLC | 16.859 | 0,002% | F | |
| SANLAM UNIVERSAL FUNDS PLC | 8.589 | 0,001% | F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 8.436 | 0,001% | F | |
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 93.438 | 0.009% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
19.307 | 0,002% | F | |
| F | ||||
| ISCHWAB INTERNATIONAL EQUITY EIF | 924.593 | 0,088% | ||
| SCHWAB INTERNATIONAL INDEX FUND | 326.368 | 0,031% | F | |
| SEI GL MAST FD-SEI DYN ASS ALL | 4.536 | 0,000% | F | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
15.465 | 0,001% | F | |
| SHELL PENSION TRUST | 6.920 | 0,001% | F | |
| ISOCIETA CATTOLICA DI ASSICURAZIONE - SOCIETA COOPERATIVA | 56.412 | 0,005% | F | |
| ISSB CUSTODIAL SERVICES IREL RUSSELL INVS IREL | 29.659 | 0.003% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 406.644 | 0,039% | F | |
| STATE OF WYOMING | F | |||
| STEADFAST INTERNATIONAL MASTER FUND LTD C/O MORGAN STANLEY | 31.627 509.432 |
0.003% 0,049% |
F | |
| FUND SRVCS (CAYMAN) LTD STICHTING PENSIOENFORDS ING |
16.637 | 0,002% | F | |
| F | ||||
| STICHTING PENSIOENFONDS SAGITTARIUS | 14.520 | 0,001% | ||
| STICHTING PGGM DEPOSITARY | 249.041 | 0,024% | F | |
| STICHTING SPOORWEGPENSIOENFONDS | 18.829 | 0,002% | F | |
| STOCKBRIDGE FUND, L.P. | 13.545.302 | 1,293% | F | |
| STRATEGIC PARTNERSHIP FUND NB LLC | 54.624 | 0.005% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 5.474 | 0,001% | F | |
| SUNCORP FUNDS PLY LTD | 1.896 | 0,000% | ਨ | |

Anagrafica
TODD INVEST
பு
FONDS
WORLD ESG
FUND
TRUST
VANGUARD FTSE ALL WORLD EX US INDEX FUND
VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF
F
F
1.117.746
73.428
0,107%
0.007%
| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| VANGUARD FISE DEVELOPED EUROPE ALL CAP INDEX ETF | 6.077 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 520.551 | 0.050% | F | |
| VANGUARD GLOBAL VALUE EQUITY FUND | 48.723 | 0,005% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 236.577 | 0,023% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 12.719 | 0,001% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 640.118 | 0,061% | F | |
| VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FISE DEV | ||||
| EUR EX UK CCF | 18.378 | 0.002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE DEVELOPED WRLD CMMN CONTED |
12.353 | 0.001% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE DVLPD WRLD EX UK CMN CNT FD |
10.854 | 0,001% | F | |
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED | 165.382 | 0,016% | F | |
| WOR LD EX - U.K. EQUITY VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED |
21.319 | 0,002% | F | |
| WORLD II (B) CCF VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED |
21.896 | 0,002% | F | |
| EUROPE II CCF VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED |
||||
| WORLD II CCF | 8.949 | 0,001% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 7.320.821 | 0,699% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 294.414 | 0,028% | F | |
| VIF ICVC VANGUARD FISE DEVELOPED EUROPE EXUK EQUITY INDEX FUND |
293.335 | 0.028% | F | |
| VIFICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 25.562 | 0.002% | F | |
| VR BANK KITZINGEN EG EURO CONTROL NACHHALTIG | 39.290 | 0,004% | F | |
| WALLACE H COULTER FOUNDATION | 3.730 | 0.000% | F | |
| XANTIUM PARTNERS LP C/O MAPLES CORPORATE SERVICES LIMITED | રત | 0,000% | F | |
| YALE UNIVERSITY | 2.716.015 | 0,259% | P | |
| YOUNG MENS CHRISTIAN ASSOCIATION RETIREMENT FUND | 87.501 | 0,008% | F | |
| Zwitserleven Institutionele Beleggingsfondsen - Zwitserleven | 15.339 | 0,001% | F | |
| Duurzaam Index Aandelentonds Europa 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER |
684 | 0,000% | C | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 1.328 | C | ||
| AA SSGA Actions Indice Euro | 90.849 | 0,000% | C | |
| AB SICAV III-DYN ALL MKT PORTF | 1.567 | 0,009% | C | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | 0,000% | |||
| LOCATION PORTFOLIO | 1.623 | 0,000% | C | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 6.113 | 0,001% | C | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY TRACKER FUND |
29.562 | 0,003% | C | |
| ABN AMRO FUNDS | 9.586 | 0,001% | C | |
| ACS 30:70 GLOBAL EQUITY TRACKER FUND | 1.138 | 0.000% | C | |
| ADVANCE PLANNING LIMITED | 2.089 | 0,000% | C | |
| AEGON CUSTODY B.V | 6.032 | 0,001% | C | |
| AEGON CUSTODY B.V. | 133.041 | 0,013% | C | |
| AIB GROUP IRISH PENSION SCHEME | 18.929 | 0.002% | C | |
| ALASKA COMMON TRUST FUND | 19.353 | 0,002% | C | |
| ALASKA PERMANENT FUND CORPORATION | 6.976 | 0,001% | C | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS LL STARS | 420.000 | 0.040% | C | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 1.062.586 | 0,101% | C | |
| ALLIANZ GLOBAL INVESTORS FUND | 644.378 | 0,062% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 98.868 | 0,009% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT MASTER | 774 | 0,000% | C | |
| ALLIANZ INTERNATIONAL INVESTMENT FUNDS - ALLIANZ THEMATICA FUND |
6.768 | 0,001% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 17.000 | 0,002% | C | |
| Allianz Selection European Equity Dividend | 7.935 | 0,001% | C | |
| ALLIANZGI S AKTIEN | 18.525 | 0,002% | C | |
| ALLIANZGI-FONDS DSPT | 19.166 | 0,002% | C |

EMARKET
| AVALON PORTFOLIO II LLC 1.581 C 0.000% AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS 11.529 C 0.001% INTERNATIONAL INDEX TRACKING FUND Aviva Investors Passive Funds ACS - Al 30:70 Global Equity (Currency 5.531 C 0,001% Hedged) Index Fund Aviva Investors Passive Funds ACS - Al 50:50 Global Equity Index Fund C 60.344 0.006% Aviva Investors Passive Funds ACS - Al 60:40 Global Equity Index Fund 24.203 C 0,002% Aviva Investors Passive Funds ACS - Al Continental European Equity C 96.752 0.009% Index Fund Aviva Investors Passive Funds ACS - Al Developed European ex UK 0.011% C 113.221 Equity Index Fund Aviva Investors Passive Funds ACS - Al Developed World ex UK Equity C 37.896 0.004% Index Fund AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- C 733 0,000% ASSET CORE FUND I AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- C 3.568 0.000% ASSET CORE FUND II AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- C 2.878 0.000% ASSET CORE FUND III AVIVA INVESTORS PORTFOLIÓ FUNDS ICVC AVIVA INVESTORS MULTI- 2.260 C 0,000% ASSET CORE FUND IV AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- C 1.279 0.000% ASSET CORE FUND V C Aviva Investors UK Fund Services Limited 86.285 0,008% C AVIVA LIFE & PENSIONS IRELAND DAC 42.739 0,004% C 1.098.996 AVIVA LIFE & PENSIONS UK LIMITED 0,105% C 35.81 R AXA AA DIVERSIFIE INDICIEL 1 0,003% C 453.000 AXA EURO VALEURS RESPONSABLES 0,043% C 1 44.000 0,014% AXA IM EQUITY TRUST AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) C 228.383 0.022% STRATEGY FUND - ECONOMIC C 184.722 0,018% AXA Investment Managers UK Limited C 0.063% 660.000 AXA MPS FINANCIAL DESIGNATED ACTIVITY CO C 0,026% 275.000 AXA VALEURS EURO 25.187 C 0,002% AXA Vorsorge Fonds II Equities Global Markets Credit Suisse Funds AG C 2.810.000 0,268% AXA WORLD FUNDS C 844.200 0,081% AZ FUND 1 AZ ALLOCATION ITALIAN TREND C 37.000 0,004% AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 C 675.500 0,064% AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 C 278.010 0,027% AZ FUND 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES C 0.009% 99.000 AZIMUT CAPITAL MANAGEMENT SGR SPA 0,063% C 661.500 AZIMUT CAPITAL MANAGEMENT SGR SPA C 14.213 0,001% AZL DFA INTERNATIONAL CORE EQUITY FUND C 44.818 0,004% AZL INTERNATIONAL INDEX FUND C 10.622 0,001% BANCO CENTRAL DE TIMOR-LESTE (BCTL) C 2.204 0,000% BANCOPOSTA EQUITY ALL COUNTRY C 3.265 0,000% BANK OF BOTSWANA. C 2.851 0,000% BANK OF KOREA BBH (LUX) SCA CUSTODIAN FOR FIDELITY ACTIVE STRATEGY EUROPE C 1.600.274 0,153% FUND C 4.703 0.000% IBCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND C 36.090 0,003% BDF FONDS E ACTIONS EUROPEENNES C BEAT DRUGS FUND ASSOCIATION 248 0,000% 0,012% C BEL EQUITY EUROPE ESG 125.798 C 8.303 0,001% BELLSOUTH CORP RFA VEBA TRUST C 1.627 0,000% BERESFORD FUNDS ICAV C 0,229% 2.400.000 BEST BUSINESS MODELS SKI C 3.907 0,000% Best Investment Corporation |
Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|---|
| BESTSELECT - UBS SRI GLOBAL EQUITY | 4.402 | 0,000% | C |

| Anagratica | CF/Pl | Azioni | % su votanti | Voto | |
|---|---|---|---|---|---|
| BFT EURO FUTUR ISR | 57.000 | 0,005% | C | ||
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD | 17.503 | 0,002% | C | ||
| EX SWITZERLAND ESG SCREE | |||||
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 77.982 | 0,007% | C | ||
| BLACKROCK CDN MSCI ACWIEX-CANADA INDEX FUND | 10.530 | 0,001% | C | ||
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 234.113 | 0,022% | C | ||
| BLACKROCK CDN WORLD INDEX FUND | 34.116 | 0,003% | C | ||
| BLACKROCK FUND MANAGERS LID | 46.141 | 0,004% | C | ||
| BLACKROCK FUNDS I ICAV | 6.095 | 0.001% | C | ||
| BLACKROCK FUTURE FINANCIAL AND TECHNOLOGY ETF | 12.949 | 0,001% | C | ||
| BLACKROCK GLOBAL FUNDS | 234.661 | 0,022% | C | ||
| BLACKROCK GLOBAL INDEX FUNDS | 33.336 | 0,003% | C | ||
| BLACKROCK INDEX SELECTION FUND | 180.267 | 0,017% | C | ||
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 63.968 | 0.006% | C | ||
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT | 34.315 | 0,003% | C | ||
| FUNDFOR EMPLOYEE BENEFIT TRUSTS | |||||
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
4.494.237 | 0,429% | C | ||
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. |
7.615 | 0,001% | C | ||
| BLACKROCK LIFE LIMITED | 16.576 | 0,002% | C | ||
| BLACKROCK LIFE LTD | 59.693 | 0,006% | C | ||
| BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK | |||||
| VARIABLE SERIES FUNDS, INC. | 7.261 | 0.001% | C | ||
| BLACKROCK MSCIEAFE EQUITY INDEX NON-LENDABLE FUND B | 132.675 | 0,013% | C | ||
| BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 61.287 | 0,006% | C | ||
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT (RELAND | 79.228 | 0,008% | C | ||
| LIMITED BMO MSCI EAFE ESG LEADERS INDEXETF |
|||||
| BMO MSCI EAFE INDEX ETF | 4.179 226.369 |
0,000% | C C |
||
| BMO MSCI FINTECH INNOVATION INDEX ETF | 0,022% | C | |||
| BMO MSCI INNOVATION INDEX ETF | 1.130 | 0,000% | |||
| BMO MSCI NEXT GEN INTERNET INNOVATION INDEX ETF | 1.042 | 0,000% | C | ||
| BNP PARIBAS ACTIONS PME ETI ISR | 270 | 0,000% | C | ||
| BNP PARIBAS ACTIONS PME ISR | 629.075 | 0,060% | C C |
||
| BNP PARIBAS EASY - ESG EUROZONE BIODIVERSITY LEADERS PAB | 507.108 | 0,048% | |||
| BNP PARIBAS EASY - ESG QUALITY EUROPE | 40.408 | 0,004% | C | ||
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 323.657 | 0.031% | C | ||
| BNP PARIBAS EASY - MSCI WORLD ESG FILTERED MIN TE | 69.112 | 0,007% | C | ||
| BNP PARIBAS FUNDS - EUROPE GROWTH | 1.217 | 0,000% | C | ||
| BNP PARIBAS TECHNOLOGIES EUROPE ISR | 184.417 | 0.018% | C | ||
| BNP PARIBAS VALEURS EURO ISR | 332.139 | 0,032% | C | ||
| BNP S BETA/LOT133/FRR10E | 544.506 773.032 |
0,052% | C | ||
| BNY MELLON INTERNATIONAL EQUITY ETF | 0.074% | C | |||
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 24.813 | 0,002% | C | ||
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 14.148 | 0,001% | C | ||
| 5.191 | 0.000% | C | |||
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 26.630 | 0,003% | C | ||
| BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN |
11.669 | 0,001% | C | ||
| AMERICA BOC PRUDENTIAL EUROPEAN EQUITY FUND |
2 | 0.000% | C C |
||
| BOC PRUDENTIAL EUROPEAN INDEX FUND | 10.897 46.435 |
0,001% 0,004% |
C | ||
| BOC PRUDENTIAL GLOBAL EQUITY FUND | 19.187 | 0,002% | C | ||
| BRIDGE BUILDER INT EQUITY FUND | 30.000 | 0,003% | C | ||
| BRIDGE BUILDER TAX MNG INT EQ | 2.877 | 0.000% | C | ||
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | |||||
| PORTFOLIO | 78.525 | 0,007% | C | ||
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 32.431 | 0,003% | C | ||
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 1.645 | 0,000% | C | ||
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 9.460 | 0,001% | C |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| BT INTERNATIONAL SHARES INDEX FUND | 35.914 | 0,003% | C | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 8.041 | 0,001% | C | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 14.441 | 0.001% | C | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 16.613 | 0,002% | C | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 1.007 | 0,000% | C | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 27.214 | 0,003% | C | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 4.21 1 | 0,000% | C | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 333.485 | 0,032% | C | |
| CAPULA TAIL RISK MASTER FUND LIMITED | ર્સ્ડે | 0.000% | C | |
| CARBP DIVERSIFIE ACTION EURO | 51.619 | 0,005% | C | |
| CARPIMKO ACTIONS LO | 500.000 | 0,048% | C | |
| CARROLL AVENUE PARTNERS LLC | 203 | 0,000% | C | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 2.628 | 0,000% | C | |
| CDC CROISSANCE | 278.908 | 0,027% | C | |
| CENTRAL PROVIDENT FUND BOARD | 1.439 | 0,000% | C | |
| CERVURITE INTERNATIONAL LLC | 32.846 | 0,003% | C | |
| CFSIL RE CNEALTH GS FD 16 | 7.144 | 0,001% | C | |
| CIBC EUROPEAN INDEX FUND | 2.636 | 0,000% | C | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 1.096 | 0,000% | C | |
| CIBC INTERNATIONAL EQUITY INDEXPOOL | 511 | 0,000% | C | |
| CIBC INTERNATIONAL INDEX FUND | 28.280 | 0,003% | C | |
| CITITRUST LIMITED | 24.947 | 0,002% | C | |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS- BLACKROCK WORLD EQUITY INDEX FUND |
5.012 | 0,000% | C | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 50.716 | 0,005% | C | |
| CITY OF NEW YORK GROUP TRUST | 129.153 | 0,012% | C | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 34.216 | 0,003% | C | |
| City UnivERSity OF NEW YORK | 708 | 0,000% | C | |
| Civil Service Employees Pension Fund | 4.991 | 0,000% | C | |
| CLAY FUNDS - CLAY EUROPEAN MULTI ASSETS | 25.000 | 0,002% | C | |
| CLAY FUNDS - CLAY EUROPEAN MULTI CAPS | 54.000 | 0,005% | C | |
| CLEOME INDEX - EMU EQUITIES | 10.521 | 0,001% | C | |
| CLEOME INDEX - EUROPE EQUITIES | 36.050 | 0.003% | C | |
| CM-AM ENTREPRENEURS EUROPE | 1.080.000 | 0.103% | C | |
| CM-AM EURO EQUITIES | 1.270.000 | 0,121% | C | |
| CM-AM EUROPE GROWTH | 3.000.000 | 0,286% | C | |
| CM-AM GLOBAL CITY ZEN | 17.661 | 0.002% | C | |
| CNP Actions Europe Amundi | 504.616 | 0,048% | C | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.016 | 0,001% | C | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND. | 26.997 | 0.003% | C | |
| COLUMBIA ACORN EUROPEAN FUND | 155.241 | 0.015% | C | |
| COLUMBIA ACORN INTERNATIONAL | 1.574.414 | 0, 150% | C | |
| COLUMBIA ACORN INTERNATIONAL SELECT | 527.233 | 0,050% | C | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. |
301.832 | 0,029% | C | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT રતરે |
4.062 | 0.000% | C | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYSTEM |
291.051 | 0,028% | C | |
| CONCORDE 96 (ACTION EURO) | 23.796 | 0,002% | C | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 9.971 | 0,001% | C | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 13.323 | 0.001% | C | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 1.447 | 0,000% | C | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 4.831 | 0.000% | C | |
| COUNTY OF SANTA CLARA | 19.500 | 0,002% | C | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 7.060 | 0,001% | C | |
| CPR EUROLAND PREMIUM ESG | 26.069 | 0,002% | C | |
| CPR Invest - European Strategic Autonomy | 74.007 | 0,007% | C | |
| CREDIT SUISSE FUNDS AG | 22.113 | 0,002% | C |
રેન્ડોર રહ્યો રહ્યું રેક્ટર

| Anagrafica | CF/Pi | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| CREDIT SUISSE INDEX FUND (IE) ETF ICAV | 18.709 | 0,002% | C | |
| CREDIT SUISSE INDEX FUND (LUX) | 611.003 | 0.058% | C | |
| CRELAN INVEST BALANCED | 20.425 | 0,002% | C | |
| CRELAN INVEST CONSERVATIVE | 2.613 | 0,000% | C | |
| CRELAN INVEST DYNAMIC | 8.491 | 0,001% | C | |
| CROWN SIGMA UCITS PLC - LGT CROWN LIQUID PRIVATE EQUITY OPPO | 1.520.000 | 0, 1 45% | C | |
| CSAA INSURANCE EXCHANGE | 2.745 | 0,000% | C | |
| CSIF 2 Credit Suisse Lux Italy Equity Fund | 17.504 | 0,002% | C | |
| CSIF 2 Credit Suisse Lux Small Mid Cap Alpha Long Short Fund | 21 2.844 | 0,020% | C | |
| CSIF CH Equity EMU Credit Suisse Funds AG | 37.814 | 0,004% | C | |
| CSIF CH III Equity World ex CH Value Weighted Pension Fund Credit Suisse Funds AG |
1.724 | 0,000% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 |
8.116 | 0,001% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATI |
83.576 | 0,008% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR SMTB INVESCO | 1.341 | 0,000% | C | |
| GLOBAL ESG INSIGHT INDEX DANMARKS GRUNDFORSKNINGFOND |
। રેસ્ક્રે | 0.000% | C | |
| DEAM FONDS ATZM | 9.000 | 0.001% | C | |
| DEAM FONDS ZDV | 7.090 | 0,001% | C | |
| DEAM-FONDS CPT | 5.167 | 0.000% | C | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 2.396 | 0,000% | C | |
| DESJARDINS SECURITE FINANCIERE COMPAGNIE D'ASSURANCE VIE | 2.566 | 0,000% | C | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 4.856 | 0.000% | C | |
| DEUTSCHE DCG EQ | 2.210 | 0,000% | C | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FIDEVXFF) | 1.775 | 0,000% | C | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 1.160 | 0.000% | C | |
| DIGNITY PRE ARRANGEMENT LIMITED | 3.089 | 0,000% | C | |
| DIMENSIONAL INTERNATIONAL VALUE ETF OF DIMENSIONAL ETF TRUST | 1.305 | 0,000% | C | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 486 | 0.000% | C | |
| DIVERSIFIED EQUITY MASTER PORTFOLIO OF MASTER INV PORTFOLIO | 7.928 | 0.001% | C | |
| DNCA SRI EURO QUALITY | 1.024.648 | 0.098% | C | |
| DORVAL MANAGEURS SMID CAP EURO | 47.900 | 0,005% | C | |
| DSM ALL WORLD GROWTH TRUST | 69.900 | 0,007% | C | |
| DSM ALL WORLD GROWTH TRUST - INTERNATIONAL GROWTH. | 14.010 | 0,001% | C | |
| DSM CAPITAL PARTNERS FUNDS | 193.000 | 0,018% | C | |
| DSM GLOBAL GROWTH EQUITY FUND | 5.138 | 0,000% | C | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 13.862 | 0.001% | C | |
| DWS INVEST | 1.187.345 | 0,113% | C | |
| DWS INVESTMENT GMBH FOR DEAM FONDS PMC 1 | 25.000 | 0,002% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 5.874 | 0,001% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 3.128 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 13.664 | 0.001% | C | |
| DWS INVESTMENT GMBH FOR DWS EUROPEAN OPPORTUNITIES | 2.019.928 | 0,193% | C | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 5.948 | 0,001% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DEAM FONDS SPEZIAL 18 | 43.599 | 0,004% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 76.327 | 0,007% | C | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 19.229 | 0,002% | C | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 206.361 | 0,020% | C | |
| DWS MULTI ASSET PIR FUND | 105.000 | 0,010% | C | |
| EASTSPRING INVESTMENTS | 793 | 0,000% | C | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 3.364 | 0,000% | C | |
| ECOFI ENDURANCE EURO | 20.000 | 0,002% | C | |
| ECUREUIL PROFIL 75 (ACTIONS) | 82.259 | 0,008% | C | |
| ECUREUIL PROFIL 90 ACTIONS EUR | 329.573 | 0,031% | C |

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| Edmond de Rothschild Fund Europe Synergy | 125.360 | 0,012% | C | |
| EdR SICAV - Europe Midcaps | 53.947 | 0.005% | C | |
| ENCYCLOPAEDIA BRITANNICA PENSION PLAN TRUST | 8.885 | 0,001% | C | |
| ENERGY INSURANCE MUTUAL LIMITED | 2.835 | 0,000% | C | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.848 | 0,002% | C | |
| ENSIGN PEAK ADVISORS INC | 30.550 | 0,003% | C | |
| EPARGNE ETHIQUE FLEXIBLE | 8.340 | 0,001% | C | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 43.571 | 0,004% | C | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
3.538 | 0,000% | C | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 6.782 | 0.001% | C | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
14.875 | 0.001% | C | |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
17.705 | 0.002% | C | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
22.358 | 0.002% | C | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY | 69.067 | 0,007% | C | |
| PORTFOLIO | ||||
| EQUIPSUPER | 19.535 | 0,002% | C | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 3.228 | 0,000% | C | |
| ERAFP ACTIONS EURO 1 | 1.065.845 | 0, 102% | C | |
| ERAFP ACTIONS EURO II | 1.150.000 | 0,110% | C | |
| ERAFP ACTIONS PAB EURO I | 11.055 | 0,001% | C | |
| ES RIVER AND MERCANTILE GLOBAL RECOVERY FUND | 79.170 | 0,008% | C | |
| ETICA AZIONARIO | 642.672 | 0.061% | C | |
| ETICA BILANCIATO | 1.410.408 | 0,135% | C | |
| ETICA OBBLIGAZIONARIO MISTO | 185.654 | 0.018% | C | |
| ETICA RENDITA BILANCIATA | 419.314 | 0,040% | C | |
| ETICA SGR SPA - FONDO ETICA OBIETTIVO SOCIALE | 2.113 | 0.000% | C | |
| ETICA SRG SPA - FONDO ETICA IMPATTO CLIMA | 450.000 | 0.043% | C | |
| ETOILE INDUSTRIE EUROPE | 59.320 | 0,006% | C | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 14.729 | 0.001% | C | |
| EUROPEAN CENTRAL BANK | 55.345 | 0.005% | C | |
| EVA VALLEY MAI LLC. | 4.531 | 0.000% | C | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 19.897 | 0,002% | C | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND |
5.143 | 0,000% | C | |
| FAMILY INVESTMENTS GLOBAL ICVC ONEFAMILY GLOBAL EQUITY FUND | 371 | 0,000% | C | |
| FC CARPIMKO (ACTIONS EURO) | 88.123 | 0,008% | C | |
| FCP ARRCO LONG TERME D | 108.767 | 0,010% | C | |
| FCP ECUREUIL RETRAITE EURO ACTIONS 4 | 1 50.000 | 0,01 4% | C | |
| FCP FOND MEDERIC ALZHEIMER AMU | 3.599 | 0,000% | C | |
| FCP SODIUM I | 28.1 60 | 0.003% | C | |
| FCP VILLIERS ALLEGRO | 203.365 | 0,019% | C | |
| FCPE EVOLUTIS | 136.270 | 0,013% | C | |
| FGV ACTIONS EUROPE LM A | 11.491 | 0,001% | C | |
| FIDELCOMISO FONDO DE AHORRO DE PANAMA | 3.936 | 0,000% | C | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 1.521.380 | 0,145% | C | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL | 12.410 | 0,001% | C | |
| INDEX FUND FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX |
105.761 | 0,010% | C | |
| FUND FIDELITY COVINGTON TRUST FIDELITY CRYPTO INDUSTRY AND DIGITAL |
60.786 | 0.006% | C | |
| PAYMENTS ETF | ||||
| FIDELITY FUNDS - EUROPEAN DYNAMIC GROWTH POOL | 6.687.166 | 0.639% | C | |
| FIDELITY FUNDS - ITALY POOL | 1.066.058 | 0,102% | C | |
| FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 132 | 0,000% | C | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 48.034 | 0,005% | C |
41/135
| Anagrafica | CF/Pl | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 57.444 | 0.005% | C | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 135.441 | 0,013% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 36.507 | 0.003% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 225.399 | 0.022% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY INTERNATIONAL SUSTAINABILITY IND Ex FUND |
18.641 | 0.002% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND |
1.234.127 | 0,118% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND |
852.658 | 0,081% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
202.128 | 0,019% | C | |
| FIDELITY TOTAL METAVERSE INDEX ETF | 2.539 | 0,000% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 1.919 | 0,000% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 4.413 | 0,000% | C | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 522 | 0,000% | C | |
| FIRST CHURCH OF CHRIST SCIENTIST | 50.154 | 0,005% | C | |
| FISCHER FAMILY TRUST | 1.131 | 0,000% | C | |
| FJARDE AP-FONDEN. | - | 0,000% | C | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 2.208 | 0,000% | C | |
| FLORIDA GLOBAL EQUITY FUND LLC | 11.144 | 0,001% | C | |
| FLOURISH INVESTMENT CORPORATION | 31.163 | 0.003% | C | |
| FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY | 3.987 | 0.000% | C | |
| FONDATION BOTNAR | 38.491 | 0.004% | C | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | - | 0,000% | C | |
| FONDS OBJECTIF CLIMAT ACTIONS | 105.087 | 0,010% | C | |
| FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 2.013 | 0,000% | C | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 2.767 | 0,000% | C | |
| FOREST FOUNDATION | 299 | 0,000% | C | |
| FORSTA AP - FONDEN | 104.598 | 0.010% | C | |
| FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 123.572 | 0,012% | C | |
| FRANCE PLACEMENT EURO ESG PLUS | 240.198 | 0.023% | C | |
| FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 4.988 | 0,000% | C | |
| FRANKLIN LIBERTYSHARES ICAV | 9.540 | 0.001% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 5.859 | 0.001% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FISE EUROPE HEDGED ETF | 804 | 0,000% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FISE ITALY ETF | 9.252 | 0.001% | C | |
| FUNDACAO CALOUSTE GULBENKIAN | 5.770 | 0,001% | C | |
| FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU |
23.754 | 0.002% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE | 272.488 | 0,026% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. |
5.914 | 0.001% | C | |
| G FUND OPPORTUNITIES EUROPE | 630.000 | 0,060% | C | |
| G.A. FUND-B - EQUITY BROAD EURO P | 16.001 | 0,002% | C | |
| GAM INVESTMENT MANAGEMENT (SWITZERLAND) AG | 5.883 | 0,001% | C | |
| GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 2.385 | 0,000% | C | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 354.723 | 0,034% | C | |
| GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 4.123 | 0.000% | C | |
| GLOBAL EQUITIES ENHANCED INDEX FUND | 15.757 | 0,002% | C | |
| GODFOND SVERIGE & VARLDEN | 1.232 | 0,000% | C | |
| GOLDMAN SACHS ETF ICAV | 86 | 0,000% | C | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | રજિત્ | 0.000% | C | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 156.291 | 0.015% | C |

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
16.481 | 0,002% | C | |
| GOLDMAN SACHS FUNDS | 1.981 | 0,000% | C | |
| GOLDMAN SACHS FUNDS III | 39.623 | 0,004% | C | |
| GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN | ||||
| TRACKER FUND | 6.028 | 0,001% | C | |
| GOVERNMENT PENSION INVESTMENT FUND | 3.771.016 | 0,360% | C | |
| GRAHAM DEVELOPMENTAL EQUITY STRATEGIES LLC | 275 0,000% |
C | ||
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 5.345 | 0,001% | C | |
| GREAT WEST INTERNATIONAL INDEX FUND | 57.370 | 0,005% | C | |
| GUDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 24.702 | 0,002% | C | |
| HALEVY AT | 49.388 | 0,005% | C | |
| HALEVY A2 | 54.41 4 | 0,005% | C | |
| HANG SENG INSURANCE COMPANY LIMITED | 3.602 | 0,000% | C | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 4.416 | 0,000% | C | |
| HARTFORD REAL ASSET FUND | 71.395 | 0,007% | C | |
| HASLAM FAMILY INVESTMENT PARTNERSHI HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO |
1.124 | 0.000% 417 |
C C |
|
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 0,000% | |||
| 360 0,000% |
C | |||
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL | 12.796 | 0.001% | C | |
| IHC RENTE | 3.500 | 0,000% | C | |
| HESTA | 18.255 | 0,002% | C | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE |
76.035 | 0.007% | C | |
| Horizon Business SRI Dyn DBI-RDT | 3.606 | 0,000% | C | |
| HORIZON EPARGNE ACTIONS | 42.685 | 0,004% | C | |
| HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 3.921 | 0,000% | C | |
| HOSTPLUS POQLED SUPERANNUATION TRUST | 19.067 | 0,002% | C | |
| HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ FND | 381.924 | 0,036% | C | |
| HSBC EIFS PLC | 19.391 | 0,002% | C | |
| HSBC ETFs Public Limited Company | 242 0,000% |
C | ||
| HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF | 8.096 | 0.001% | C | |
| HSBC GLOBAL INVESTMENT FUNDS | 154.636 | 0,015% | C | |
| HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND | 26.897 | 0,003% | C | |
| HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX FUND |
1.796 | 0,000% | C | |
| HSBC International EQUITY INDEX FUND | 7.800 | 0,001% | C | |
| HSBC Life (International) Limited | 17.535 | 0,002% | C | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
9.600 | 0.001% | C | |
| HYMNOS ISB | 74.572 | 0,007% | C | |
| I2C ACTIONS | 170.000 | 0,016% | C | |
| IBM 401 (K) PLUS PLAN TRUST | 74.250 | 0,007% | C | |
| IBM 401 (K) PLUS PLAN TRUST | 22.69 1 | 0,002% | C | |
| IBM PERSONAL PENSION PLAN TRUST | 1.482 2.446 |
0,000% 0,000% |
C C |
|
| IBM RETIREMENT PLAN IF IST - GLOBE INDEX |
18.760 | 0,002% | C | |
| ILA - A-ILDSCG | 2.207 | 0,000% | C | |
| ILA - A-ILEZEQG | 13.759 | 0,001% | C | |
| ILA - A-ILGLOEQG | 4.911 | 0,000% | C | |
| ILA - A-ILGLOEQN | 738 0,000% |
C | ||
| ILA-A-ILSDMH | 109.622 | 0,010% | C | |
| ILA-LA WORLD ESG SCREENED FUND | 3.194 | 0,000% | C | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 26.414 | 0,003% | C | |
| IMPROVING EUROPEAN MODELS SRI | 90.000 | 0,009% | C | |
| INDEXIQ Factors Sustainable EMU Equity | ાં રેડ 0,000% |
C | ||
| INDIANA PUBLIC RETIREMENT SYSTEM | 7.345 | 0,001% | CI |
43/135

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ING DIRECT FONDO NARANJA CONSERVADOR,FI | 1.307 | 0,000% | C | |
| ING DIRECT FONDO NARANJA DINAMICO,FI | 1 4.404 | 0.001% | C | |
| ING DIRECT FONDO NARANJA MODERADO,FI | 8.609 | 0,001% | C | |
| ING DIRECT SICAV | 29.962 | 0,003% | C | |
| INSTITUTIONAL RETIREMENT TRUST | 37.694 | 0,004% | C | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 407.365 | 0,039% | C | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
464.866 | 0,044% | C | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 2.405 | 0.000% | C | |
| INTERNATIONAL MONETARY FUND | 36.436 | 0.003% | C | |
| INVESCO FISE RAFI DEVELOPED MARKETS EX U S ETF | 48.723 | 0,005% | C | |
| INVESCO MARKETS II PLC | 16.923 | 0.002% | C | |
| INVESCO MARKETS III PLC | 418 | 0,000% | C | |
| INVESCO PUREBETA FISE DEVELOPED EX NORTH AMERICA ETF | 373 | 0.000% | C | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 2.510 | 0,000% | C | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS, GLOBALE AKTIER | ||||
| AKK.KL | 102.245 | 0.010% | C | |
| INVESTERINGSFORENINGEN INVESTIN SAMPENSION GLOBALE AKTIER | 819 | 0,000% | C | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
3.877 | 0,000% | C | |
| INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS GLOBALE AKTI | 17.243 | 0,002% | C | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 9.795 | 0,001% | C | |
| INVESTISSEMENT 101 AUTRES | 4.643 | 0,000% | C | |
| INVESTITORI EIGHTY TWENTY | 9.550 | 0,001% | C | |
| INVESTITORI EUROPA | 7.500 | 0,001% | C | |
| Investors Wholesale Global Equity (Index) Trust | 24.607 | 0,002% | C | |
| IP ACTIONS EURO | 11.686 | 0,001% | C | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL EFF | 19.708 | 0,002% | C | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 10.100 | 0,001% | C | |
| IRCANTEC PAB AMUNDI | 68.860 | 0.007% | C | |
| IRCEC CASSETTE DIVERSIFIE | 23.461 | 0,002% | C | |
| IRISH LIFE ASSURANCE PLC | 103.877 | 0,010% | C | |
| IRISH LIFE ASSURANCE. | 58.540 | 0.006% | C | |
| IRISH LIFE CLIMATE FOCUSED FUND | 2.189 | 0,000% | C | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.644 | 0,000% | C | |
| ISHARES CORE MSCI EAFE ETF | 3.183.677 | 0,304% | C | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 146.296 | 0,01 4% | C | |
| ISHARES CORE MSCI EUROPE ETF | 263.636 | 0,025% | C | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 313.641 | 0.030% | C | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 702-224 | 0,067% | C | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS (AUD HEDGED) ETF |
3.347 | 0,000% | C | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS ETF | 6.581 | 0.001% | C | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 29.346 | 0,003% | C | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 5.287 | 0,001% | C | |
| ISHARES ESG MSCI EAFE LEADERS INDEX ETF | 333 | 0,000% | C | |
| ISHARES EURO STOXX UCITS ETF (DE) | 243.107 | 0.023% | C | |
| ISHARES EUROPE ETF | 153.177 | 0.015% | C | |
| ISHARES EXPONENTIAL TECHNOLOGIES ETF | 1.81 6.202 | 0,173% | C | |
| ISHARES EXPONENTIAL TECHNOLOGIES INDEX ETF | 2.730 | 0,000% | C | |
| ISHARES GLOBAL FINANCIALS ETF | 42.185 | 0,004% | C | |
| ISHARES II PUBLIC LIMITED COMPANY | 537.050 | 0,051% | C | |
| ISHARES III PUBLIC LIMITED COMPANY | 238.825 | 0.023% | C | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 2.863 | 0.000% | C | |
| ISHARES IV PUBLIC LIMITED COMPANY | 933.527 | 0.089% | C | |
| ISHARES MSCI ACWI ETF | 162.378 | 0,016% | C | |
| ISHARES MSCI ACWI EX U.S. ETF | 104.064 | 0,010% | C | |

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| ISHARES MSCI EAFE ETF | 1.866.361 | 0,178% | C | |
| ISHARES MSCI EAFE GROWTH ETF | 987.627 | 0,094% | C | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 336.986 | 0,032% | C | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 12.113 | 0,001% | C | |
| ISHARES MSCI EUROZONE ETF | 864.697 | 0,083% | C | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 3.702 | 0,000% | C | |
| ISHARES MSCI INTL VALUE FACTOR ETF | 159.628 | 0,015% | C | |
| ISHARES MSCI ITALY ETF | 823.337 | 0.079% | C | |
| ISHARES MSCI KOKUSAI ETF | 2.466 | 0,000% | C | |
| ISHARES MSCI WORLD ETF | 35.076 | 0,003% | C | |
| ISHARES PUBLIC LIMITED COMPANY | 87.055 | 0,008% | C | |
| ISHARES STOXX EUROPE 600 INDUSTRIAL GOODSSERVICES UCITS ETF DE | 139.804 | 0,013% | C | |
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 402.733 | 0,038% | C | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 169.646 | 0,016% | C | |
| ISHARES V PUBLIC LIMITED COMPANY | 57.924 | 0,006% | C | |
| ISHARES VI PUBLIC LIMITED COMPANY | 81.293 | 0,008% | C | |
| ISHARES VII PLC | 233.307 | 0.022% | C | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 44.836 | 0,004% | C | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 3.915 | 0,000% | C | |
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 5.152 | 0.000% | C | |
| JANUS HENDERSON GLOBAL FINANCIALS FUND | 45.789 | 0.004% | C | |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND |
5.107 | 0.000% | C | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 89.156 | 0.009% | C | |
| JANUS HENDERSON MULTI STRATEGY MASTER FUND LIMITED (THE) C/O | 4.135 | 0,000% | C | |
| JANUS CAPITAL MANAGEMENT LLC | ||||
| JNL INTERNATIONAL INDEX FUND | 125.769 | 0.012% | C | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 1.692 | 0,000% | C | |
| JNL/MELLON MSCI WORLD INDEX FUND | 5.231 | 0,000% | C | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND |
101.748 | 0,010% | C | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 1.144 | 0,000% | C | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 33.245 | 0.003% | C | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 6.274 | 0,001% | C | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 4.401 | 0,000% | C | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY | 17.962 | 0,002% | C | |
| INDEX TRUST. | ||||
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST |
86.121 | 0,008% | C | |
| JPMORGAN BETABUILDERS EUROPE ETF | 764.381 | 0,073% | C | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 185.263 | 0,018% | C | |
| JPMORGAN GLOBAL ALLOCATION FUND | 3.815 | 0,000% | C | |
| JUPITER EUROPEAN FUND. | 5.980.820 | 0,571% | C | |
| JUPITER EUROPEAN SPECIAL SITUATIONS FUND. | 563.750 | 0.054% | C | |
| K INVESTMENTS SH LIMITED. | 57.618 | 0.006% | C | |
| KAISER FOUNDATION HOSPITALS | 10.386 | 0,001% | C | |
| KAISER PERMANENTE GROUP TRUST | 23.621 | 0,002% | C | |
| KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 9.197 | 0.001% | C | |
| KAPITALFORENINGEN INSTITUTIONEL INVESTOR, EUROPAEISKE SMALL CAP AKTIER |
825.949 | 0,079% | C | |
| KAPITALFORENINGEN INVESTIN PRO GLOBALE AKTIER INDEX | 39.065 | 0,004% | C | |
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 142.704 | 0,014% | C | |
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 44.382 | 0,004% | C | |
| ENHANCED K8C EQUITY FUND EUROZONE DBI-RDT |
69.694 | 0,007% | C | |
| KBC EQUITY FUND NEW SHARES | 33.232 | 0,003% | C | |
| KBC EQUITY FUND SRI EUROZONE | 76.783 | 0,007% | C | |
45/135

| C 124.446 0,012% KBC INST FUND EURO EQUITY C 1.114 0,000% KFP MARKETABLE LLC C 19.031 0,002% KOKUSAI EQ IDX FD,A TR BLROCK L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO C 18.576 0,002% INDEX EQUITY TSGN (5270 C 2.000 0.000% L.S. CHALLENGE C 220.310 0,021% C 200.453 0,019% LBPAM IRC ACTIONS ISR C 49.115 0,005% LBPAM ISR ACTIONS 80 C 45.239 0,004% C 1.157 0,000% C 4.084 0,000% LBPAM ISR AVENIR EURO C 6.062 0,001% LBPAM ISR STRATEGIE PEA 1 C 9.682 0,001% LBPAM ISR STRATEGIE PEA 2 C 1.114 0,000% C 21.334 0,002% LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND C 6.144 0.001% LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND C 187 0,000% LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND C LEGAL & GENERALICAV. 1.105 0,000% LEGAL & GENERAL MSCI EAFE FUND LLC C 40.517 0,004% C LEGAL & GENERAL MSCI EAFE SL FUND LLC 43.303 0,004% LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) C 131.519 0,013% LIMITEDONS MANAGEMENT) LIMITED C 1.446.273 0.138% C 0,003% 26.206 C 41.003 0,004% C 84.820 0,008% 2.016 C 0,000% 271.944 C 0,026% 2.741 C 0,000% C 71.738 0,007% C 92.581 0,009% C 6.005 0,001% C 1.835 0.000% 787 C 0,000% 43.417 C 0,004% 52.012 C 0,005% C 18.457 0,002% 0,000% C 4.830 C 0,043% 450.000 C 299 0,000% C 650.000 0,062% C 0,000% 4.518 28.413 C 0,003% 8.678 C 0,001% C 76 0.000% LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI 21.721 C 0,002% LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND C 10.855 0,001% 83.097 C 0,008% 17.230 C 0,002% 448.613 0,043% C 193.252 C 0,018% 17.402 C 0,002% 3.791 C 0.000% 507.028 C 0.048% C 49.975 0,005% |
KBC EQUITY FUND SRI WORLD | 17.777 | 0,002% | C |
|---|---|---|---|---|
| LARGE CAP INTL PORTFOLIO OF DFA INV | ||||
| LBPAM ISR ACTIONS EURO LARGE CAP | ||||
| LBPAM ISR ACTIONS EURO MIN VOL | ||||
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | ||||
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | ||||
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | ||||
| LEGAL AND GENERAL CCF | ||||
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | ||||
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | ||||
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | ||||
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | ||||
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | ||||
| LEGAL AND GENERAL UCITS ETF PLC | ||||
| LGAS SHF EURO EX UK ESG FD(1848 LGIM PMC CSUF(36670) TESCO | ||||
| INDEX EQUITY TSGN (5270 | ||||
| LGAS SHF FUT WRLD ESG DEV IDX(6734) | ||||
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME. | ||||
| LIF-LYX DIGIT ECONOMY(DRJUCITS | ||||
| LIF-LYX DISRUPTIVE TECH(DR)UC | ||||
| LIF-LYX MILLENNIALS UCITS ETF | ||||
| LIF-LYX MSCI WRL CATHOL PRINC | ||||
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | ||||
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | ||||
| LOF GLOBAL FINTECH | ||||
| LOF TargetNetZero Europe Equity | ||||
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | ||||
| LONDON LGPS CIV AUTHORISED CONTRACTUAL SCHEME. | ||||
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM | ||||
| LVIP SSGA INTERNATIONAL INDEX FUND | ||||
| LYX CORE MSCI WLD(DR)UCITS ETF | ||||
| LYX IND -LYX CORE STOXX EU 600 | ||||
| LYX MSCI EU ESG LEADERS (DR) | ||||
| LYXIND FD-LYX MSCI EMU GROWTH | ||||
| Lyxor 1 STOXX Europe 600 ESG (DR) UCITS ETF | ||||
| LYXOR FISE MIB UCITS ETF | ||||
| LYXOR MSCI EUROPE UCITS ETF |
Anagrafica
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| LYXOR-MSCI EMU ESG BROD CTB | 16.875 | 0,002% | C | |
| M INTERNATIONAL EQUITY FUND | 3.909 | 0.000% | C | |
| M STANLEY PATHWAY FD-INT EQ FD | 10.618 | 0,001% | C | |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.586 | 0,000% | C | |
| MACQUARIE MULTI-FACTOR FUND | 1.278 | 0,000% | C | |
| MACQUARIE WHOLESALE FUNDS | 1.949 | 0,000% | C | |
| MANAGED PENSION FUNDS LIMITED | 228.075 | 0,022% | C | |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX | ||||
| POOLED FUND | 26.418 | 0,003% | C | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 5.853 | 0.001% | C | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 2.872 | 0,000% | C | |
| MARIGOLD TACTICAL STRATEGIES LTD | 2.834 | 0,000% | C | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 22.036 | 0,002% | C | |
| MASTER TRUST BANK OF JAPAN LTD. RE: FIDELITY EUROPE FUND | 555.055 | 0.053% | C | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 9.494 | 0,001% | C | |
| MBB PUBLIC MARKETS I LLC | 45.375 | 0,004% | C | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 21.489 | 0.002% | C | |
| MEDICAL ASSURANCE SOCIETY NEW ZEALAND LIMITED | 11.655 | 0,001% | C | |
| MERCER PASSIVE INTERNATIONAL SHARES FUND | 23.228 | 0,002% | C | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.81 4 | 0,000% | C | |
| MERCER PRIVATE WEALTH INTERNATIONAL FOCUSED EQUITY POOL | 9.779 | 0.001% | C | |
| MERCER QIF COMMON CONTRACTUAL FUND | 678.556 | 0.065% | C | |
| MERCER UCITS COMMON CONTRACTUALFUND | 15.220 | 0.001% | C | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 17.388 | 0,002% | C | |
| METROPOLITAN LIFE INSURANCE COMPANY | 26.176 | 0,002% | C | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 8.300 | 0.001% | C | |
| MGI FÜNDS PLC | 43.363 | 0.004% | C | |
| MICHELLE LUND REV TRUST | 1.209 | 0.000% | C | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 2.157 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 30 | 1.200 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 1.370 | 0.000% | C | |
| MIGROS BANK (LUX) FONDS 50 | 1.670 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 1.230 | 0.000% | C | |
| MIRAE ASSET GLOBAL INVESTMENTS (HK) LIMITED. | 6.767 | 0,001% | C | |
| MLC INVESTMENTS, MLC LIMITED | 22.468 | 0,002% | C | |
| MOBIUS LIFE LIMITED | 10:68 | 0,001% | C | |
| MONCEAU ACTIONS EEE | 162.271 | 0.015% | C | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | C | |||
| PORTFOLIO | 2.933 | 0,000% | ||
| MORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL | 487 | 0.000% | C | |
| STRATEGI ST PORTFOLIO | ||||
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 6.169 | 0,001% | C | |
| MOTHER CABRINI HEALTH FOUNDATION INC | 14.907 | 0,001% | C | |
| MOZILLA CORPORATION | 2.970 | 0,000% | C | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 23.335 | 0,002% | C | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 372 | 0,000% | C | |
| MSCI EQUITY INDEX FUND B - ITALY (MSIIB) | 241.974 | 0,023% | C | |
| MSCI EUROPE EQUITY INDEX FUND B EUROSECB | 83.143 | 0,008% | C | |
| MUGUET VENTURES LLC | 1.575 | 0,000% | C | |
| MUL- LYX FTSE IT ALL CAP PIR20 | 11.270 | 0,001% | C | |
| MUL-LY MSCI EU ESG C T CIB DR | 92 | 0.000% | C | |
| MUL-LYX NET ZERO 50 SP EU CLIP | 8.180 | 0,001% | C | |
| MUL-LYX NET ZERO 50 SP WLD CLI | 2.729 | 0.000% | C | |
| MUL-LYX NET ZERO50 SP EU CLIP | 387.803 | 0,037% | C | |
| MULTI UNITS LUX-LYX CORE MSCI | 46.183 | 0,004% | C | |
| MULTIFLEX SICAV | 5.098 | 0,000% | C | |
| MULTILABEL SICAV | 285.282 | 0,027% | C | |
| NATIONAL BANK FINANCIAL INC | 3.691 | 0,000% | C | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 5.079 | 0.000% | C/I | |
47/135

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 118.155 | 0,011% | C | |
| NATIONAL PENSION INSURANCE FUND | 3.017 | 0,000% | C | |
| INATIONWIDE INTERNATIONAL INDEX FUND | 40.056 | 0,004% | C | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 43.812 | 0,004% | C | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
14.148 | 0,001% | C | |
| NEUALT LLC | 9.733 | 0.001% | C | |
| NEW AIRWAYS PENSION SCHEME | 311 0,000% |
C | ||
| NEW IRELAND ASSURANCE COMPANY PLC. | 7.819 | 0,001% | C | |
| NEW YORK STATE COMMON RETIREMENT FUND | 32.879 | 0.003% | C | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 174.625 | 0,017% | C | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POW |
ો નિર્ 0,000% |
C | ||
| INFS LIMITED | 7.193 | 0,001% | C | |
| NMTB/NIK KOKUSAI-H 935034 | 1.336 | 0,000% | C | |
| NMTB/NIK KOKUSAI-NH 935026 | 21.240 | 0,002% | C | |
| NORDEA EUROPEAN PASSIVE FUND | 9.703 | 0,001% | C | |
| NORDEA GLOBAL PASSIVE FUND | 15.946 | 0.002% | C | |
| NORDEA WORLD PASSIVE FUND | 1 4.068 | 0,001% | C | |
| NORTHERN GLOBAL SUSTAINABILITY INDEX FUND | 34.837 | 0,003% | C | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 4.486 | 0,000% | C | |
| INSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 4.043 | 0,000% | C | |
| INSP MONTICELLO MINNESOTA RETAIL | 9.613 | 0,001% | C | |
| NVIT INTERNATIONAL INDEX FUND | 48.821 | 0,005% | C | |
| OFI INVEST ESG EURO EQ SM BETA | 36.233 | 0,003% | C | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 55.215 | 0,005% | C | |
| ORANO ACTIONS ZONE EURO | 14.231 | 0,001% | C | |
| OSSIAM LUX | 30.816 | 0,003% | C | |
| PANAGORA GROUP TRUST | 22.358 | 0,002% | C | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 11.200 | 0,001% | C | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 3.202 | 0,000% | C | |
| PENSION RESERVES INVESTMENT TRUST FUND | 89.803 | 0,009% | C | |
| PEOPLE'S BANK OF CHINA | 766.308 | 0.073% | C | |
| PERP PROG (ACTIONS EUROPE) | 18.856 | 0,002% | C | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 1.175 | 0,000% | C | |
| PICTET - EUROPE INDEX | 56.662 | 0.005% | C | |
| PICTET - MULTI ASSET GLOBAL OPPORTUNITIES | 7.804 | 0,001% | C | |
| PICTET CH - GLOBAL EQUITIES | 7.585 | C | ||
| 0,001% | ||||
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER | 14.480 | 0,001% | C | |
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL | 19.408 | 0,002% | C | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER | 13.736 | 0,001% | C | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE | 2.164 | 0,000% | C | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS SUSTAINABLE EQUITIES TRACKER |
11.552 | 0,001% | C | |
| PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX ટી |
6.959 | 0,001% | C | |
| PICTET-EUROLAND INDEX | 31.875 | 0.003% | C | |
| PIER 21 GLOBAL GROWTH POOL | 2.051 | 0,000% | C | |
| PIR EQUITY AXA ASSICURAZIONI | 180.000 | 0,017% | C | |
| PK CSG World Equity Credit Suisse Funds AG | 17.072 | 0.002% | C | |
| PLATO INST I FUND EURO EQUITY | 13.455 | 0,001% | C | |
| PLATO INST I FUND EUROPEAN EQUITY | 25.375 | 0,002% | C | |
| Plato Instit Index Fnd World DBI-RDT | 7.029 | 0,001% | C | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 2.618 | 0,000% | C | |
| POINT72 ASSOCIATES LLC C/O WALKERS CORPORATE LIMITED | 1.617 | 0,000% | C | |
| CAYMAN CORPORATE CENTRE Pollux |
7.940 | 0,001% | C | |

49/135
EMARKET SDIR

| Anagratica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SHELL FOUNDATION | 12.523 | 0,001% | C | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | 4.257 | 0,000% | C | |
| INTERNATIONAL PENSION FUND | ||||
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 1 60 | 0,000% | C | |
| SIEMENS BALANCED | 13.658 | 0,001% | C | |
| SIEMENS EMU EQUITIES | 41.519 | 0,004% | C | |
| SIEMENS-FONDS SIEMENS-RENTE | 72.260 | 0,007% | C | |
| SILVER AMUNDI EURO EQUITY | 170.879 | 0,016% | C | |
| SINGLE SELECT PLATFORM | 132.035 | 0.013% | C | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 246.443 | 0,024% | C | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
21.646 | 0,002% | C | |
| SOGECAP ACTIONS - MID CAP | 219.114 | 0.021% | C | |
| SOGECAP AP CLIMAT PAB | 128.138 | 0,012% | C | |
| SOLIDARITES | 14.835 | 0,001% | C | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 470.572 | 0,045% | C | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 10.475 | 0,001% | C | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 175.915 | 0,017% | C | |
| SPDR PORTFOLIO EUROPE ETF | 24.100 | 0,002% | C | |
| SPDR SP WORLD EX AUSTRALIA FUND | 6.778 | 0,001% | C | |
| SPP GENERATION 70-TAL | 9.226 | 0,001% | C | |
| SPP PENSION & FORSAKRING AB (PUBL) | 754 | 0,000% | C | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON IRUST FUND |
11.849 | 0.001% | C | |
| ISSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND |
15.711 | 0,002% | C | |
| ISS MSCITTALY INDEX SECURITIESLENDING COMMON TRUST FUND | 498.764 | 0,048% | C | |
| SSGA MSCI ACWIEX-USA INDEX NON-LENDING DAILY TRUST | 3.232 | 0,000% | C | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 76.811 | 0,007% | C | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 106.822 | 0.010% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 2.188.362 | 0,209% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 71.855 | 0,007% | C | |
| STANDARD BANK OF SOUTH AFRICA LTD | 63.151 | 0,006% | C | |
| STAR PASTEUR | 20.889 | 0,002% | C | |
| STATE OF MINNESOTA | 241.787 | 0,023% | C | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 356.400 | 0.034% | C | |
| STATE OF WISCONSIN INVESTMENT BOARD | 2 | 0,000% | C | |
| STATE STREET CCF | 1.802 | 0,000% | C | |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.81 1 | 0,000% | C | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 1 47.942 | 0,01 4% | C | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 110.409 | 0,011% | C | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 105.114 | 0,010% | C | |
| STATE STREET INTERNATIONAL EQUIPTIES INDEX TRUST LEVEL 15 | 8.588 | 0,001% | C | |
| STATE STREET IRELAND UNIT TRUST | 26.658 | 0,003% | C | |
| STATE STREET TOTAL RETURN VIS FUND | 10.218 | 0,001 % | C | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 197.735 | 0,019% | C | |
| STELLAR INSURANCE, LTD. | 1.867 | 0,000% | C | |
| STEPHEN N POTTER TRUST | ୧೭ | 0,000% | C | |
| STEWARDSHIP PARA GLB | 1.559 | 0,000% | C | |
| STICHTING AHOLD DELHAIZE PENSIOEN STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE MEUBELI |
2.248 13.947 |
0,000% 0.001% |
C C |
|
| NDUSTRIEEN MEUBILERINGSBEDRIJ STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET |
24.565 | 0,002% | C | |
| LEVENSMIDDELENBEDRIJF | ||||
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 2.416 | 0,000% | C | |
| STICHTING CZ FUND DEPOSITARY | 7.524 | 0,001% | C | |
| STICHTING DE NATIONALE ALGEMEEN PENSIOENFONDS | 4.828 | 0,000% | C | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 48.115 | 0,005% | C | |
| STICHTING ING CDC PENSIOENFONDS | 14.187 | 0,001% | C | |
| STICHTING NN CDC PENSIOENFONDS | 6.150 | 0,001% | C |

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| STICHTING PENSIOENFONDS ABP | 550.168 | 0,053% | C | |
| STICHTING PENSIOENFONDS APF | રે રેણ | 0,000% | C | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 22.996 | 0.002% | C | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 235.898 | 0,023% | C | |
| STICHTING PENSIOENFONDS PGB | 669.836 | 0.064% | C | |
| STICHTING PENSIOENFONDS PROVISUM | 1.861 | 0,000% | C | |
| STICHTING PENSIOENFONDS UWV | 35.840 | 0,003% | C | |
| STICHTING PENSIOENFONDS WERK EN(RE) INTEGRATIE | 75.087 | 0,007% | C | |
| STICHTING PHILIPS PENSIOENFONDS | 9.316 | 0,001% | C | |
| STICHTING SHELL PENSIOENFONDS | 12.901 | 0,001% | C | |
| STOREBRAND EUROPA PLUS | 8.021 | 0,001% | C | |
| STOREBRAND GLOBAL ALL COUNTRIES | 24.294 | 0,002% | C | |
| STOREBRAND GLOBAL PLUS | 27.552 | 0,003% | C | |
| STOREBRAND LIVSFORSIKRING AS | 20.747 | 0,002% | C | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 12.700 | 0,001% | C | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 26.604 | 0,003% | C | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET | ||||
| PORT | 4.528 | 0,000% | C | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 1.874 | 0,000% | C | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | 2.296 | 0,000% | C | |
| AUSTRAL | ||||
| SWISSLIFE BANQUE PRIVEE | 750 | 0,000% | C | |
| SYCOMORE INCLUSIVE JOBS | 132.028 | 0,013% | C | |
| SYCOMORE SOCIAL IMPACT | 745.818 | 0,071% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 28.247 | 0,003% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 30.818 | 0,003% | C | |
| TANGERINE BALANCED GROWTH PORTFOLIO | 8.954 | 0,001% | C | |
| TANGERINE BALANCED INCOME PORTFOLIO | 1.027 | 0,000% | C | |
| TANGERINE BALANCED PORTFOLIO | 7.533 | 0,001% | C | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 11.322 | 0,001% | C | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 118.833 | 0,011% | C | |
| TD EMERALD LOW CARBON LOW VOLATILITY GLOBAL EQUITY PFT | 91 | 0,000% | C | |
| TD EUROPEAN INDEX FUND . | 3.643 | 0,000% | C C |
|
| TD GLOBAL TECHNOLOGY LEADERS INDEX ETF | 34.180 | 0,003% | C | |
| TD INTERNATIONAL EQUITY INDEX ETF | 33.963 | 0.003% | ||
| TEACHER RETIREMENT SYSTEM OF TEXAS | 15.022 | 0.001% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | ﺍ ﺍﻟ | 0,000% | C | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 0,000% | C | ||
| TEACHERS' RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 55.338 | 0.005% | C | |
| TELSTRA SUPERANNUATION SCHEME | 15.075 | 0.001% | C C |
|
| THE ALPHAGEN MULTI-STRATEGY MASTER FUND LIMITED | 125.095 | 0,012% | ||
| THE AMERICAN UNIVERSITY IN CAIRO | 5.855 46.012 |
0.001% | C C |
|
| THE BANK OF KOREA THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV |
93.377 | 0,004% 0,009% |
C | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE | 232,344 | C | ||
| INVESTMENT FUND PLAN | 0.0222% | |||
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 53.840 | 0,005% | C | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 6.200 | 0,001% | C | |
| THE ENDEAVOUR II FUND. | 1.125 | 0.000% | C | |
| THE ESB PENSION FUND | 12.963 | 0,001% | C | |
| THE FUNDO DE PENSOES | 4.265 | 0,000% | C | |
| THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT PLANS MASTER TRUST |
177 | 0,000% | C | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 385 | 0,000% | C | |
| THE JUPITER GLOBAL FUND SICAV | 1.419.382 | 0,136% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND |
13.041 | 0,001% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND |
1.175 | 0,000% | C |
51/135
| Anagratica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY | 54.542 | 0.005% | C | |
| INDEX MOTHER FUND | ||||
| THE MASTER TRUST BANK OF JAPAN. LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
52.350 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | ||||
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | 18.407 | 0,002% | C | |
| THE MASTER TRUST BANK OF JAPAN. LTD. RE: MSCI-KOKUSAI INDEX | ||||
| MOTHER FUND | 276 | 0,000% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 2.080 | 0.000% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 15.187 | 0,001% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 43.848 | 0,004% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | 4.644 | 0.000% | C | |
| PASSIVE MOTHER FUND (ONLY FOR PENSION | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | 71.485 | 0.007% | C | |
| HEDGED) (PRIVATELY PLACED INVESTMENT T | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X (JPY HEDGED) (PRIVATELY PLACED INVEST |
9.265 | 0.001% | C | |
| THE PENSION BOARDS-UNITED CHURCH OF CHRIST INC. | 2.372 | 0,000% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 2.637 | 0,000% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 8.276 | 0.001% | C | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 598.298 | 0,057% | C | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 16.243 | 0,002% | C | |
| THEAM QUANT - EQUITY EUROPE DEFI | 45.625 | 0,004% | C | |
| THEAM QUANT-EQUITY WORLD GLOBAL GOALS | 227.411 | 0,022% | C | |
| THEAM QUANT- MULT ASSET DIVERSIFIED DEFENSIVE | 213.275 | 0,020% | C | |
| THREADNEEDLE (LUX | 14.133 | 0,001% | C | |
| THREADNEEDLE (LUX) | 1.444.177 | 0,138% | C | |
| THREADNEEDLE (LUX) COLUMBIA THREADNEEDLE INVESTMENTS | 1.108.491 | 0, 106% | C | |
| THREADNEEDLE (LUX) | 1.746.641 | 0,167% | C | |
| THREADNEEDLE INVESTMENT FUNDS ICVC | 2.366.558 | 0,226% | C | |
| THRIFT SAVINGS PLAN | 2.030.151 | 0,194% | C | |
| THRIFT SAVINGS PLAN | 496.824 | 0,047% | C | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 6.361 | 0,001% | C | |
| TTAACREF INTERNATIONAL EQUITY INDEX FUND | 758.957 | 0,072% | C | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 15.344 | 0,001% | C | |
| TONI ACTIONS ISR 100 | 59.646 | 0,006% | C | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER | 40.392 | 0,004% | C | |
| INV | ||||
| TOUCHSTONE STRAT TR INT GRW FD | 139.390 | 0,013% | C | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 2.832 | 0,000% | C | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 6.392 | 0,001% | C | |
| TRINITY COLLEGE CAMBRIDGE | 13.07 1 | 0,001% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 25.701 | 0,002% | C | |
| INVESTMENT FUND TRUST NUMBER 10 | ||||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 |
4.020 | 0,000% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 3 | 48.993 | 0,005% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | ||||
| INVESTMENT FUND TRUST NUMBER 8 | 1.453 | 0,000% | C | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIÓ | 26.039 | 0,002% | C | |
| TSGX SOLACT ESG TBACO EX UNHG(3387) | 6.802 | 0.001% | C | |
| TWU Superannuation Fund | 7.249 | 0,001% | C | |
| UAPF - BLACK ROCK PASSIVE EQUITY | 1.976 | 0,000% | C | |
| UBAM | 1 20.244 | 0.011% | C | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 35.598 | 0,003% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 75.229 | 0,007% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 255.943 | 0,024% | C | |
| UBS ASSET MANAGEMENT LIFE LTD | 62.367 | 0,006% | C | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUN |
22.995 | 0,002% | C | |

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 192.919 | 0,018% | C | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 271.411 | 0,026% | C | |
| UBS GLOBAL EQUITY CLIMATE TRANSITION FUND | 5.734 | 0,001% | C | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 542 | 0,000% | C | |
| UBS LUX FUND SOLUTIONS | 1.393.298 | 0,133% | C | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 2.909 | 0,000% | C | |
| UNITED NATIONS JOINT STAFF PENSION FUND. | 320.000 | 0,031% | C | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 2.830 | 0.000% | C | |
| UNITED SERVICES AUTOMOBILE ASSOCIATION | 4.305 | 0,000% | C | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN MASTER TRU |
150.967 | 0,014% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN- U-FONDS |
2.295 | 0,000% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL CA V |
41.255 | 0.004% | C | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO | 46.890 | 0,004% | C | |
| UNIVERSITIES SUPERANNUATION SCHEME | 58.179 | 0.006% | C | |
| ups GROUP TRUST | 22.870 | 0,002% | C | |
| USAA CASUALTY INSURANCE COMPANY | 7.276 | 0,001% | C | |
| USAA GENERAL INDEMNITY COMPANY | 3.879 | 0,000% | C | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDY GTIGE EUROPA KL | 6.871 | 0,001% | C | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDY GTIGE GLOBALE AKTIER ETIK KL ID SPARINVEST AS FILIAL AF SP |
12.288 | 0.001% | C | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDR | 9.646 | 0.001% | C | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 34.610 | 0,003% | C | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO |
13.635 | 0,001% | C | |
| VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE | 37.183 | 0,004% | C | |
| VELLIV, PENSION & LIVSFORSIKRING A/S | 275.777 | 0,026% | C | |
| VENDOME SELECTION EUR | 74.644 | 0,007% | C | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 27.084 | 0.003% | C | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 80.077 | 0,008% | C | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 23.130 | 0.002% | C | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 6.364 | 0,001% | C | |
| VGV POOLFONDS PA1 | 14.631 | 0.001% | C | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 7.143 | 0,001% | C | |
| VICTORYSHARES INTERNATIONAL VOLATILITY WTD INDEX ETF. | 13.341 | 0,001% | C | |
| VILLIERS DIAPASON | 90.883 | 0,009% | C | |
| VIRGINIA C. MARS REVOCABLE TRUST DATED AUGUST 6 1991 | 262 | 0.000% | C | |
| VIRGINIA TECH FOUNDATION INC | 2.251 | 0.000% | C | |
| VISION FUND - EUROPE GROWTH | 116.984 | 0.01 1% | C | |
| VIVACCIO ISR ACTIONS | 181.200 | 0,017% | C | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 39.654 | 0,004% | C | |
| VOYA VACS INDEX SERIES I PORTFOLIO | 42.532 | 0,004% | C | |
| WASHINGTON STATE INVESTMENT BOARD | 212.87 | 0,020% | C | |
| WESPATH FUNDS TRUST | 2.329 | 0.000% | C | |
| WEST YORKSHIRE PENSION FUND | 75.000 | 0,007% | C | |
| WESTPAC WHOLESALE INTERNATIONAL SHARE NO. 3 TRUST | 3.01 2 | 0,000% | C | |
| WHEELS COMMON INVESTMENT FUND. | 2.617 | 0,000% | C | |
| WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 409 | 0,000% | C | |
| WILMINGTON INTERNATIONAL FUND | 32.422 | 0,003% | C | |
| WINDWISE MSCIEAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 20.821 | 0.002% | C | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 647 | 0,000% | C | |
| WORLD EQUITIES | 886 | 0,000% | C C |
|
| WORLD TRADE ORGANIZATION PENSION PLAN | 6.366 4.570 |
0,001% 0.000% |
||
| WYOMING RETIREMENT SYSTEM | ర్ |
53/135

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| XTRACKERS | 605.345 | 0,058% | C | |
| IXTRACKERS (IE) PUBLIC LIMITED COMPANY | 641.291 | 0,061% | C | |
| IXTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 3.229 | 0,000% | C | |
| XTRACKERS MSCI EAFE ESG LEADERS EQUITY ETF | 2.910 | 0.000% | C | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 158.878 | 0,015% | C | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 25.317 | 0,002% | C | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 2.809 | 0,000% | C | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 6.823 | 0,001% | C | |
| ZEPHYR - EUROPE EQUITY ESG OPTIMIZED | 3.069 | 0,000% | C | |
| ZEPHYR - OPTIMISED PLUS 1 | 7.792 | 0.001% | C | |
| ZEPHYR - OPTIMISED PLUS 2 | 14.156 | 0.001% | C | |
| ZURICH INSURANCE PLC | 69.707 | 0,007% | C | |
| ZURICH INVEST ICAV | 67.066 | 0,006% | C | |
| ADASINA SOCIAL JUSTICE ALL CAP GLOBAL ETF | 7.194 | 0.001% | A | |
| IDS LIQUID DIV RVA MEL LLC | 3.988 | 0,000% | A | |
| PREVINDAI BIL EURIZON | 5.510 | 0,001% | A | |
| PREVINDAI SVI EURIZON | 7.682 | 0,001% | A |
Totale votanti
1.047.318.764 100%
(
Assemblea ordinaria 04 maggio 2023 NEXI
Punto 2.b
Relazione sulla politica di remunerazione e sui compensi corrisposti: seconda seione: relazione sui compensi corrisposti nel 2022 (deliberazione non vincolante).
| n. azionı | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 1.047.318.764 | 100% | 79,848% |
| Azioni per le quali il RD dispone di istruzioni per l'OdG in votazione (quorum deliberativo): |
1.047.318.764 | 100.000% | 79.848% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0,000% | 0.000% | |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 856.561.658 | 81.786% | 65,305% |
| Contrario | 158.004.180 | 15.087% | 12,046% |
| Astenuto | 32.752.926 | 3,127% | 2,497% |
| 1.047.318.764 | 100,000% | 79,848% |

55/135

NEXI Assemblea ordinaria 04 maggio 2023
Punto 2.b
Relazione sulla politica di remunerazione e sui compensi corisposti: seconda sezione sui compensi corrisposti nel 2022 (deliberazione non vincolante).
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato nella persona della Dott.ssa Claudia Ambrosini
| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| 1895 FONDS FGR | 166.197 | 0,016% | F | |
| 801 INVESTMENTS LLC | 483 | 0,000% | F | |
| AB Europe (Luxembourg) Investment S.a r.l. | 52.678.731 | 5,030% | F | |
| ABB PENSION FUND | 1.006 | 0,000% | F | |
| ACOMEA EUROPA | 81.000 | 0.008% | F | |
| ACOMEA GLOBALE GLOBALE | 32.000 | 0,003% | F | |
| ACOMEA ITALIA | 1 50.000 | 0,014% | F | |
| ACOMEA MULTI FUND - PATRIMONIO AGGRESSIVO | 20.000 | 0,002% | F | |
| ACOMEA SGR MULTIFUND PATRIMONIODINAMICO | 17.000 | 0,002% | F | |
| ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 1.567 | 0,000% | F | |
| ALBERTA INVESTMENT MANAGEMENT CORPORATION | 57.200 | 0,005% | F | |
| ALJACK2 | 17.000 | 0,002% | F | |
| ALPHA UCITS SICAV - AMBER EQUITY FUND | 40.000 | 0.004% | F | |
| AMERICAN STEADFAST LP | 273.568 | 0.026% | F | |
| ATCP-UI-FONDS | 2.298 | 0.000% | F | |
| AUSTRALIAN RETIREMENT TRUST | 382.064 | 0.036% | F | |
| AUSTRALIANSUPER | 3.37 1 | 0.000% | F | |
| AWARE SUPER | 2.421 | 0.000% | F | |
| B BENZEKRI FUND | 11.400 | 0.001% | F | |
| BANSABADELL 18 FP | 2.196 | 0,000% | F | |
| BASSWOOD INTERNATIONAL FUND LP | 23.075 | 0.002% | F | |
| BASSWOOD INTERNATIONAL FUND LTD. C/O IMS FUND SERVICES | 10.447 | 0,001% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LP. | 3.090 | 0,000% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LTD. C/O | ||||
| INTERNATIONAL MGMT. SERVICES LTD. | 9.971 | 0,001% | F | |
| BATI ACTION OPTIMUM | 175.000 | 0.017% | F | |
| BETAMAX EUROPE | 7.101 | 0,001% | F | |
| BG MASTER FUND ICAV. | 119.143 | 0,011% | F | |
| BLACKWELL PARTNERS LLC - SERIE E C/O CORPORATION SERVICE | 14.171 | F | ||
| COMPANY | 0,001% | |||
| BRIDGEWATER PURE ALPHA EURO FUND LTD | 771 | 0,000% | F | |
| BRIDGEWATER PURE ALPHA FUND III. LTD. | 7.276 | 0,001% | F | |
| BRIDGEWATER PURE ALPHA STERLING FUND LTD | 2.100 | 0.000% | F | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY II LTD. | 112.739 | 0.011% | F | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY LTD | 12.068 | 0,001% | F | |
| BS PENTAPENSION EMPRESA | 1 .520 | 0,000% | F | |
| BUMA-UNIVERSAL-FONDS I | 58.288 | 0,006% | F | |
| BW DMO FUND. LTD | 8.491 | 0.001% | F | |
| BW PASPG LTD | 399 | 0,000% | F | |
| BWM PA 24 LTD | 2.843 | 0.000% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 536.239 | 0.051% | E |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| CATERPILLAR INC. GROUP INSURANCE PLAN TRUST. | 33.787 | 0.003% | F | |
| CATERPILLAR INC. MASTER RETIREMENT TRUST | 262.331 | 0,025% | F | |
| CATERPILLAR INVESTMENT TRUST. | 252.161 | 0,024% | F | |
| CDP EQUITY INVESTIMENTI SPA | 108.542.556 | 10,364% | F | |
| CDP EQUITY SPA | 69.401.443 | 6,627% | F | |
| CHEVRON UK PENSION PLAN | 2.607 | 0,000% | F | |
| CHINA LIFE INSURANCE COMPANY LIMITED | 8.388 | 0,001% | F | |
| CINDY SPRINGS LLC. | 50.181 | 0.005% | F | |
| CLBRM LIQUID FUNDS - GLOBAL MACRO | 530.242 | 0,051 % | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 2.025 | 0.000% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 12.568 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES | 93.334 | 0.009% | F | |
| RETIR COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR |
||||
| ARIA | 166.743 | 0,016% | F | |
| COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, F.P | 1.090 | 0,000% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 178 | 0,000% | F | |
| CONSTELLATION FITZPATRICK QUALIFIED FUND | 2.730 | 0,000% | F | |
| CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 432 | 0,000% | F | |
| CUSTODY BANK OF JAPAN. LTD. AS TRUSTEE FOR SMITB INVESCO GLOBAL ESG INSIGHT INDEX |
1.341 | 0,000% | F | |
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX | 6.51 I | 0.001% | F | |
| MOTHER FUND(CURRENCY HEDGED) DILLON MARKETABLE SECURITIES COMMON TRUST FUND. |
2.530 | 0,000% | F | |
| DYNASTY INVEST LID | 1.400 | 0,000% | F | |
| Eagle (AIBC) & Cy S.C.A. | 79.729.512 | 7,613% | F | |
| EMBO-FONDS | 14.692 | 0,001% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 2.255 | 0,000% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 780 | 0,000% | F | |
| ETFMG PRIME MOBILE PAYMENTS ETF | 1.108.834 | 0,106% | F | |
| ETFS Management (AUS) Limited as trustee for ETFS Fintech & | 7.619 | 0,001% | F | |
| Blockchain ETF | 261.230.869 | 24,943% | F | |
| Evergood H&F Lux S.a r.l. | 7.475 | 0,001% | F | |
| EWP PA FUND, LTD-INTL TRADING FCP KLESIA K RETRAITE EURO |
183.533 | 0,018% | F | |
| FEDERATED HERMES INTERNATIONAL LEADERS FUND | 1.988.900 | 0,190% | F | |
| FEDERATED HERMES INTERNATIONAL SMALL MID COMPANY FUND | 160.000 | 0.015% | F | |
| 606.397 | 0.058% | F | ||
| FEDERATED UNIT TRUST | 28.358 | 0,003% | F | |
| FIDEAS SMART FOR CLIMATE ACTIONS EUROZ FII HOLDINGS, INC. |
828 | 0.000% | F | |
| FIRST SUPER | 41.328 | 0.004% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | 15.170 | 0,001% | F | |
| INDEX FUND | F | |||
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 29.996 10.171 |
0,003% 0,001% |
F | |
| FONDO NAZIONALE PENSIONE COMPLEMENTARE COMETA | 3.735 | 0.000% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 10.325 | 0,001% | F | |
| FORD PENSION UNIVERSAL FORDHAM UNIVERSITY |
2.328 | 0,000% | F | |
| FOREIGN STOCK INDEX MOTHER FUND | 25.005 | 0,002% | F | |
| FOVERUKA PENSION UNIVERSAL | 24.836 | 0,002% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 210.884 | 0,020% | F | |
| GERANA SICAV-SIF, S.A. | 7.858 | 0.001% | F | |
| GLOBAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. | 6 | 0,000% | F | |
| C/O OGIER GLOBAL (CAYMAN) LIMITED | ||||
| GLOBAL X ETFS ICAV | 13.378 | 0,001% | F | |
| GLOBAL X FINTECH ETF | 1.755.621 | 0,168% | F | |
| Global X Management (AUS) Limited | 459.375 23.072.173 |
0,044% | F F |
|
| GOVERNMENT OF NORWAY | 195.300 | 2,203% 0,019% |
F | |
| GWL GLOBAL INVESTMENTS LLC. HAMILTON FINANCIALS INNOVATION ETF |
12.51 4 | 0,001% | E | |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| HARRIS ASSOCIATES OAKMARK INTERNATIONAL SMALL CAP | 497.300 | 0,047% | F | |
| COLLECTIVE FUND | 149.600 | F | ||
| HOBSON LUCAS FAMILY FOUNDATION HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT |
0,01 4% | |||
| EXCHANGE | 523.776 | 0,050% | F | |
| HRW TESTAMENTARY TRUST NO. 1 | 3.513 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 3 | 4.554 | 0.000% | F | |
| HRW TESTAMENTARY TRUST NO. 4 | 2.498 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 6 | 1.139 | 0.000% | F | |
| HRW TESTAMENTARY TRUST NO. 9. | 2.491 | 0,000% | F | |
| HRW TRUST NO. 1 UAD 01/17/03 | 4.723 | 0,000% | F | |
| HRW TRUST NO. 3 UAD 01/17/03 | 3.618 | 0,000% | F | |
| IMPACTASSETS INC | 1.676 | 0.000% | F | |
| INSTITUTIONAL RETIREMENT TRUST | 37.694 | 0,004% | F | |
| INTERNATIONAL EQUITIES SECTOR TRUST | 1.051 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT |
29 | 0,000% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) | 88.166 | 0,008% | F | |
| L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | ||||
| INVESCO FISE RAFI DEVELOPED MARKETS EX U S EIF | 48.723 | 0,005% | F | |
| INVESCO MARKETS II PLC | 16.923 | 0,002% | F F |
|
| INVESCO MARKETS III PLC INVESCO PUREBETA FISE DEVELOPED EX NORTH AMERICA ETF |
418 373 |
0,000% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 2.510 | 0,000% | F | |
| JTW TRUST NO. 1 UAD 9/19/02. | 1.472 | 0,000% 0,000% |
F | |
| JTW TRUST NO. 2 UAD 9/19/02. | 2.038 | 0,000% | F | |
| JTW TRUST NO. 3 UAD 9/19/02 | 2.529 | 0,000% | F | |
| JTW TRUST NO. 4 UAD 9/19/02 | 2.253 | 0,000% | F | |
| JTW TRUST NO. 5 UAD 9/19/02 | 1.139 | 0.000% | F | |
| LARCOUEST INVESTISSEMENT - MH | 12.000 | 0,001% | F | |
| LAZAM INVESTMENT | 14.100 | 0,001% | F | |
| LEADERSEL P.M.I | 10 | 0,000% | F | |
| LGIASUPER | 22.213 | 0,002% | F | |
| LMAP 909 SUB FUND OF LMAP IRELAND ICAV | 17.127 | 0,002% | F | |
| LMAP IRELAND ICAV - LMAP 910 MAPLES CORPORATE SERVICES LTD | 7.386 | 0.001% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 264 | 0,000% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW ESG (MARKET NEUTR |
51.090 | 0,005% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW SYSTEMATIC | 108.717 | 0,010% | F | |
| ALPHA LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS (MARKET |
||||
| INEUT | 581.335 | 0,056% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS UCITS FUND | 846.940 | 0.081% | F | |
| LUNA LLC | 308 | 0,000% | F | |
| MACK EAFE EQUITY POOL | 15.799 | 0.002% | F | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 16.087 | 0,002% | F | |
| MACKENZIE MAX DIVERSIFICATION DEVELOPED EUR INDEX ETF | 479 | 0,000% | F | |
| MACKENZIE MAXIMUM DIVERS.ALL WORLD DEVELOPED EX NORTH AMERICA IE |
1.230 | 0,000% | F | |
| MADELEINE | 145.510 | 0,014% | F | |
| MAIN I - UNIVERSAL - FONDS | 10.736 | 0.001% | F | |
| MANAGED PENSION FUNDS LIMITED | 122.785 | 0,012% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES - TOPS WORLD EQUITIES FU | 12.666 | 0,001% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O MARSHALL WACE IRELAND LTD. |
1.131.621 | 0,108% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-MARKET NEUTRAL TOPS | 874 | 0,000% | F | |
| FUND MARSHALL WACE INVESTMENT STRATEGIES-TOPS GLOBAL EQUITIES LE |
10.320 | 0.001% | പ് | |
| MASTERINVEST KAPITALANLAGE GMBH | 2.019 | 0,000% | F |
| ನಗರದ್ದು ಯೇಲಿದ | ﺍﻟﻤﺎﺿﻴﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤ | HZIOIII | 76 Su VOldilli VOLO | |
|---|---|---|---|---|
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 9.494 | 0,001% | ા | |
| MAZAL | 5.600 | 0,001% | F | |
| Mazzia Paolo | 1.000 | 0,000% | F | |
| MBB SMART FUND C LLC | 4.184 | 0,000% | F | |
| MEDIOLANUM BEST BRANDS - COUPON STRATEGY COLLECTION | 219.143 | 0,021% | F | |
| MEDIQLANUM BEST BRANDS - EQUITY POWER COUPON COLLECTION | 282.246 | 0.027% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.700.000 | 0,258% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 6.300.000 | 0,602% | F | |
| MERCURY UK HOLDCO LIMITED | 121.631.574 | 11,614% | F | |
| METIS EQUITY TRUST. | 8.492 | 0,001% | F | |
| MF INTERNATIONAL FUND LLC | 18.270 | 0.002% | F | |
| MG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 8.300 | 0,001% | F | |
| MINE SUPERANNUATION FUND | 6.387 | 0,001% | F | |
| MLC INVESTMENTS, MLC LIMITED | 17.036 | 0,002% | F | |
| MME 2026 | 300.000 | 0,029% | F | |
| MME 2027 | 99.998 | 0.010% | F | |
| MONETA LONG SHORT | 800.000 | 0,076% | F | |
| MONETA MICRO ENTREPRISES | 500.002 | F | ||
| MONETA MULTI CAPS | 5.500.000 | 0,048% | F | |
| MUNICIPAL EMPLOYEES ANNUITY AND BENEFIT FUND OF CHICAGO | 1.168 | 0,525% 0.000% |
F | |
| MW INV Strat Eureka Fund AC | 360.339 | 0,034% | F | |
| MWIS - TOPS DEVELOPED WORLD EQUITIES FUND | 12.176 | 0,001% | F | |
| MWIS TOPS Intl Equity Fd AC | 36.683 | 0,004% | F | |
| MWIS TOPS World EX US AC | 143.360 | 0,014% | F | |
| NATIO-FONDS COLLINE INTERNATIONAL | 105.073 | 0,010% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 9.129 | 0,001% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 349.430 | 0,033% | F | |
| NBIMC EAFE EQUITY INDEX FUND. | રેકેક | 0,000% | F | |
| NEMOURS FOUNDATION | 471 | 0,000% | F | |
| NEUBERGER BERMAN ADVISERS MANAGEMENT TRUST INTERNATIONAL | ||||
| EQUITYPORTFOLIO | 36.909 | 0,004% | F | |
| NEUBERGER BERMAN INTERNATIONAL EQUITY FUND | 1.236.843 | 0.118% | F | |
| NEUBERGER BERMAN INTERNATIONAL SELECT FUND | 163.235 | 0,016% | F | |
| NEUBERGER BERMAN TRUST COMPANY N.A. COLLECTIVE INVESTMENT TRUST |
144.598 | 0,014% | F | |
| NORGES BANK | 133.982 | 0.013% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 165.879 | 0,016% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
28.302 | 0,003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX- US F |
31.689 | 0,003% | F | |
| NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 29.019 | 0,003% | T | |
| NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 84.687 | 0,008% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 1.256.935 | 0, 120% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 350.789 | 0,033% | F | |
| NORTHERN TRUST UCITS FGR FUND | 78.222 | 0,007% | F | |
| NT WORLD GREEN TRANSITION INDEX FUND | 531 | 0,000% | F | |
| NICC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 199.154 | 0.019% | F | |
| OAKMARK INTERNATIONAL SMALL CAPFUND | 4.190.700 | 0,400% | F | |
| OFI INVEST ESG EURO EQ SM BETA | 36.233 | 0,003% | F | |
| OHMAN MARKNAD EUROPA | 19.562 | 0,002% | F | |
| OHMAN MARKNAD GLOBAL | 17.510 | 0,002% | F | |
| OMEGA FFIP LIMITED PARTNERSHIP | 484 | 0,000% | F | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 55.215 | 0,005% | F | |
| 873 | 0,000% | F | ||
| OPENWORLD PUBLIC LIMITED COMPANY OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM |
544.300 | 0,052% | F | |
| PCFS - EUROPE SMALL & MID CAP EQUITIES | 12.434 | 0,001% | F | |
| PCFS - PURE DYNAMIC OPPORTUNITY | 18.000 | 0,002% | പ് | |
59/135

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| PENSION BENEFIT GUARANTY CORPORATION | 523.722 | 0,050% | F | |
| PEOPLE'S BANK OF CHINA | 46.732 | 0,004% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 2.126 | 0,000% | F | |
| PINEBRIDGE GLOBAL FUNDS | 2.973 | 0,000% | F | |
| POSTE ITALIANE SPA | 97103880585 | 46.518.238 | 4,442% | F |
| Prudential Pensions Limited | 9.143 | 0,001% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 21.782 | 0,002% | F | |
| PUBLIC EMPLOYEES' LONG-TERM CARE FUND | 773.407 | 0,074% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 160.761 | 0,015% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 74.691 | 0,007% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 58.161 | 0,006% | F | |
| PURE CAPITAL S.A | - | 0,000% | F | |
| QUALITY EDUCATION FUND | 1.298 | 0,000% | F | |
| ROBECO CAPITAL GROWTH FUNDS | 2.300.000 | 0,220% | F | |
| ROTHSCHILD MARTIN MAUREL | 64.100 | 0,006% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 35.918 | 0,003% | F F |
|
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 7.01 4 2.985 |
0,001% 0.000% |
F | |
| Russell Investments Sustainable Global Shares Fund SALIX LLC |
16.859 | F | ||
| SANLAM UNIVERSAL FUNDS PLC | 8.589 | 0,002% 0,001% |
F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 8.436 | 0,001 % | f | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX |
93.438 | 0,009% | F | |
| FUND | 19.307 | 0,002% | F | |
| SCHWAB INTERNATIONAL EQUITY ETF | 924.593 | 0,088% | F | |
| SCHWAB INTERNATIONAL INDEX FUND | 326.368 | 0.031% | F | |
| SEI GL MAST FD-SEI DYN ASS ALL | 4.536 | 0,000% | F | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
15.465 | 0,001% | F | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 337 | 0,000% | F | |
| SHELL PENSION TRUST | 6.920 | 0,001% | F | |
| SSB CUSTODIAL SERVICES IREL RUSSELL INVS IREL | 29.659 | 0,003% | F | |
| SSB MSCI ACWIEX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
11.849 | 0,001% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 406.644 | 0,039% | F | |
| STATE OF WYOMING | 31.627 | 0,003% | F | |
| STEADFAST INTERNATIONAL MASTER FUND LTD C/O MORGAN STANLEY | 509.432 | 0,049% | F | |
| FUND SRVCS (CAYMAN) LTD STICHTING PENSIOENFONDS ING |
16.637 | 0,002% | F | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 14.520 | 0,001% | F | |
| STICHTING PGGM DEPOSITARY | 249.041 | 0,024% | F | |
| STICHING SPOORWEGPENSIOENFONDS | 18.829 | 0,002% | F | |
| STOCKBRIDGE FUND, L.P. | 13.545.302 | 1,293% | F | |
| STRATEGIC PARTNERSHIP FUND NB LLC | 54.624 | 0,005% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 5.474 | 0,001% | F | |
| SUNCORP FUNDS PLY LTD | 1.896 | 0,000% | F | |
| SUNLEY HOUSECAPITAL MASTER LIMITEDPARTNERSHIP | 3.925.913 | 0.375% | F | |
| SWISS NATIONAL BANK | 1.966.121 | 0,188% | F | |
| SWISSLIFE BANQUE PRIVEE | 750 | 0,000% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 5.142 | 0,000% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 9.235 | 0,001 % | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
34.823 | 0,003% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 22.973 | 0,002% | F | |
| Terrail Remi Francois Marie | 28.000 | 0,003% | F | |
| TEXAS PERMANENT SCHOOL FUND CORPORATION | 1 49.203 | 0,01 4% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 3.864 | 0,000% | F | |
| TEXTRON INC MASTER TRUST | 1.725 | 0,000% | F | |
| THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 335.500 | 0,032% | F |

EMARKET
FUND
TRUST
பர
| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE | 10.854 | 0,001% | F | |
| DVLPD WRLD EX UK CMN CNT FD | ||||
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED | 165.382 | 0,01 6% | F | |
| WOR LD EX - U.K. EQUITY | ||||
| VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF |
21.319 | 0,002% | F | |
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED | ||||
| EUROPE II CCF | 21.896 | 0,002% | F | |
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED | ||||
| WORLD II CCF | 8.949 | 0,001% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 7.320.821 | 0.699% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 294.414 | 0,028% | F | |
| VIF ICVC VANGUARD FISE DEVELOPED EUROPE EXUK EQUITY INDEX | ||||
| FUND | 293.335 | 0.028% | F | |
| VIF ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 25.562 | 0.002% | F | |
| VR BANK KITZINGEN EG EURO CONTROL NACHHALTIG | 39.290 | 0,004% | F | |
| WALLACE H COULTER FOUNDATION | 3.730 | 0,000% | F | |
| XANTIUM PARTNERS LP C/O MAPLES CORPORATE SERVICES LIMITED | ર્ડિયે | 0,000% | F | |
| YALE UNIVERSITY | 2.716.015 | 0.259% | F | |
| YOUNG MENS CHRISTIAN ASSOCIATION RETIREMENT FUND | 87.501 | 0,008% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | રજવ | 0,000% | C | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 1.328 | 0,000% | C | |
| 3 BANKEN-GENERALI GH STOCK | 21.300 | 0.002% | C | |
| 3 BANKEN-GENERALI GL STOCK | 202.200 | 0.019% | C | |
| 3 BANKEN-GENERALI GNIL STOCK | 83.200 | 0,008% | C | |
| AA SSGA Actions Indice Euro | 90.849 | 0.009% | C | |
| AB SICAV III-DYN ALL MKT PORTF | 1.567 | 0.000% | C | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | ||||
| LOCATION PORTFOLIO | 1.623 | 0,000% | C | |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 6.113 | 0,001% | C | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY | ||||
| TRACKER FUND | 29.562 | 0,003% | C | |
| ABN AMRO FUNDS | 9.586 | 0,001% | C | |
| ACS 30:70 GLOBAL EQUITY TRACKER FUND | 1.138 | 0,000% | C | |
| ACTIAM BF ASIFEW | 2.257 | 0,000% | C | |
| ACTIAM Duurzaam Index Aandelenfonds Europa | 80.916 | 0,008% | C | |
| ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 18.166 | 0,002% | C | |
| ACTIAM Sustainable Index Fund Equity Europe | 10.779 | 0,001% | C | |
| ADVANCE PLANNING LIMITED | 2.089 | 0,000% | C | |
| AEGON CUSTODY B.V | 6.032 | 0,001% | C | |
| AEGON CUSTODY B.V. | 133.041 | 0,013% | C | |
| AIB GROUP IRISH PENSION SCHEME | 18.929 | 0,002% | C | |
| ALASKA COMMON TRUST FUND | 19.353 | 0,002% | C | |
| ALASKA PERMANENT FUND CORPORATION | 6.976 | 0.001% | C | |
| ALLEANZA ASSICURAZIONI SPA | 984.103 | 0,094% | C | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS LL STARS | 420.000 | 0,040% | C | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 1.062.586 | 0.101% | C | |
| ALLIANZ GLOBAL INVESTORS FUND | 644.378 | 0,062% | C | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 88.868 | C | ||
| 0,009% | ||||
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT MASTER | 774 | 0,000% | C | |
| ALLIANZ INTERNATIONAL INVESTMENT FUNDS - ALLIANZ THEMATICA FUND |
6.768 | 0,001% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 17.000 | 0,002% | C | |
| Allianz Selection European Equity Dividend | 7.935 | 0.001% | C | |
| ALLIANZGI S AKTIEN | 18.525 | 0,002% | C | |
| ALLIANZGI-FONDS DSPT | 19.166 | 0.002% | C | |
| ALM ACTIONS EURO | 113.126 | 0,011% | C | |
| ALMEGLIO - FONDO PENSIONE APERTO ALLEANZA A CONTRIBUZIONE | 8.564 | 0,001% | C | |
| DEFINITA AM SF-EUR EQU OPT VOLAT |
105.068 | 0,010% | C |
EMARKET
SDIR__________________________________________________________________________________________________________________________________________________________________ certified
| Anagrafica | CF/Pi | Azioni | % su votantı | Voto |
|---|---|---|---|---|
| AMERICAN BUREAU OF SHIPPING | 1.355 | 0.000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 13.406 | 0,001% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 1.732 | 0.000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF |
310 | 0,000% | C | |
| AMERICAN ELECTRIC POWER MASTER RETIREMENT TRUST | 43.899 | 0,004% | C | |
| AMERICAN ELECTRIC POWER SYSTEM RETIREE MEDICAL TRUST FOR CE S | 10.400 | 0.001% | C | |
| AMERICAN HEART ASSOCIATION, INC. | 1.707 | 0,000% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 49.889 | 0,005% | C | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 3.646 | 0,000% | C | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.723 | 0,000% | C | |
| AMPLEGEST DIGITAL LEADERS | 102.715 | 0.010% | C | |
| AMPLEGEST LONG/SHORT | 64.600 | 0,006% | C | |
| AMPLEGEST MIDCAPS FCP | 279.300 | 0,027% | C | |
| AMUNDI ETF ICAV - AMUNDI S&P GLOBAL INFORMATION IECHNOLOGY ESG UCITS EIF |
17.897 | 0,002% | C | |
| AMUNDI EURO ISTOXX CLIMATE PARIS ALIGNED PAB | 30.229 | 0,003% | C | |
| AMUNDI FTSE MIB | 114.628 | 0,011% | C | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 6.479 | 0.001% | C | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | ||||
| AMUNDI FUNDS EUROLAND EQUITY | 69.313 | 0,007% | C | |
| 4.530.596 | 0,433% | C | ||
| AMUNDI FUNDS TOP EUROPEAN PLAYERS | 1.300.369 | 0, 124% | C | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 19.321 | 0,002% | C | |
| AMUNDI INDEX MSCI EUROPE | 213.413 | 0,020% | C | |
| AMUNDI INDEX MSCI JAPAN | 15.790 | 0,002% | C | |
| AMUNDI INDEX MSCI WORLD | 54.674 | 0.005% | C | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 1.998 | 0,000% | C | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 4.889 | 0,000% | C | |
| AMUNDI MSCI EMU ESG Leaders Select | 571.923 | 0,055% | C | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 6.918 | 0,001% | C | |
| AMUNDI MSCI EUROPE | 49.384 | 0,005% | C | |
| AMUNDI MSCI EUROPE ESG LEADERS SELECT | 9.969 | 0,001% | C | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 710 | 0,000% | C | |
| AMUNDI MSCI EUROPE EX SWITZERLAND | 49.385 | 0,005% | C | |
| AMUNDI MSCI EUROPE EX UK | 200 | 0,000% | C | |
| AMUNDI MSCI WORLD ESG LEADERS SELECT | 10.170 | 0,001% | C | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 1.466 | 0,000% | C | |
| AMUNDI PATRIMOINE | 137.720 | 0,013% | C | |
| AMUNDI PATRIMOINE PEA | 179.696 | 0,017% | C | |
| AMUNDI PRIME EUROZONE | 12.303 | 0.001% | C | |
| AMUNDI RENDEMENT PLUS | 45.531 | 0,004% | C | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 90.594 | 0,009% | C | |
| AMUNDI STOXX EUROPE 600 | 43.516 | 0.004% | C | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 6.135 | 0.001% | C | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | રેરેરે | 0,000% | C | |
| AMUNDI TRANSMISSION ACTIONS | 3.616 | 0.000% | C | |
| AP ACTIONS I EURO | 24.175 | 0,002% | C | |
| ARGENTA-FUND FINANCE DYNAMIC | 318.159 | 0,030% | C | |
| ARIZONA PSPRS TRUST | 90.115 | 0,009% | C | |
| ARIZONA STATE RETIREMENT SYSTEM | 162.447 | 0,016% | C | |
| ARRCO QUANT T | 55.476 | 0,005% | C | |
| ASIAN DEVELOPMENT BANK | 286 | 0,000% | C | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 24.969 | 0,002% | C | |
| ASSICURAZIONI GENERALI SPA | 2.496 | 0,000% | C | |
| ASSURDIX | 64.034 | 0,006% | C | |
| AURION GLOBAL EQUITY FUND | 1.946 | 0,000% | C | |
| AUSTRALIAN CAPITAL TERRITORY | 11.451 | 0.001% | C | |
| AVALON PORTFOLIO II LLC | 1.581 | 0,000% | C |
63/135


| Anagratica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD | 17.503 | |||
| EX SWITZERLAND ESG SCREE | 0,002% | C | ||
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 77.982 | 0,007% | C | |
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 10.530 | 0,001% | C | |
| BLACKROCK CDN MSCIEAFE EQUITY INDEX FUND | 234.113 | 0,022% | C | |
| BLACKROCK CDN WORLD INDEX FUND | 34.116 | 0,003% | C | |
| BLACKROCK FUND MANAGERS LTD | 46.141 | 0,004% | C | |
| BLACKROCK FUNDS I ICAV | 6.095 | 0,001% | C | |
| BLACKROCK FUTURE FINANCIAL AND TECHNOLOGY ETF | 12.949 | 0,001% | C | |
| BLACKROCK GLOBAL FUNDS | 234.661 | 0,022% | C | |
| BLACKROCK GLOBAL INDEX FUNDS | 33.336 | 0,003% | C | |
| BLACKROCK INDEX SELECTION FUND | 180.267 | 0.017% | C | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | ୧3: 868 | 0.006% | C | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDFOR EMPLOYEE BENEFIT TRUSTS |
34.315 | 0,003% | C | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
4.494.237 | 0,429% | C | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. |
7.615 | 0,001% | C | |
| BLACKROCK LIFE LIMITED | 16.576 | 0,002% | C | |
| BLACKROCK LIFE LTD | 59.693 | 0,006% | C | |
| BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK | ||||
| VARIABLE SERIES FUNDS, INC. | 7.261 | 0,001% | C | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 132.675 | 0.013% | C | |
| BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 61.287 | 0,006% | C | |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND LIMITED |
79.228 | 0.008% | C | |
| BMO MSCI EAFE ESG LEADERS INDEXETF | 4.179 | 0,000% | C | |
| BMO MSCI EAFE INDEX ETF | 226,369 | 0,022% | C | |
| BMO MSCI FINTECH INNOVATION INDEX ETF | 1.130 | 0,000% | C | |
| BMO MSCI INNOVATION INDEX ETF | 1.042 | 0,000% | C | |
| BMO MSCI NEXT GEN INTERNET INNOVATION INDEX ETF | 270 | 0,000% | C | |
| BNP PARIBAS ACTIONS PME ETI ISR | 629.075 | 0,060% | C | |
| BNP PARIBAS ACTIONS PME ISR | 507.108 | 0,048% | C | |
| BNP PARIBAS EASY - ESG EUROZONE BIODIVERSITY LEADERS PAB | 40.408 | 0,004% | C | |
| BNP PARIBAS EASY - ESG QUALITY EUROPE | 323.657 | 0,031% | C | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 69.112 | 0,007% | C | |
| BNP PARIBAS EASY - MSCI WORLD ESG FILTERED MIN TE | 1.217 | 0,000% | C | |
| BNP PARIBAS FUNDS - EUROPE GROWTH | 184.417 | 0,018% | C | |
| BNP PARIBAS TECHNOLOGIES EUROPE ISR | 332.139 | 0,032% | C | |
| BNP PARIBAS VALEURS EURO ISR | 544.506 | 0.052% | C | |
| BNP S BETA/LOT133/FRR10E | 773.032 | 0,074% | C | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 24.813 | 0,002% | C | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 14.148 | 0,001% | C | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 5.191 | 0,000% | C | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 26.630 | 0,003% | C | |
| BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 11.669 | 0,001% | C | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | 2 | 0,000% | C | |
| AMERICA | 10.897 | 0.001% | C | |
| BOC PRUDENTIAL EUROPEAN EQUITY FUND BOC PRUDENTIAL EUROPEAN INDEX FUND |
46.435 | 0,004% | C | |
| BOC PRUDENTIAL GLOBAL EQUITY FUND | 19.187 | 0,002% | C | |
| BRIDGE BUILDER INT EQUITY FUND | 30.000 | 0,003% | C | |
| BRIDGE BUILDER TAX MNG INT EQ | 2.877 | 0,000% | C | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK | 78.525 | 0,007% | C | |
| PORTFOLIO BRIGHTHOUSE FUNDS TRUST II METIFE MSCI EAFE INDEX PORTFOLIO |
32.431 | 0,003% | C | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 1.645 | 0,000% | C | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 9.460 | 0,001% | C | |
| BT INTERNATIONAL SHARES INDEX FUND | 35.914 | 0,003% | C | |
65/135

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 8.041 | 0,001% | C | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 14.441 | 0,001% | C | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 16.613 | 0,002% | C | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 1.007 | 0,000% | C | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 27.214 | 0,003% | C | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 4.21 1 | 0,000% | C | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 333.485 | 0,032% | C | |
| CAPULA TAIL RISK MASTER FUND LIMITED | 563 | 0,000% | C | |
| CARBP DIVERSIFIE ACTION EURO | 51.619 | 0,005% | C | |
| CARPIMKO ACTIONS LO | 500.000 | 0,048% | C | |
| CARROLL AVENUE PARTNERS LLC | 203 | 0,000% | C | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 3.564 | 0,000% | C | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 2.628 | 0,000% | C | |
| CDC CROISSANCE | 278.908 | 0,027% | C | |
| CENTRAL PROVIDENT FUND BOARD | 1.439 | 0,000% | C | |
| CERVURITE INTERNATIONAL LLC | 32.846 | 0.003% | C | |
| CFSIL RE CNEALTH GS FD 16 | 7.144 | 0,001% | C | |
| CIBC EUROPEAN INDEX FUND | 2.636 | 0,000% | C | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 1.096 | 0.000% | C | |
| CIBC INTERNATIONAL EQUITY INDEXPOOL | 511 | 0,000% | C | |
| CIBC INTERNATIONAL INDEX FUND | 28.280 | 0,003% | C | |
| CITITRUST LIMITED | 24.947 | 0,002% | C | |
| Cititirust Limited as TRUSTEE OF BLACKROCK PREMIER FUNDS- BLACKROCK WORLD EQUITY INDEX FUND |
5.01 2 | 0,000% | C | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 50.716 | 0,005% | C | |
| CITY OF NEW YORK GROUP TRUST | 129.153 | 0,012% | C | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 34.216 | 0,003% | C | |
| CITY UNIVERSITY OF NEW YORK | 708 | 0,000% | C | |
| Civil Service Employees Pension Fund | 4.991 | 0,000% | C | |
| CLAY FUNDS - CLAY EUROPEAN MULTI ASSETS | 25.000 | 0.002% | C | |
| CLAY FUNDS - CLAY EUROPEAN MULTI CAPS | 54.000 | 0,005% | C | |
| CLEOME INDEX - EMU EQUITIES | 10.521 | 0,001% | C | |
| CLEOME INDEX - EUROPE EQUITIES | 36.050 | 0,003% | C | |
| CM-AM ENTREPRENEURS EUROPE | 1.080.000 | 0,103% | C | |
| CM-AM EURO EQUITIES | 1.270.000 | 0,121% | C | |
| CM-AM EUROPE GROWTH | 3.000.000 | 0.286% | C | |
| CM-AM GLOBAL CITY ZEN | 17.661 | 0,002% | C | |
| CNP Actions Europe Amundi | 504.616 | 0,048% | C | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.01 6 | 0,001% | C | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND. | 26.997 | 0,003% | C | |
| COLUMBIA ACORN EUROPEAN FUND | 155.241 | 0.015% | C | |
| COLUMBIA ACORN INTERNATIONAL | 1.574.414 | 0.150% | C | |
| COLUMBIA ACORN INTERNATIONAL SELECT | 527.233 | 0,050% | C | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. |
301.832 | 0,029% | C | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT ટેન્ડર |
4.062 | 0,000% | C | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYSTEM |
291.051 | 0,028% | C | |
| CONCORDE 96 (ACTION EURO) | 23.796 | 0,002% | C | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 9.971 | 0,001% | C | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 13.323 | 0,001 % | C | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 1.447 | 0,000% | C | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 4.831 | 0,000% | C | |
| COUNTY OF SANTA CLARA | 19.500 | 0,002% | C | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 7.060 | 0,001% | C | |
| CPR EUROLAND PREMIUM ESG | 26.069 | 0,002% | C | |
| CPR Invest - European Strategic Autonomy | 74.007 | 0,007% | C | |
| CREDIT SUISSE FUNDS AG | 22.113 | 0,002% | C |

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| CREDIT SUISSE INDEX FUND (IE) ETF ICAV | 18.709 | 0,002% | C | |
| CREDIT SUISSE INDEX FUND (LUX) | 611.003 | 0.058% | C | |
| CRELAN INVEST BALANCED | 20.425 | 0,002% | C | |
| CRELAN INVEST CONSERVATIVE | 2.613 | 0,000% | C | |
| CRELAN INVEST DYNAMIC | 8.491 | 0.001% | C | |
| CROWN SIGMA UCITS PLC - LGT CROWN LIQUID PRIVATE EQUITY OPPO | 1.520.000 | 0, 1 45% | C | |
| CSAA INSURANCE EXCHANGE | 2.745 | 0.000% | C | |
| CSIF 2 Credit Suisse Lux Italy Equity Fund | 17.504 | 0,002% | C | |
| CSIF 2 Credit Suisse Lux Small Mid Cap Alpha Long Short Fund | 212.844 | 0,020% | C | |
| CSIF CH Equity EMU Credit Suisse Funds AG | 37.814 | 0.004% | C | |
| CSIF CH III Equity World ex CH Value Weighted Pension Fund Credit Suisse Funds AG |
1.724 | 0.000% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 |
8.116 | 0,001% | C | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATI |
83.576 | 0.008% | C | |
| D A S DIFESA AUTOMOBILISTICA SINISTRI SPA DI ASSICURAZIONE | 5.472 | 0,001% | C | |
| DANMARKS GRUNDFORSKNINGFOND | ો રેજિક | 0,000% | C | |
| DEAM FONDS ATZM | 9.000 | 0.001% | C | |
| DEAM FONDS ZDV | 7.090 | 0,001% | C | |
| DEAM-FONDS CPT | 5.167 | 0,000% | C | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 2.396 | 0,000% | C | |
| DESJARDINS SECURITE FINANCIERE COMPAGNIE D'ASSURANCE VIE | 2.566 | 0.000% | C | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 4.856 | 0.000% | C | |
| DEUISCHE DCG EQ | 2.210 | 0.000% | C | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FIDEVXFF) | 1.775 | 0,000% | C | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 1.160 | 0,000% | C | |
| DIGNITY PRE ARRANGEMENT LIMITED | 3.089 | 0,000% | C | |
| DIMENSIONAL INTERNATIONAL VALUE ETF OF DIMENSIONAL ETF TRUST | 1.305 | 0,000% | C | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 486 | 0,000% | C | |
| DIVERSIFIED EQUITY MASTER PORTFOLIO OF MASTER INV PORTFOLIO | 7.928 | 0.001% | C | |
| DNCA SRI EURO QUALITY | 1.024.648 | 0,098% | C | |
| DORVAL MANAGEURS SMID CAP EURO | 47.900 | 0,005% | C | |
| DSM ALL WORLD GROWTH TRUST | 69.900 | 0,007% | C | |
| DSM ALL WORLD GROWTH TRUST - INTERNATIONAL GROWTH. | 14.010 | 0,001% | C | |
| DSM CAPITAL PARTNERS FUNDS | 193.000 | 0,018% | C | |
| DSM GLOBAL GROWTH EQUITY FUND | 5.138 | 0,000% | C | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 13.862 | 0,001% | C | |
| DWS INVEST | 1.187.345 | 0,113% | C | |
| DWS INVESTMENT GMBH FOR DEAM FONDS PMC 1 | 25.000 | 0.002% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 5.874 | 0,001% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 3.128 | 0,000% | C | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 13.664 | 0,001% | C | |
| DWS INVESTMENT GMBH FOR DWS EUROPEAN OPPORTUNITIES | 2.019.928 | 0,193% | C | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 5.948 | 0,001% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DEAM FONDS SPEZIAL 18 | 43.599 | 0,004% | C | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 76.327 | 0,007% | C | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 19.229 | 0,002% | C | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 206.361 | 0,020% | C | |
| DWS MULTI ASSET PIR FUND | 105.000 | 0.010% | C | |
| EASTSPRING INVESTMENTS | 793 | 0,000% | C | |
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 3.364 | 0,000% | C | |
| ECOFI ENDURANCE EURO | 20.000 | 0,002% | C | |
| ECUREUIL PROFIL 75 (ACTIONS) | 82.259 | 0,008% | C | |
| ECUREUIL PROFIL 90 ACTIONS EUR | 329.573 | 0.031% | C | |
| Edmond de Rothschild Fund Europe Synergy | 125.360 | 0,012% | C |
67/135

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| FIDELITY SAI INTERNATIONAL INDEX FUND | 135.441 | 0,013% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 36.507 | 0,003% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 225.399 | 0,022% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY INTERNATIONAL SUSTAINABILITY IND EX FUND |
18.641 | 0.002% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND |
1.234.127 | 0.118% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND |
852.658 | 0.081% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
202.128 | 0,019% | C | |
| FIDELITY TOTAL METAVERSE INDEX ETF | 2.539 | 0,000% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 1.919 | 0,000% | C | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 4.413 | 0,000% | C | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 522 | 0.000% | C | |
| FIRST CHURCH OF CHRIST SCIENTIST | 50.154 | 0,005% | C | |
| FISCHER FAMILY TRUST | 1.131 | 0,000% | C | |
| FJARDE AP-FONDEN. | - | 0,000% | C | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 2.208 | 0,000% | C | |
| FLORIDA GLOBAL EQUITY FUND LLC | 11.144 | C | ||
| 0,001% | C | |||
| FLOURISH INVESTMENT CORPORATION FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY |
31.163 3.987 |
0.003% 0.000% |
C | |
| FONDATION BOTNAR | 38.491 | 0,004% | C | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 0,000% | C | ||
| FONDS OBJECTIF CLIMAT ACTIONS | 105.087 | 0.010% | C | |
| FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 2.013 | 0,000% | C | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 2.767 | 0,000% | C | |
| FOREST FOUNDATION | 299 | 0,000% | C | |
| FORSTA AP - FONDEN | 104.598 | 0,010% | C | |
| FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 123.572 | 0,012% | C | |
| FRANCE PLACEMENT EURO ESG PLUS | 240.198 | 0.023% | C | |
| FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 4.988 | 0,000% | C | |
| FRANKLIN LIBERTYSHARES ICAV | 9.540 | 0,001% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EURÓPE ETF | 5.859 | 0,001% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FISE EUROPE HEDGED EIF | 804 | 0.000% | C | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FISE ITALY ETF | 9.252 | 0,001% | C | |
| FUNDACAO CALOUSTE GULBENKIAN | 5.770 | 0,001% | C | |
| FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU |
23.754 | 0.002% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE | 272.488 | 0.026% | C | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. |
5.91 4 | 0,001% | C | |
| G FUND OPPORTUNITIES EUROPE | 630.000 | 0,060% | C | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 16.001 | 0,002% | C | |
| GAM INVESTMENT MANAGEMENT (SWITZERLAND) AG | 5.883 | 0,001% | C | |
| GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 2.385 | 0,000% | C | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 354.723 | 0,034% | C | |
| GENERALI ESPAÑA S A DE SEGUROS Y REASEGUROS | 32.57 1 | 0,003% | C | |
| GENERALI GLOBAL - FONDO PENSIONE APERTO A CONTRIBUZIONE DEFINITA |
201.401 | 0,019% | C | |
| GENERALI ITALIA SPA | 1.862.973 | 0,178% | C | |
| GENERALI REVENUS | 84.201 | 0,008% | C | |
| GENERALI SMART FUNDS | 65.000 | 0,006% | C | |
| GENERALI VIE | 951.834 | 0,091% | C | |
| GENERTEL SPA | 31.644 | 0.003% | C | |
| GENERTELLIFE SPA | 712.423 | 0,068% | C |
69/135

| GFA CARAIBES C 6.307 0,001% GID-FONDS ALAET C 178.000 0.017% C GID-FONDS AVAOT 66.831 0.006% C GID-FONDS AVAOT 2 36.917 0,004% GID-FONDS CEADT C 290.000 0,028% C GID-FONDS DLAET 32.200 0,003% GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND C 4.123 0,000% C GLOBAL EQUITIES ENHANCED INDEX FUND 15.757 0,002% C 1.232 GODFOND SVERIGE & VARLDEN 0,000% C GOLDMAN SACHS ETF ICAV કર્ 0.000% C રજક GOLDMAN SACHS EIF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E 0,000% 156.29 I 0,015% C GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA C 16.481 0.002% INTERNATIO C GOLDMAN SACHS FUNDS 1.981 0.000% C GOLDMAN SACHS FUNDS III 39.623 0,004% GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN C 6.028 0.001% TRACKER FUND C GOVERNMENT PENSION INVESTMENT FUND 3.771.016 0,360% C 275 GRAHAM DEVELOPMENTAL EQUITY STRATEGIES LLC 0,000% C GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND 5.345 0,001% C GREAT WEST INTERNATIONAL INDEX FUND 57.370 0,005% C GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. 24.702 0,002% C HALEVY AT 49.388 0,005% HALEVY A2 C 54.414 0,005% HANG SENG INSURANCE COMPANY LIMITED C 3.602 0,000% C Harris UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND 4.416 0,000% HARTFORD REAL ASSET FUND C 71.395 0,007% HASLAM FAMILY INVESTMENT PARTNERSHI 417 C 0,000% C HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO 1.124 0,000% C HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO 360 0,000% HC Capital Trust- The Institutional International EQUITY PORTFOL C 12.796 0,001% HC RENTE C 3.500 0.000% HESTA C 18.255 0,002% HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT C 76.035 0,007% EXCHANGE Horizon Business SRI Dyn DBI-RDT C 3.606 0,000% HORIZON EPARGNE ACTIONS 42.685 C 0,004% HOSPITAL AUTHORITY PROVIDENT FUND SCHEME C 3.921 0.000% HOSTPLUS POOLED SUPER ANNUATION TRUST 19.067 0,002% C HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ FND 381.924 C 0.036% HSBC ETFS PLC 19.391 C 0,002% HSBC ETFs Public Limited Company 242 C 0,000% HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF 8.096 C 0,001% HSBC GLOBAL INVESTMENT FUNDS C 154.636 0,015% HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND 26.897 C 0.003% HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX 1.796 C 0,000% FUND HSBC INTERNATIONAL EQUITY INDEX FUND C 7.800 0.001% HSBC Life (International) Limited 17.535 C 0,002% HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY C 9.600 0.001% INDEX TRACKING FUND HYMNOS ISR 0,007% C 74.572 12C ACTIONS C 1 70.000 0,016% IBM 401 (K) PLUS PLAN TRUST 0,007% C 74.250 IBM 401 (K) PLUS PLAN TRUST 22.69 1 C 0,002% |
Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|---|

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| IBM PERSONAL PENSION PLAN TRUST | 1.482 | 0,000% | C | |
| IBM RETIREMENT PLAN | 2.446 | 0.000% | C | |
| IF IST - GLOBE INDEX | 18.760 | 0.002% | C | |
| ILA - A-ILDSCG | 2.207 | 0,000% | C | |
| ILA - A-ILEZEQG | 13.759 | 0,001% | C | |
| ILA - A-ILGLOEQG | 4.91 1 | 0.000% | C | |
| ILA - A-ILGLOEQN | 738 | 0,000% | C | |
| ILA-A-ILSDMH | 109.622 | 0,010% | C | |
| ILA-LA WORLD ESG SCREENED FUND | 3.194 | 0,000% | C | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 26.414 | 0,003% | C | |
| IMPROVING EUROPEAN MODELS SRI | 90.000 | C | ||
| INDEXIQ Factors Sustainable EMU Equity | ા રેડ | 0,009% | C | |
| INDIANA PUBLIC RETIREMENT SYSTEM | 7.345 | 0,000% | C | |
| ING DIRECT FONDO NARANJA CONSERVADOR,FI | 0,001% | |||
| 1.307 | 0,000% | C | ||
| ING DIRECT FONDO NARANJA DINAMICO,FI | 14.404 | 0,001% | C | |
| ING DIRECT FONDO NARANJA MODERADO,FI | 8.609 | 0,001% | C | |
| ING DIRECT SICAV | 29.962 | 0,003% | C | |
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 407.365 | 0,039% | C | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
464.866 | 0.044% | C | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 2.405 | 0.000% | C | |
| INTERNATIONAL MONETARY FUND | 36.436 | 0.003% | C | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS.GLOBALE AKTIER | ||||
| AKK.KL | 102.245 | 0,010% | C | |
| INVESTERINGSFORENINGEN INVESTIN SAMPENSION GLOBALE AKTIER | 819 | 0,000% | C | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
3.877 | 0.000% | C | |
| INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS GLOBALE AKTI | 17.243 | 0,002% | C | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 9.795 | 0,001% | C | |
| INVESTISSEMENT 101 AUTRES | 4.643 | 0,000% | C | |
| INVESTITORI EIGHTY TWENTY | 9.550 | 0,001% | C | |
| INVESTITORI EUROPA | 7.500 | 0,001% | C | |
| Investors Wholesale Global Equity (Index) Trust | 24.607 | 0,002% | C | |
| IP ACTIONS EURO | 11.686 | 0,001% | C | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 19.708 | 0,002% | C | |
| IQ Candriam ESG International Equity ETF | 10.100 | 0,001% | C | |
| IRCANTEC PAB AMUNDI | ୧୫.8୧0 | 0.007% | C | |
| IRCEC CASSETTE DIVERSIFIE | 23.461 | 0,002% | C | |
| IRISH LIFE ASSURANCE PLC | 103.877 | 0,010% | C | |
| IRISH LIFE ASSURANCE. | 58.540 | 0.006% | C | |
| 2.189 | C | |||
| IRISH LIFE CLIMATE FOCUSED FUND | 0,000% | C | ||
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.644 | 0,000% | ||
| ISHARES CORE MSCI EAFE ETF | 3.183.677 | 0,304% | C | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 1 46.296 | 0,01 4% | C | |
| ISHARES CORE MSCI EUROPE ETF | 263.636 | 0,025% | C | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 313.641 | 0.030% | C | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 702.224 | 0,067% | C | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS (AUD HEDGED) Eif |
3.347 | 0,000% | C | |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS ETF | 6.58 I | 0,001% | C | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 29.346 | 0,003% | C | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 5.287 | 0,001% | C | |
| ISHARES ESG MSCI EAFE LEADERS INDEX ETF | 333 | 0,000% | C | |
| ISHARES EURO STOXX UCITS ETF (DE) | 243.107 | 0,023% | C | |
| ISHARES EUROPE ETF | 153.177 | 0,015% | C | |
| ISHARES EXPONENTIAL TECHNOLOGIES ETF | 1.81 6.202 | 0.173% | C | |
| ISHARES EXPONENTIAL TECHNOLOGIES INDEX ETF | 2.730 | 0,000% | C | |
71/135

| Anagrafica C 42.185 0,004% ISHARES GLOBAL FINANCIALS ETF C 537.050 0,051% ISHARES II PUBLIC LIMITED COMPANY C 238.825 0,023% ISHARES III PUBLIC LIMITED COMPANY C 2.863 0,000% ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF C 933,527 0,089% ISHARES IV PUBLIC LIMITED COMPANY C 162.378 0,016% ISHARES MSCI ACWI ETF C 104.064 0.010% ISHARES MSCI ACWI EX U.S. ETF C 1.866.361 0,178% ISHARES MSCI EAFE ETF C 0.094% 987.627 ISHARES MSCI EAFE GROWTH ETF C 0.032% 336.986 ISHARES MSCI EAFE INTERNATIONALINDEX FUND C 12.113 0,001% ISHARES MSCI EUROPE IMI INDEX ETF 864.697 C 0,083% ISHARES MSCI EUROZONE ETF C ISHARES MSCI INTL SIZE FACTOR ETF 3.702 0,000% C 159.628 ISHARES MSCI INTL VALUE FACTOR ETF 0,015% C ISHARES MSCI ITALY ETF 823.337 0,079% C 2.466 0,000% ISHARES MSCI KOKUSAI ETF C 35.076 0,003% ISHARES MSCI WORLD ETF C 87.055 ISHARES PUBLIC LIMITED COMPANY 0.008% C 0,013% ISHARES STOXX EUROPE 600 INDUSTRIAL GOODSSERVICES UCITS ETF DE 139.804 C 0,038% ISHARES STOXX EUROPE 600 UCITS ETF (DE) 402.733 C ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) 169.646 0,016% C 0.006% ISHARES V PUBLIC LIMITED COMPANY 57.924 C ISHARES VI PUBLIC LIMITED COMPANY 81.293 0,008% |
|---|
| C ISHARES VII PLC 233.307 0,022% |
| C ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND 44.836 0.004% |
| C ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND 3.915 0,000% |
| C ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) 5.152 0,000% |
| C JANUS HENDERSON GLOBAL FINANCIALS FUND 45.789 0,004% |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES C 5.107 0,000% FUND |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO 89.156 0,009% C |
| JANUS HENDERSON MULTI STRATEGY MASTER FUND LIMITED (THE) C/O C 4.135 0.000% JANUS CAPITAL MANAGEMENT LLC |
| JNL INTERNATIONAL INDEX FUND C 125.769 0,012% |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND 1.692 C 0,000% |
| JAL/MELLON MSCI WORLD INDEX FUND C 5.231 0.000% |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY 101.748 C 0,010% ALLOCATION FUND |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY C 1.144 0,000% |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY 33.245 0,003% C |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF C 6.274 0,001% |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST C 4.401 0,000% |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY C 17.962 0,002% INDEX TRUST. |
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION C 86.121 0,008% TRUST |
| JPMORGAN BETABUILDERS EUROPE ETF C 764.381 0,073% |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF 0,018% C 185.263 |
| JPMORGAN GLOBAL ALLOCATION FUND C 3.815 0,000% |
| JUPITER EUROPEAN FUND. C 5.980.820 0,571% |
| JUPITER EUROPEAN SPECIAL SITUATIONS FUND. C 563.750 0,054% |
| K INVESTMENTS SH LIMITED. C 57.618 0,006% |
| KAISER FOUNDATION HOSPITALS C 10:386 0,001% |
| KAISER PERMANENTE GROUP TRUST C 23.621 0,002% |
| KAPITALFORENINGEN EMD INVEST VERDENSINDEKS C 9.197 0,001% |
| KAPITALFORENINGEN INSTITUTIONEL INVESTOR, EUROPAEISKE SMALL C 825.949 0,079% CAP AKTIER |
| KAPITALFORENINGEN INVESTIN PRO GLOBALE AKTIER INDEX C 39.065 0,004% |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 142.704 | 0,01 4% | C | |
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED |
44.382 | 0,004% | C | |
| KBC EQUITY FUND EUROZONE DBI-RDT | 69.694 | 0,007% | C | |
| KBC EQUITY FUND NEW SHARES | 33.232 | 0.003% | C | |
| KBC EQUITY FUND SRI EUROZONE | 76.783 | 0,007% | C | |
| KBC EQUILY FUND SRI WORLD | 17.777 | 0,002% | C | |
| KBC INST FUND EURO EQUITY | 124.446 | 0,012% | C | |
| KFP MARKETABLE LLC | 1.114 | 0,000% | C | |
| KOKUSAI EQ IDX FD,A TR BLROCK | 19.031 | 0,002% | C | |
| L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO | 18.576 | 0,002% | C | |
| INDEX EQUITY TSGN (5270 | 2.000 | C | ||
| IL.S. CHALLENGE LARGE CAP INTL PORTFOLIO OF DFA INV |
220.310 | 0,000% | C | |
| LBPAM IRC ACTIONS ISR | 200.453 | 0,021% | C | |
| LBPAM ISR ACTIONS 80 | 49.115 | 0,019% 0,005% |
C | |
| LBPAM ISR ACTIONS EURO LARGE CAP | 45.239 | 0,004% | C | |
| 1.157 | 0,000% | C | ||
| LBPAM ISR ACTIONS EURO MIN VOL ILBPAM ISR AVENIR EURO |
4.084 | 0.000% | C | |
| ILBPAM ISR STRATEGIE PEA 1 | 6.062 | 0.001% | C | |
| ILBPAM ISR ȘTRATEGIE PEA 2 | 9.682 | 0,001% | C | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 1.114 | 0,000% | C | |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 21.334 | 0,002% | C | |
| ILEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 6.144 | 0,001% | C | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 187 | 0.000% | C | |
| LEGAL & GENERAL ICAV. | 1.105 | 0,000% | C | |
| LEGAL & GENERAL MSCI EAFE FUND LLC | 40.517 | 0,004% | C | |
| LEGAL & GENERAL MSCI EAFE SL FUND LLC | 43.303 | 0,004% | C | |
| LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED |
131.519 | 0,013% | C | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 1.446.273 | 0.138% | C | |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 26.206 | 0.003% | C | |
| LEGAL AND GENERAL CCF | 41.003 | 0,004% | C | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 84.820 | 0,008% | C | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 2.016 | 0,000% | C | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 271.944 | 0,026% | C | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 2.741 | 0,000% | C | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 71.738 | 0,007% | C | |
| LEGAL AND GENERAL UCITS ETF PLC | 92.581 | 0.009% | C | |
| ILGAS SHF EURO EX UK ESG FD(1848 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 |
6.005 | 0,001% | C | |
| LGAS SHF FUT WRLD ESG DEV IDX(6734) | 1.835 | 0,000% | C | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 787 | 0,000% | C | |
| LIF-LYX DIGIT ECONOMY(DR)UCITS | 43.417 | 0,004% | C | |
| LIF-LYX DISRUPTIVE TECH(DR)UC | 52.012 | 0,005% | C | |
| LIF-LYX MILLENNIALS UCITS ETF | 18.457 | 0,002% | C | |
| LIF-LYX MSCI WRL CATHOL PRINC | 4.830 | 0,000% | C | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 450.000 | 0,043% | C | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 299 | 0,000% | C | |
| LOF GLOBAL FINTECH | 650.000 | 0,062% | C | |
| LOF TargetNetZero Europe Equity | 4.518 | 0,000% | C | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 28.413 | 0,003% | C | |
| ILONDON LGPS CIV AUTHORISED CONTRACTUAL SCHEME. | 8.678 | 0,001% | C | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM | 76 | 0.000% | C | |
| ILOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 21.721 | 0,002% | C | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 10.855 | 0,001% | C | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 83.097 | 0,008% | C |
73/135

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| LYX CORE MSCI WLD(DR)UCITS ETF | 17.230 | 0,002% | C | |
| LYX IND -LYX CORE STOXX EU 600 | 448.613 | 0.043% | C | |
| LYX MSCI EU ESG LEADERS (DR) | 193.252 | 0.018% | C | |
| LYXIND FD-LYX MSCI EMU GROWTH | 17.402 | 0,002% | C | |
| Lyxor 1 STOXX Europe 600 ESG (DR) UCITS ETF | 3.791 | 0,000% | C | |
| LYXOR FISE MIB UCITS ETF | 507.028 | 0,048% | C | |
| LYXOR MSCI EUROPE UCITS ETF | 49.975 | 0,005% | C | |
| ILYXOR-MSCI EMU ESG BROD CTB | 16.875 | 0,002% | C | |
| IM INTERNATIONAL EQUITY FUND | 3.909 | 0,000% | C | |
| M STANLEY PATHWAY FD-INTEQ FD | 10.618 | 0.001% | C | |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.586 | 0,000% | C | |
| MACQUARIE MULTI-FACTOR FUND | 1.278 | 0,000% | C | |
| MACQUARIE WHOLESALE FUNDS | 1.949 | 0,000% | C | |
| MANAGED PENSION FUNDS LIMITED | 105.290 | 0,010% | C | |
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND |
26.418 | 0,003% | C | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 5.853 | 0,001% | C | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 2.872 | 0,000% | C | |
| MARIGOLD TACTICAL STRATEGIES LTD | 2.834 | 0,000% | C | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 22.036 | 0,002% | C | |
| MASTER TRUST BANK OF JAPAN LTD. RE: FIDELITY EUROPE FUND | 555.055 | 0,053% | C | |
| MBB PUBLIC MARKETS I LLC | 45.375 | 0,004% | C | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 21.489 | 0,002% | C | |
| MEDICAL ASSURANCE SOCIETY NEW ZEALAND LIMITED | 11.655 | 0.001% | C | |
| MERCER PASSIVE INTERNATIONAL SHARES FUND | 23.228 | 0,002% | C | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.81 4 | 0,000% | C | |
| MERCER PRIVATE WEALTH INTERNATIONAL FOCUSED EQUITY POOL | 9.779 | 0,001% | C | |
| MERCER QIF COMMON CONTRACTUAL FUND | 678.556 | 0,065% | C | |
| MERCER UCITS COMMON CONTRACTUALFUND | 15.220 | 0,001% | C | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 17.388 | 0,002% | C | |
| METROPOLITAN LIFE INSURANCE COMPANY | 26.176 | 0,002% | C | |
| MGI FÜNDS PLC | 43.363 | 0,004% | C | |
| MICHELLE LUND REV TRUST | 1.209 | 0,000% | C | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 2.157 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 30 | 1.200 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 1.370 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS 50 | 1.670 | 0,000% | C | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 1.230 | 0.000% | C | |
| MIRAE ASSET GLOBAL INVESTMENTS (HK) LIMITED. | 6.767 | 0,001% | C | |
| MLC INVESTMENTS, MLC LIMITED | 5.432 | 0,001% | C | |
| MOBIUS LIFE LIMITED | 10-668 | 0.001% | C | |
| MONCEAU ACTIONS EEE | 162.27 1 | 0.015% | C | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO |
2.933 | 0.000% | C | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL | 487 | 0,000% | C | |
| STRATEGI ST PORTFOLIO MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST |
6.169 | |||
| MOTHER CABRINI HEALTH FOUNDATION INC | 14.907 | 0.001% 0,001% |
C C |
|
| MOZILLA CORPORATION | 2.970 | 0,000% | C | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 23.335 | 0,002% | C | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 372 | 0,000% | C | |
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 241.974 | 0,023% | C | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 83.1 43 | 0,008% | C | |
| MUGUET VENTURES LLC | 1.575 | 0,000% | C | |
| MUL- LYX FTSE IT ALL CAP PIR20 | 11.270 | C | ||
| MUL-LY MSCI EU ESG C T CIB DR | 92 | 0,001% | C | |
| MUL-LYX NET ZERO 50 SP EU CLIP | 8.180 | 0,000% | C | |
| MUL-LYX NET ZERO 50 SP WLD CLI | 2.729 | 0,001% | C | |
| MUL-LYX NET ZEROSO SP EU CLI P | 387.803 | 0.000% 0,037% |
C | |

75/135

EMARKET
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SHARON D LUND RESIDUAL TRUST | 604 | 0,000% | C | |
| SHELL CANADA 2007 PENSION PLAN | 876 | 0,000% | C | |
| SHELL FOUNDATION | 12.523 | 0,001% | C | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
4.257 | 0,000% | C | |
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | ો રેઝ | 0,000% | C | |
| SIEMENS BALANCED | 13.658 | 0,001% | C | |
| SIEMENS EMU EQUITIES | 41.519 | 0,004% | C | |
| SIEMENS-FONDS SIEMENS-RENTE | 72.260 | 0,007% | C | |
| SILVER AMUNDI EURO EQUITY | 170.879 | 0,016% | C | |
| SINGLE SELECT PLATFORM | 132.035 | 0,013% | C | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 246.443 | 0,024% | C | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
21.646 | 0,002% | C | |
| SOCIETA CATTOLICA DI ASSICURAZIONE - SOCIETA COOPERATIVA | 56.412 | 0,005% | C | |
| SOGECAP ACTIONS - MID CAP | 219.114 | 0,021% | C | |
| SOGECAP AP CLIMAT PAB | 128.138 | 0,012% | C | |
| SOLIDARITES | 14.835 | 0,001% | C | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 470.572 | 0,045% | C | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE EIF | 10.475 | 0,001% | C | |
| ISPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 175.915 | 0,017% | C | |
| SPDR PORTFOLIO EUROPE ETF | 24.100 | 0,002% | C | |
| SPDR SP WORLD EX AUSTRALIA FUND | 6.778 | 0,001% | C | |
| SPP GENERATION 70-TAL | 9.226 | 0,001% | C | |
| SPP PENSION & FORSAKRING AB (PUBL) | 754 | 0,000% | C | |
| ISSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND |
15.711 | 0.002% | C | |
| ISSB MSCITITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 498.764 | 0,048% | C | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 3.232 | 0,000% | C | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 76.811 | 0,007% | C | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 106.822 | 0,010% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 2.188.362 | 0,209% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 71.855 | 0,007% | C | |
| STANDARD BANK OF SOUTH AFRICA LTD | 63.151 | 0,006% | C | |
| STAR PASTEUR | 20.889 | 0,002% | C | |
| STATE OF MINNESOTA | 241.787 | 0,023% | C | |
| ISTATE OF NEW JERSEY COMMON PENSION FUND D | 356.400 | 0,034% | C | |
| ISTATE OF WISCONSIN INVESTMENT BOARD | 2 | 0,000% | C | |
| STATE STREET CCF | 1.802 | 0,000% | C | |
| ISTATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.81 I | 0.000% | C | |
| ISTATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 147.942 | 0,01 4% | C | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 110.409 | 0,011% | C | |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 105.114 | 0,010% | C | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 8.588 | 0,001% | C | |
| STATE STREET IRELAND UNIT TRUST | 26.658 | 0,003% | C | |
| STATE STREET TOTAL RETURN VIS FUND | 10.218 | 0,001% | C | |
| ISTATE TEACHERS RETIREMENT SYSTEM OF OHIO | 197.735 | 0,019% | C | |
| STELLAR INSURANCE, LTD. | 1.867 | 0,000% | C | |
| STEPHEN N POTTER TRUST | રેટ | 0,000% | C | |
| STEWARDSHIP PARA GLB | ાં રેક્કે | 0,000% | C | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 2.248 | 0,000% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE MEUBELI INDUSTRIEEN MEUBILERINGSBEDRIJ |
13.947 | 0,001% | C | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF |
24.565 | 0,002% | C | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 2.416 | 0,000% | C | |
| STICHTING CZ FUND DEPOSITARY | 7.524 | 0,001% | C | |
| STICHTING DE NATIONALE ALGEMEEN PENSIOENFONDS | 4.828 | 0,000% | C | |
| ISTICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 48.115 | 0,005% | C |
77/135

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| STICHTING ING CDC PENSIOENFONDS | 14.187 | 0.001% | C | |
| STICHTING NN CDC PENSIOENFONDS | 6.150 | 0.001% | C | |
| STICHTING PENSIOENFONDS ABP | 550.168 | 0,053% | C | |
| STICHTING PENSIOENFONDS APP | ୧୦ | 0,000% | C | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 22.996 | 0.002% | C | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 235.898 | 0,023% | C | |
| STICHTING PENSIOENFONDS PGB | 669.836 | 0.064% | C | |
| STICHTING PENSIOENFONDS PROVISUM | 1.881 | 0,000% | C | |
| STICHTING PENSIOENFONDS UWV | 35.840 | 0,003% | C | |
| (STICHTING PENSIOENFONDS WERK EN(RE) INTEGRATIE | 75.087 | 0,007% | C | |
| STICHTING PHILIPS PENSIOENFONDS | 9.316 | 0,001% | C | |
| STICHTING SHELL PENSIOENFONDS | 12.901 | 0,001% | C | |
| STOREBRAND EUROPA PLUS | 8.021 | 0,001% | C | |
| STOREBRAND GLOBAL ALL COUNTRIES | 24.294 | 0,002% | C | |
| STOREBRAND GLOBAL PLUS | 27.552 | 0,003% | C | |
| STOREBRAND LIVSFORSIKRING AS | 20.747 | 0,002% | C | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 12.700 | 0,001% | C | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET |
26.604 | 0,003% | C | |
| PORT | 4.528 | 0,000% | C | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 1.874 | 0,000% | C | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL |
2.296 | 0,000% | C | |
| SYCOMORE INCLUSIVE JOBS | 132.028 | 0,013% | C | |
| SYCOMORE SOCIAL IMPACT | 745.818 | 0,071% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 28.247 | 0,003% | C | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 30.818 | 0,003% | C | |
| TANGERINE BALANCED GROWTH PORTFOLIO | 8.954 | 0,001% | C | |
| TANGERINE BALANCED INCOME PORTFOLIO | 1.027 | 0,000% | C | |
| TANGERINE BALANCED PORTFOLIO | 7.533 | 0,001% | C | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 11.322 | 0,001% | C | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 118.833 | 0,011% | C | |
| TD EMERALD LOW CARBON LOW VOLATILITY GLOBAL EQUITY PFT | 91 | 0,000% | C | |
| TD EUROPEAN INDEX FUND | 3.643 | 0.000% | C | |
| TD GLOBAL TECHNOLOGY LEADERS INDEX ETF | 34.180 | 0,003% | C | |
| TD INTERNATIONAL EQUITY INDEX ETF | 33.963 | 0,003% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 15.022 | 0,001% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 111 | 0.000% | C | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 1 | 0,000% | C | |
| TEACHERS' RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 55.338 | 0.005% | C | |
| TELSTRA SUPERANNUATION SCHEME | 15.075 | 0,001% | C | |
| THE ALPHAGEN MULTI-STRATEGY MASTER FUND LIMITED | 125.095 | 0.01 2% | C | |
| THE AMERICAN UNIVERSITY IN CAIRO | 5.855 | 0,001% | C | |
| THE BANK OF KOREA | 46.012 | 0,004% | C | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 93.377 | 0,009% | C | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN |
232.344 | 0,022% | C | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 53.840 | 0,005% | C | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 6.200 | 0,001% | C | |
| THE ENDEAVOUR II FUND. | 1.125 | 0,000% | C | |
| THE ESB PENSION FUND | 12.963 | 0,001% | C | |
| THE FUNDO DE PENSOES | 4.265 | 0,000% | C | |
| THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION | ||||
| RETIREMENT PLANS MASTER TRUST | 177 | 0,000% | C | |
| THE JUPITER GLOBAL FUND SICAV | 1.419.382 | 0,136% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND |
13.041 | 0,001% | C | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND |
1.175 | 0,000% | C | |
| Anagrafica | CF/PI | Azioni | % su votanți Voto | |
|---|---|---|---|---|
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND |
54.542 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
52.350 | 0,005% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M |
18.407 | 0,002% | C | |
| THE MASTER TRUST BANK OF JAPAN. LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND |
276 | 0,000% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 2.080 | 0.000% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021 492 | 15.187 | 0,001% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 43.848 | 0,004% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | ||||
| PASSIVE MOTHER FUND (ONLY FOR PENSION | 4.644 | 0.000% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT T |
71.485 | 0,007% | C | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X | 9.265 | 0,001% | C | |
| (JPY HEDGED) (PRIVATELY PLACED INVEST | C | |||
| THE PENSION BOARDS-UNITED CHURCH OF CHRIST INC. | 2.372 | 0,000% | ||
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 2.637 | 0,000% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 8.276 | 0.001% | C | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 598.298 | 0,057% | C | |
| THE WALT DISNEY COMPANY RETREMENT PLAN MASTER TRUST | 16.243 | 0,002% | C | |
| THEAM QUANT - EQUITY EUROPE DEFI | 45.625 | 0,004% | C | |
| THEAM QUANT-EQUITY WORLD GLOBAL GOALS | 227.41 I | 0,022% | C | |
| THEAM QUANT- MULTI ASSET DIVERSIFIED DEFENSIVE | 213.275 | 0,020% | C | |
| THREADNEEDLE (LUX | 14.133 | 0,001% | C | |
| THREADNEEDLE (LUX) | 1.444.177 | 0,138% | C | |
| THREADNEEDLE (LUX) COLUMBIA THREADNEEDLE INVESTMENTS | 1.108.491 | 0,106% | C | |
| THREADNEEDLE (LUX). | 1.746.641 | 0,167% | C | |
| THREADNEEDLE INVESTMENT FUNDS ICVC | 2.366.558 | 0,226% | C | |
| THRIFT SAVINGS PLAN | 2.030.151 | 0,194% | C | |
| THRIFT SAVINGS PLAN | 496.824 | 0,047% | C | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 6.361 | 0,001% | C | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 758.957 | 0,072% | C | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 15.344 | 0,001% | C | |
| TONI ACTIONS ISR 100 | 59.646 | 0,006% | C | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV |
40.392 | 0,004% | C | |
| TOUCHSTONE STRAT TR INT GRW FD | 139.390 | 0,013% | C | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 2.832 | 0,000% | C | |
| 6.392 | 0,001% | C | ||
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 13.071 | C | ||
| TRINITY COLLEGE CAMBRIDGE | 0,001% | |||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 10 |
25.701 | 0.002% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 |
4.020 | 0,000% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 |
48.993 | 0.005% | C | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
1.453 | 0,000% | C | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIÓ | 26.039 | 0,002% | C | |
| TSGX SOLACT ESG TBACO EX UNHG (3387) | 6.802 | 0,001% | C | |
| TWU Superannuation Fund | 7.249 | 0.001% | C | |
| JUAPF - BLACK ROCK PASSIVE EQUITY | 1.976 | 0.000% | C | |
| UBAM | 120.244 | 0,011% | C | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 35.598 | 0.003% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 75.229 | 0,007% | C | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 255.943 | 0,024% | C | |
| UBS ASSET MANAGEMENT LIFE LTD | 62.367 | 0,006% | C | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH | 22.995 | 0,002% | CI | |
| INVESTINSTITUTIONAL FUN |
79/135

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 192.919 | 0,018% | C | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 271.411 | 0,026% | C | |
| UBS GLOBAL EQUITY CLIMATE TRANSITION FUND | 5.734 | 0,001% | C | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 542 | 0,000% | C | |
| UBS LUX FUND SOLUTIONS | 1.393.298 | 0,133% | C | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 2.909 | 0,000% | C | |
| UNITED NATIONS JOINT STAFF PENSION FUND. | 320.000 | 0.031% | C | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 2.830 | 0,000% | C | |
| UNITED SERVICES AUTOMOBILE ASSOCIATION | 4.305 | 0,000% | C | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN MASTER TRU |
150.967 | 0,01 4% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN- ui-Fonds |
2.295 | 0,000% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL CA V |
41.255 | 0,004% | C | |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO | 46.890 | 0,004% | C | |
| UNIVERSITIES SUPERANNUATION SCHEME | 58.179 | 0,006% | C | |
| UPS GROUP TRUST | 22.870 | 0,002% | C | |
| USAA CASUALTY INSURANCE COMPANY | 7.276 | 0,001% | C | |
| USAA GENERAL INDEMNITY COMPANY | 3.879 | 0,000% | C | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDY GTIGE EUROPA KL | 6.87 1 | 0,001% | C | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDY GTIGE GLOBALE AKTIER ETIK KL ID SPARINVEST AS FILIAL AF SP |
12.288 | 0,001% | C | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 9.646 | 0,001% | C | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 34.610 | 0,003% | C | |
| VARIABLE INSURANCE PRODUCTS FUND 11: INTERNATIONAL INDEX PORTFOLIO |
13.635 | 0,001% | C | |
| VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE | 37.183 | 0,004% | C | |
| VELLIV, PENSION & LIVSFORSIKRING A/S | 275.777 | 0.026% | C | |
| VENDOME SELECTION EUR | 74.644 | 0,007% | C | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS I | 27.084 | 0,003% | C | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 80.077 | 0,008% | C | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 23.130 | 0,002% | C | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 6.364 | 0,001% | C | |
| VGV POOLFONDS PA 1 | 14.631 | 0.001% | C | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 7.143 | 0.001% | C | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 13.341 | 0.001% | C | |
| VILLIERS DIAPASON | 90.883 | 0,009% | C | |
| VIRGINIA C. MARS REVOCABLE TRUST DATED AUGUST 6 1991 | 262 | 0,000% | C | |
| VIRGINIA TECH FOUNDATION INC | 2.251 | 0,000% | C | |
| VISION FUND - EUROPE GROWTH | 116.984 | 0,011% | C | |
| VIVACCIO ISR ACTIONS | 181.200 | 0,017% | C | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 39.654 | 0,004% | C | |
| VOYA VACS INDEX SERIES I PORTFOLIO | 42.532 | 0,004% | C | |
| WASHINGTON STATE INVESTMENT BOARD | 21 2.87 1 | 0,020% | C | |
| WESPATH FUNDS TRUST | 2.329 | 0,000% | C | |
| WESTPAC WHOLESALE INTERNATIONAL SHARE NO. 3 TRUST | 3.012 | 0,000% | C | |
| WHEELS COMMON INVESTMENT FUND. | 2.617 | 0,000% | C | |
| WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 409 | 0,000% | C | |
| WILMINGTON INTERNATIONAL FUND | 32.422 | 0,003% | C | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND |
20.821 647 |
0,002% | C C |
|
| WORLD EQUITIES | 88୧ | 0,000% | C | |
| WORLD TRADE ORGANIZATION PENSION PLAN | 6.366 | 0,000% 0.001% |
C | |
| WYOMING RETIREMENT SYSTEM | 4.570 | 0,000% | C | |
| XTRACKERS | 605.345 | 0,058% | C | |

| Anagrafica | CF/P! | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 641.291 | 0.061% | C | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 3.229 | 0.000% | C | |
| XTRACKERS MSCI EAFE ESG LEADERS EQUITY ETF | 2.910 | 0,000% | C | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 158.878 | 0.015% | C | |
| IXTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 25.317 | 0,002% | C | |
| IXTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 2.809 | 0.000% | C | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 6.823 | 0.001% | C | |
| ZEPHYR - EUROPE EQUITY ESG OPTIMIZED | 3.069 | 0.000% | C | |
| ZEPHYR - OPTIMISED PLUS 1 | 7.792 | 0.001% | C | |
| ZEPHYR - OPTIMISED PLUS 2 | 14.156 | 0.001% | C | |
| ZURICH INSURANCE PLC | 69.707 | 0.007% | C | |
| ZURICH INVEST ICAV | 67.066 | 0.006% | C | |
| Zwitserleven Institutionele Beleggingsfondsen - Zwitserleven Duurzaam Index Aandelenfonds Europa |
15.339 | 0.001% | C | |
| ADASINA SOCIAL JUSTICE ALL CAP GLOBAL ETF | 7.194 | 0.001% | A | |
| DS LIQUID DIV RVA MEL LLC | 3.988 | 0.000% | A | |
| GOVERNMENT OF SINGAPORE | 24.824.429 | 2,370% | A | |
| MONETARY AUTHORITY OF SINGAPORE | 7.829.123 | 0,748% | A | |
| PREVINDAI BIL EURIZON | 5.510 | 0.001% | A | |
| PREVINDAI SVI EURIZON | 7.682 | 0.001% | A | |
| WEST YORKSHIRE PENSION FUND | 75.000 | 0,007% | A |
Totale votanti
1.047.318.764
Legenda
C - Franchevols
C - Confesiones
C - C - Commento
C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C
81/135
Assemblea ordinaria 04 maggio 2023 NEXI
Punto 3
Proposta di autorizzazione all'acquisto e di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea del 5 maggio 2022 per la parte rimasta inseguita. Deliberazioni inerenti e conseguenti.
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 1.047.318.764 | 100% | 79.848% |
| Azioni per le quali il RD dispone di istruzioni per l'OdG in votazione (quorum deliberativo): |
1.047.318.764 | 100.000% | 79,848% |
| non disponeva di istruzioni: Azioni per le quali il RD |
0.000% | 0,000% | |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 1.047.029.551 | 99,972% | 79,826% |
| Contrario | 278.031 | 0,027% | 0,021% |
| Astenuto | 11.182 | 0,001% | 0,001% |
| otal | 1.047.318.764 | 100.000% | 79.848% |


NEXI Assemblea ordinaria 04 maggio 2023
Punto 3
Proposta di autorizzazione all'adisposizione di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea del 5 maggio 2022 per la parte rimasta inseguita. Deliberazioni inerenti e conseguenti.
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato nella persona della Dott.ssa Claudia Ambrosini
| Anagrafica | CF/Pi | Azioni | % su votanți | Voto |
|---|---|---|---|---|
| 1895 FONDS FGR | 166.197 | 0.01 6% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 684 | 0,000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 1.328 | 0,000% | F | |
| 3 BANKEN-GENERALI GH STOCK | 21.300 | 0.002% | F | |
| 3 BANKEN-GENERALI GL STOCK | 202.200 | 0,019% | F | |
| 3 BANKEN-GENERALI GNIL STOCK | 83.200 | 0,008% | F | |
| 801 INVESTMENTS LLC | 483 | 0.000% | F | |
| AA SSGA Actions Indice Euro | 90.849 | 0,009% | F | |
| AB Europe (Luxembourg) Investment S.a r.l. | 52.678.731 | 5,030% | F | |
| AB SICAV III-DYN ALL MKT PORTF | 1.567 | 0,000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | 1.623 | 0.000% | F | |
| LOCATION PORTFOLIO | F | |||
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 6.113 | 0,001% | F | |
| ABB PENSION FUND | 1.000 | 0,000% | ||
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY TRACKER FUND |
29.562 | 0.003% | F | |
| ABN AMRO FUNDS | 9.586 | 0.001% | F | |
| ACOMEA EUROPA | 81.000 | 0.008% | F | |
| ACOMEA GLOBALE GLOBALE | 32.000 | 0.003% | F | |
| ACOMEA ITALIA | 1 50.000 | 0,01 4% | F | |
| ACOMEA MULTI FUND - PATRIMONIO AGGRESSIVO | 20.000 | 0,002% | F | |
| ACOMEA SGR MULTIFUND PATRIMONIODINAMICO | 17.000 | 0.002% | F | |
| ACS 30:70 GLOBAL EQUITY TRACKER FUND | 1.138 | 0,000% | F | |
| ACTIAM BF ASIFEW | 2.257 | 0,000% | F | |
| ACTIAM Duurzaam Index Aandelentonds Europa | 80.916 | 0,008% | F | |
| ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 18.166 | 0.002% | F | |
| ACTIAM Sustainable Index Fund Equity Europe | 10.779 | 0,001% | F | |
| ADVANCE PLANNING LIMITED | 2.089 | 0,000% | F | |
| ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 1.567 | 0,000% | F | |
| AEGON CUSTODY B.V | 6.032 | 0.001% | F | |
| AEGON CUSTODY B.V. | 133.041 | 0,013% | F | |
| AIB GROUP IRISH PENSION SCHEME | 18.929 | 0,002% | F | |
| ALASKA COMMON TRUST FUND | 19.353 | 0.002% | F | |
| ALASKA PERMANENT FUND CORPORATION | 6.976 | 0.001% | F | |
| ALBERTA INVESTMENT MANAGEMENT CORPORATION | 57.200 | 0.005% | F | |
| ALJACK2 | 17.000 | 0,002% | F | |
| ALLEANZA ASSICURAZIONI SPA | 984.103 | 0,094% | F | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS LL STARS | 420.000 | 0.040% | F | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 1.062.586 | 0,101% | F | |
| ALLIANZ GLOBAL INVESTORS FUND | 644.378 | 0,062% | F | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 98.868 | 0.009% | F |

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT MASTER | 774 | 0,000% | F | |
| ALLIANZ INTERNATIONAL INVESTMENT FUNDS - ALLIANZ THEMATICA FUND |
6.768 | 0,001% | F | |
| ALLIANZ ITALIA 50 SPECIAL | 17.000 | 0,002% | F | |
| Allianz Selection European Equity Dividend | 7.935 | 0,001% | F | |
| ALLIANZGI S AKTIEN | 18.525 | 0.002% | F | |
| ALLANZGI-FONDS DSPT | 19.166 | 0,002% | F | |
| ALM ACTIONS EURO | 113.126 | 0,011% | F | |
| ALMEGLIO - FONDO PENSIONE APERTO ALLEANZA A CONTRIBUZIONE DEFINITA |
8.564 | 0,001% | F | |
| ALPHA UCITS SICAV - AMBER EQUITY FUND | 40.000 | 0,004% | F | |
| AM SF-EUR EQU OPT VOLAT | 105.068 | 0,010% | F | |
| AMERICAN BUREAU OF SHIPPING | 1.355 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 13.406 | 0,001% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 1,732 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY Eif |
310 | 0,000% | F | |
| AMERICAN ELECTRIC POWER MASTER RETIREMENT TRUST | 43.899 | 0,004% | F | |
| AMERICAN ELECTRIC POWER SYSTEM RETIREE MEDICAL TRUST FOR CE S | 10.400 | 0,001% | F | |
| AMERICAN HEART ASSOCIATION, INC. | 1,707 | 0,000% | F | |
| AMERICAN STEADFAST LP | 273.568 | 0,026% | F | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 49.889 | 0.005% | F | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 3.646 | 0,000% | F | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.723 | 0,000% | F | |
| AMPLEGEST DIGITAL LEADERS | 102.715 | 0.010% | F | |
| AMPLEGEST LONG/SHORT | 64.600 | 0,006% | F | |
| AMPLEGEST MIDCAPS FCP | 279.300 | 0,027% | F | |
| AMUNDI ETFICAV - AMUNDI S&P GLOBAL INFORMATION TECHNOLOGY ESG UCITS ETF |
17.897 | 0,002% | F | |
| AMUNDI EURO ISTOXX CLIMATE PARIS ALIGNED PAB | 30.229 | 0.003% | F | |
| AMUNDI FTSE MIB | 114.628 | 0,011% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 6.479 | 0,001% | F | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 69.313 | 0,007% | F | |
| AMUNDI FUNDS EUROLAND EQUITY | 4.530.596 | 0,433% | F | |
| AMUNDI FUNDS TOP EUROPEAN PLAYERS | 1.300.369 | 0.124% | F | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 19.321 | 0,002% | F | |
| AMUNDI INDEX MSCI EUROPE | 213.413 | 0,020% | F | |
| AMUNDI INDEX MSCI JAPAN | 15.790 | 0,002% | F | |
| AMUNDI INDEX MSCI WORLD | 54.674 | 0,005% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 1.998 | 0,000% | F | |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 4.889 | 0,000% | F | |
| AMUNDI MSCI EMU ESG Leaders Select | 571.923 | 0,055% | F | |
| AMUNDI MSCI EMIU ESG UNIVERSAL SELECT | 6.918 | 0,001% | F | |
| AMUNDI MSCI EUROPE | 49.384 | 0,005% | F | |
| AMUNDI MSCI EUROPE ESG LEADERS SELECT | 9.969 | 0,001% | F | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 710 | 0,000% | F | |
| AMUNDI MSCI EUROPE EX SWITZERLAND | 49.385 | 0,005% | F | |
| AMUNDI MSCI EUROPE EX UK | 200 | 0,000% | F | |
| AMUNDI MSCI WORLD ESG LEADERS SELECT | 10.170 | 0,001% | F | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 1.466 | 0.000% | le | |
| AMUNDI PATRIMOINE | 137.720 | 0,013% | F | |
| AMUNDI PATRIMOINE PEA | 179.696 | 0,017% | le | |
| AMUNDI PRIME EUROZONE | 12.303 | 0.001% | F | |
| AMUNDI RENDEMENT PLUS | 45.531 | 0.004% | F | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 90.594 | 0,009% | F | |
| AMUNDI STOXX EUROPE 600 | 43.516 | 0.004% | F | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 6.135 | 0,001% | F |

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | ર્સ્ડર્ | 0,000% | F | |
| AMUNDI TRANSMISSION ACTIONS | 3.616 | 0,000% | F | |
| AP ACTIONS I EURO | 24.175 | 0,002% | F | |
| ARGENTA-FUND FINANCE DYNAMIC | 318.159 | 0,030% | F | |
| ARIZONA PSPRS TRUST | 90.115 | 0,009% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 162.447 | 0,01 6% | F | |
| ARRCO QUANT 1 | 55.476 | 0,005% | F | |
| ASIAN DEVELOPMENT BANK | 286 | 0,000% | F | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 24.969 | 0,002% | F | |
| ASSICURAZIONI GENERALI SPA | 2.496 | 0.000% | F | |
| ASSURDIX | 64.034 | 0.006% | F | |
| ATCP-UI-FONDS | 2.298 | 0.000% | F | |
| AURION GLOBAL EQUITY FUND | 1.946 | 0,000% | F | |
| AUSTRALIAN CAPITAL TERRITORY | 11.451 | F | ||
| 382.064 | 0,001% | F | ||
| AUSTRALIAN RETIREMENT TRUST | 0.036% | F | ||
| AUSTRALIANSUPER | 3.37 1 | 0.000% | F | |
| AVALON PORTFOLIO II LLC AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS |
1.581 | 0,000% | ||
| INTERNATIONAL INDEX TRACKING FUND | 11.529 | 0.001% | F | |
| Aviva Investors Passive Funds ACS - Al 30:70 Global Equity Currency | ||||
| Hedged) Index Fund | 5.531 | 0,001% | F | |
| Aviva Investors Passive Funds ACS - Al 50:50 Global Equity Index Fund | 60.344 | 0,006% | F | |
| Aviva Investors Passive Funds ACS - Al 60:40 Global Equity Index Fund | 24.203 | 0,002% | F | |
| Aviva Investors Passive Funds ACS - Al Continental European Equity Index Fund |
96.752 | 0,009% | F | |
| Aviva Investors Passive Funds ACS - Al Developed European ex UK | 113.221 | 0,011% | F | |
| Equity Index Fund | ||||
| Aviva Investors Passive Funds ACS - Al Developed World ex UK Equity Index Fund |
37.896 | 0,004% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND I |
733 | 0.000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND II |
3.568 | 0.000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- | 2.878 | 0.000% | F | |
| ASSET CORE FUND III AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- |
2.260 | 0.000% | F | |
| ASSET CORE FUND IV AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- |
1.279 | 0,000% | F | |
| ASSET CORE FUND V | 86.285 | 0,008% | F | |
| Aviva Investors UK Fund Services Limited | F | |||
| AVIVA LIFE & PENSIONS IRELAND DAC | 42.739 | 0,004% 0,105% |
E | |
| AVIVA LIFE & PENSIONS UK LIMITED | 1.098.996 | F | ||
| AWARE SUPER | 2.421 35.816 |
0,000% | F | |
| AXA AA DIVERSIFIE INDICIEL 1 | 0,003% | F | ||
| AXA EURO VALEURS RESPONSABLES | 453.000 | 0,043% | F | |
| AXA IM EQUITY TRUST | 144.000 | 0.01 4% | ||
| AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - ECONOMIC |
228.383 | 0.022% | F | |
| AXA Investment Managers UK Limited | 184.722 | 0.018% | F | |
| AXA MPS FINANCIAL DESIGNATED ACTIVITY CO | 660.000 | 0,063% | F | |
| AXA VALEURS EURO | 275.000 | 0,026% | F | |
| 25.187 | F | |||
| AXA Vorsorge Fonds II Equities Global Markets Credit Suisse Funds AG | 0,002% | |||
| AXA WORLD FUNDS | 2.810.000 | 0,268% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 844.200 | 0,081% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 37.000 | 0,004% | F | |
| AZ FUND 1 AZ ALLOCATIÓN PIR ITALIAN EXCELLENCE 70 | 675.500 | 0,064% | F | |
| AZ FUND 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES | 278.010 | 0.027% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 99.000 | 0,009% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 661.500 | 0.063% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 14.213 | 0.001% | F |
85/135

| Anagratica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| AZL INTERNATIONAL INDEX FUND | 44.818 | 0,004% | F | |
| B BENZEKRI FÜND | 11.400 | 0,001% | F | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 10.622 | 0,001% | F | |
| BANCOPOSTA EQUITY ALL COUNTRY | 2.204 | 0,000% | F | |
| BANK OF BOTSWANA. | 3.265 | 0,000% | F | |
| BANK OF KOREA | 2.851 | 0,000% | F | |
| BANSABADELL 18 FP | 2.196 | 0,000% | F | |
| BASSWOOD INTERNATIONAL FUND LP | 23.075 | 0,002% | F | |
| BASSWOOD INTERNATIONAL FUND LTD. C/O IMS FUND SERVICES | 10.447 | 0,001% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LP. | 3.090 | 0,000% | F | |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LTD. C/O | 9.971 | 0,001% | F | |
| INTERNATIONAL MGMT. SERVICES LTD. | ||||
| BATI ACTION OPTIMUM [BBH (LUX) SCA CUSTODIAN FOR FIDELITY ACTIVE STRATEGY EUROPE |
175.000 | 0,017% | F | |
| FUND | 1.600.274 | 0,153% | F | |
| IBCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 4.703 | 0.000% | F | |
| BDF FONDS E ACTIONS EUROPEENNES | 36.090 | 0,003% | F | |
| BEAT DRUGS FUND ASSOCIATION | 548 | 0,000% | F | |
| BEL EQUITY EUROPE ESG | 125.798 | 0,012% | F | |
| BELLSOUTH CORP RFA VEBA TRUST | 8.303 | 0,001% | F | |
| BERESFORD FUNDS ICAV | 1.627 | 0,000% | F | |
| BEST BUSINESS MODELS SKI | 2.400.000 | 0,229% | F | |
| Best Investment Corporation | 3.907 | 0,000% | F | |
| BESTSELECT - UBS SRI GLOBAL EQUITY | 4.402 | 0.000% | F | |
| BETAMAX EUROPE | 7.101 | 0,001% | F | |
| BFT EURO FUTUR ISR | 57.000 | 0.005% | F | |
| BG MASTER FUND ICAV. | 119.143 | 0,011% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREE |
17.503 | 0.002% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 77.982 | 0,007% | F | |
| BLACKROCK CDN MSCI ACWIEX-CANADA INDEX FUND | 10.530 | 0,001% | F | |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 234.113. | 0,022% | F | |
| BLACKROCK CDN WORLD INDEX FUND | 34.116 | 0,003% | F | |
| BLACKROCK FUND MANAGERS LTD | 46.141 | 0,004% | F | |
| BLACKROCK FUNDS I ICAV | 6.095 | 0,001% | F | |
| BLACKROCK FUTURE FINANCIAL AND TECHNOLOGY ETF | 12.949 | 0,001% | F | |
| BLACKROCK GLOBAL FUNDS | 234.661 | 0,022% | F | |
| BLACKROCK GLOBAL INDEX FUNDS | 33.336 | 0,003% | F | |
| BLACKROCK INDEX SELECTION FUND | 180.267 | 0.017% | F | |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 63.968 | 0,006% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDFOR EMPLOYEE BENEFIT TRUSTS |
34.315 | 0,003% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS | 4.494.237 | 0,429% | F | |
| FOR EMPLOYEE BENEFIT TRUSTS BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK |
F | |||
| VARIABLE SERIES FUNDS, INC. | 7.615 | 0.001% | ||
| BLACKROCK LIFE LIMITED | 16.576 | 0.002% | F | |
| BLACKROCK LIFE LTD | 59.693 | 0,006% | F | |
| BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. |
7.261 | 0,001% | F | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 132.675 | 0.013% | F | |
| BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 61.287 | 0.006% | F | |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND LIMITED |
79.228 | 0.008% | F | |
| BLACKWELL PARTNERS LLC - SERIE E C/O CORPORATION SERVICE | 14.171 | 0,001% | F | |
| COMPANY | ||||
| BMO MSCI EAFE ESG LEADERS INDEXETF | 4.179 | 0.000% | F | |
| BMO MSCI EAFE INDEX ETF | 226.369 | 0,022% | F | |
| BMO MSCI FINTECH INNOVATION INDEX ETF | 1.130 | 0,000% | F | |
| BMO MSCI INNOVATION INDEX ETF | 1.042 | 0,000% | F |
| Anagrafica | CF/P1 | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| BMO MSCI NEXT GEN INTERNET INNOVATION INDEX ETF | 270 | 0,000% | F F |
|
| BNP PARIBAS ACTIONS PME ETI ISR BNP PARIBAS ACTIONS PME ISR |
629.075 507.108 |
0,060% 0,048% |
F | |
| BNP PARIBAS EASY - ESG EUROZONE BIODIVERSITY LEADERS PAB | 40.408 | 0,004% | F | |
| BNP PARIBAS EASY - ESG QUALITY EUROPE | 323.657 | 0,031% | F | |
| 69.112 | 0,007% | F | ||
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 1.217 | F | ||
| BNP PARIBAS EASY - MSCI WORLD ESG FILTERED MIN TE | 0.000% | F | ||
| BNP PARIBAS FUNDS - EUROPE GROWTH | 184.417 | 0,018% | ||
| BNP PARIBAS TECHNOLOGIES EUROPE ISR | 332.139 | 0,032% | F | |
| BNP PARIBAS VALEURS EURO ISR | 544.506 | 0,052% | F | |
| BNP S BETA/LOTI 33/FRR 10E | 773.032 | 0,074% | F | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 24.813 | 0,002% | F | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 14.148 | 0,001% | F | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 5.191 | 0,000% | F | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 26.630 | 0,003% | F | |
| BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 11.669 | 0,001% | F | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA |
2 | 0,000% | F | |
| BOC PRUDENTIAL EUROPEAN EQUITY FUND | 10.897 | 0.001% | F | |
| BOC PRUDENTIAL EUROPEAN INDEX FUND | 46.435 | 0,004% | F | |
| BOC PRUDENTIAL GLOBAL EQUITY FUND | 19.187 | 0,002% | F | |
| BRIDGE BUILDER INT EQUITY FUND | 30.000 | F | ||
| BRIDGE BUILDER TAX MNG INT EQ | 2.877 | 0,003% | F | |
| 771 | 0,000% | F | ||
| BRIDGEWATER PURE ALPHA EURO FUND LTD | 0,000% | F | ||
| BRIDGEWATER PURE ALPHA FUND III, LTD. | 7.276 | 0.001% | F | |
| BRIDGEWATER PURE ALPHA STERLING FUND LTD | 2.100 | 0,000% | F | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY II LTD. | 112.739 | 0,011% | F | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY LTD BRIGHTHOUSE FUNDS TRUST I-PANAGOR A GLOBAL DIVERSIFIED RISK |
12.068 | 0,001% | ||
| PORTFOLIO | 78.525 | 0,007% | F | |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 32.431 | 0.003% | F | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 9.460 | 0,001% | F | |
| BS PENTAPENSION EMPRESA | 1.520 | 0,000% | F | |
| BT INTERNATIONAL SHARES INDEX FUND | 35.914 | 0.003% | F | |
| BUMA-UNIVERSAL-FONDS I | 58.288 | 0,006% | F | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 8.041 | 0,001% | F | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 1 4.44 | 0,001% | F | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 16.613 | 0,002% | F | |
| BW DMO FUND, LTD | 8.491 | 0,001% | F | |
| BW PASPG LTD | 399 | 0,000% | F | |
| BWM PA 24 LTD | 2.843 | 0,000% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 536.239 | 0,051% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 1.007 | 0.000% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 27.214 | 0,003% | F | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 4.21 1 | 0,000% | F | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 333.485 | 0,032% | F | |
| CAPULA TAIL RISK MASTER FUND LIMITED | ર્સ્ડિ | 0,000% | F | |
| CARBP DIVERSIFIE ACTION EURO | 51.619 | 0,005% | F | |
| CARPIMKO ACTIONS LO | 500.000 | 0,048% | F | |
| CARROLL AVENUE PARTNERS LLC | 203 | 0,000% | F | |
| CATERPILLAR INC. GROUP INSURANCE PLAN TRUST. | 33.787 | 0,003% | F | |
| CATERPILLAR INC. MASTER RETIREMENT TRUST | 262.331 | 0,025% | F | |
| CATERPILLAR INVESTMENT TRUST. | 252.161 | 0,024% | F | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 3.564 | 0.000% | F | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 2.628 | 0,000% | F | |
| CDC CROISSANCE | 278.908 | 0,027% | F | |
| CDP EQUITY INVESTIMENTI SPA | 108.542.556 | F | ||
| CDP FOUTY SPA | 49 401 443 | 10,364% 6 6779 |
E | |
0,000%
1.439
EMARKET
CENTRAL PROVIDENT FUND BOARD

| Anagrafica | CF/Pi | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| CERVURITE INTERNATIONAL LLC | 32.846 | 0,003% | F | |
| CFSIL RE CNEALTH GS FD 16 | 7.144 | 0,001% | F | |
| CHEVRON UK PENSION PLAN | 2.607 | 0,000% | F | |
| CHINA LIFE INSURANCE COMPANY LIMITED | 8.388 | 0,001% | F | |
| CIBC EUROPEAN INDEX FUND | 2.636 | 0,000% | F | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 1.096 | 0,000% | F | |
| CIBC INTERNATIONAL EQUITY INDEXPOOL | 511 | 0,000% | F | |
| CIBC INTERNATIONAL INDEX FUND | 28.280 | 0.003% | F | |
| CINDY SPRINGS LLC. | 50.181 | 0,005% | F | |
| CITITRUST LIMITED | 24.947 | 0,002% | F | |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS- BLACKROCK WORLD EQUITY INDEX FUND |
5.012 | 0,000% | F | |
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 50.716 | 0.005% | F | |
| CITY OF NEW YORK GROUP TRUST | 129.153 | 0,012% | F | |
| CITY UNIVERSITY OF NEW YORK | 708 | 0,000% | F | |
| Civil Service Employees Pension Fund | 4.991 | 0,000% | F | |
| CLAY FUNDS - CLAY EUROPEAN MULTI ASSETS | 25.000 | 0,002% | F | |
| CLAY FUNDS - CLAY EUROPEAN MULTI CAPS | 54.000 | 0,005% | F | |
| CLBRM LIQUID FUNDS - GLOBAL MACRO | 530.242 | 0,051% | F | |
| CLEOME INDEX - EMU EQUITIES | 10.521 | 0,001% | F | |
| CLEOME INDEX - EUROPE EQUITIES | 36.050 | 0,003% | F | |
| CM-AM ENTREPRENEURS EUROPE | 1.080.000 | 0, 103% | F | |
| CM-AM EURO EQUITIES | 1.270.000 | 0,121% | F | |
| CM-AM EUROPE GROWTH | 3.000.000 | 0,286% | F | |
| CM-AM GLOBAL CITY ZEN | 17.661 | 0,002% | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 2.025 | 0,000% | F | |
| CNP Actions Europe Amundi | 504.616 | 0.048% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.016 | 0,001% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND. | 26.997 | 0.003% | F | |
| COLUMBIA ACORN EUROPEAN FUND | 155.241 | 0.015% | F | |
| COLUMBIA ACORN INTERNATIONAL | 1.574.414 | 0,150% | F | |
| COLUMBIA ACORN INTERNATIONAL SELECT | 527.233 | 0,050% | F | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. |
301.832 | 0,029% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 12.568 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETR |
93.334 | 0,009% | F | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT દિવેટ |
4.062 | 0,000% | F | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYSTEM |
291.051 | 0,028% | F | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA |
166.743 | 0,016% | F | |
| COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES. F.P | 1.090 | 0.000% | F | |
| CONCORDE 96 (ACTION EURO) | 23.796 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 9.971 | 0,001% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 178 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 13.323 | 0,001% | F | |
| CONSTELLATION FITZPATRICK QUALIFIED FUND | 2.730 | 0,000% | F | |
| CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 432 | 0,000% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY |
1.447 4.831 |
0,000% 0,000% |
F F |
|
| COUNTY OF SANTA CLARA | 19.500 | 0,002% | F | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 7.060 | 0,001% | F | |
| CPR EUROLAND PREMIUM ESG | 26.069 | 0,002% | F | |
| CPR Invest - European Strategic Autonomy | 74.007 | 0,007% | F | |
| CREDIT SUISSE FUNDS AG | 22.113 | 0,002% | F | |
| CREDIT SUISSE INDEX FUND (IE) ETF ICAV | 18.709 | 0,002% | F | |
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| CREDIT SUISSE INDEX FUND (LUX) | 611.003 | 0,058% | F | |
| CRELAN INVEST BALANCED | 20.425 | 0,002% | F | |
| CRELAN INVEST CONSERVATIVE | 2.613 | 0,000% | F | |
| CRELAN INVEST DYNAMIC | 8.491 | 0,001% | F | |
| CROWN SIGMA UCITS PLC - LGT CROWN LIQUID PRIVATE EQUITY OPPO | 1.520.000 | 0,145% | F | |
| CSAA INSURANCE EXCHANGE | 2.745 | 0.000% | F | |
| CSIF 2 Credit Suisse Lux Italy Equity Fund | 17.504 | 0,002% | F | |
| CSIF 2 Credit Suisse Lux Small Mid Cap Alpha Long Short Fund | 212.844 | 0,020% | F | |
| CSIF CH Equity EMU Credit Suisse Funds AG | 37.814 | 0.004% | F | |
| CSIF CH III Equity World ex CH Value Weighted Pension Fund Credit Suisse Funds AG |
1.724 | 0.000% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 |
8.116 | 0,001% | F | |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATI |
83.576 | 0,008% | F | |
| CUSTODY BANK OF JAPAN. LTD. AS TRUSTEE FOR SMTB INVESCO GLOBAL ESG INSIGHT INDEX |
1.341 | 0,000% | F | |
| CUSTODY BANK OF JAPAN. LTD. RE: STB FOREIGN STOCK INDEX | 6.51 1 | 0,001% | F | |
| MOTHER FUND(CURRENCY HEDGED) D A S DIFESA AUTOMOBILISTICA :SINISTRI SPA DI ASSICURAZIONE |
5.472 | 0,001% | F | |
| DANMARKS GRUNDFORSKNINGFOND | 1.569 | 0,000% | F | |
| DEAM FONDS ATZM | 9.000 | 0.001% | F | |
| DEAM FONDS ZDV | 7.090 | 0.001% | F | |
| DEAM-FONDS CPT | 5.167 | 0,000% | P | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 2.396 | 0,000% | F | |
| DESJARDINS SECURITE FINANCIERE COMPAGNIE D'ASSURANCE VIE | 2.566 | 0,000% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 4.856 | 0,000% | F | |
| DEUTSCHE DCG EQ | 2.210 | 0,000% | F | |
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FIDEVXFF) | 1.775 | 0,000% | F | |
| DEVELOPED INTERNATIONAL EQUITY SELECT ETF | 1.160 | 0,000% | F | |
| DIGNITY PRE ARRANGEMENT LIMITED | 3.069 | 0,000% | F | |
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 2.530 | 0,000% | F | |
| DIMENSIONAL INTERNATIONAL VALUE ETF OF DIMENSIONAL ETF TRUST | 1.305 | 0.000% | F | |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 486 | 0,000% | F | |
| DIVERSIFIED EQUITY MASTER PORTFOLIO OF MASTER INV PORTFOLIO | 7.928 | 0.001% | F | |
| DNCA SRI EURO QUALITY | 1.024.648 | 0,098% | F | |
| DORVAL MANAGEURS SMID CAP EURO | 47.900 | 0,005% | F | |
| DSM ALL WORLD GROWTH TRUST | 69.900 | 0,007% | F | |
| DSM ALL WORLD GROWTH TRUST - INTERNATIONAL GROWTH. | 14.010 | 0,001% | F | |
| DSM CAPITAL PARTNERS FUNDS | 193.000 | 0,018% | F | |
| DSM GLOBAL GROWTH EQUITY FUND | 5.138 | 0.000% | F | |
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 13.862 | 0,001% | F | |
| DWS INVEST | 1.187.345 | 0,113% | F | |
| DWS INVESTMENT GMBH FOR DEAM FONDS PMC 1 | 25.000 | 0,002% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 5.874 | 0,001% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 3.128 | 0,000% | F | |
| DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 13.664 | 0,001% | F | |
| DWS INVESTMENT GMBH FOR DWS EUROPEAN OPPORTUNITIES | 2.019.928 | 0,193% | F | |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 5.948 | 0,001% | F | |
| DWS INVESTMENT GMBH ON BEHALF OF DEAM FONDS SPEZIAL 18 | 43.599 | 0,004% | F | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 76.327 | 0,007% | F | |
| DWS INVESTMENT SA FOR ARERO DER WELTFONDS | 19.229 | 0,002% | F | |
| DWS INVESTMENT SA FOR DWS ESG EUROPEAN EQUITIES | 206.361 | 0,020% | F | |
| DWS MULTI ASSET PIR FUND | 105.000 | 0,010% | F | |
| DYNASTY INVEST LID | 1.400 | 0,000% | F | |
| Eagle (AIBC) & Cy S.C.A. | 79.729.512 | 7,613% | F | |
| EASTSPRING INVESTMENTS | 793 | 0,000% | F | |
EMARKET

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| EATON VANCE TRUST COMPANY COLLECTIVE INVESTMENT | 3.364 | 0,000% | F | |
| ECOFI ENDURANCE EURO | 20.000 | 0,002% | F | |
| ECUREUIL PROFIL 75 (ACTIONS) | 82.259 | 0,008% | F | |
| ECUREUIL PROFIL 90 ACTIONS EUR | 329.573 | 0,031% | F | |
| Edmond de Rothschild Fund Europe Synergy | 125.360 | 0,012% | F | |
| EdR SICAV - Europe Midcaps | 53.947 | 0,005% | F | |
| EMBO-FONDS | 14.692 | 0,001% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 2.255 | 0.000% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 780 | 0.000% | F | |
| ENCYCLOPAEDIA BRITANNICA PENSION PLAN TRUST | 8.885 | 0,001% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 2.835 | 0,000% | F | |
| ENHANCED INDEX INTERNATIQNAL SHARE FUND | 25.848 | 0,002% | F | |
| ENSIGN PEAK ADVISORS INC | 30.550 | 0,003% | F | |
| EPARGNE ETHIQUE FLEXIBLE | 8.340 | 0,001% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 43.571 | 0,004% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH | F | |||
| PORTFOLIO | 3.538 | 0,000% | ||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 6.782 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | 14.875 | 0,001% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY | 17.705 | 0.002% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
22.358 | 0,002% | F | |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 69.067 | 0,007% | F | |
| EQUIPSUPER | 19.535 | 0,002% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 3.228 | 0,000% | F | |
| ERAFP ACTIONS EURO 1 | 1.065.845 | 0, 102% | F | |
| ERAFP ACTIONS EURO II | 1 . 1 50.000 | 0,110% | F | |
| ERAFP ACTIONS PAB EURO I | 11.055 | 0,001% | F | |
| ES RIVER AND MERCANTILE GLOBAL RECOVERY FUND | 79.170 | 0,008% | F | |
| ETFMG PRIME MOBILE PAYMENTS ETF | 1.108.834 | 0,106% | F | |
| ETFS Management (AUS) Limited as trustee for ETFS Fintech & | ||||
| Blockchain ETF | 7.619 | 0,001% | F | |
| ETICA AZIONARIO | 642.672 | 0,061% | F | |
| ETICA BILANCIATO | 1.410.408 | 0,135% | F | |
| ETICA OBBLIGAZIONARIO MISTO | 185.654 | 0,018% | F | |
| ETICA RENDITA BILANCIATA | 419.314 | 0,040% | F | |
| ETICA SGR SPA - FONDO ETICA OBIETIVO SOCIALE | 2.113 | 0,000% | F | |
| ETICA SRG SPA - FONDO ETICA IMPATTO CLIMA | 450.000 | 0.043% | F | |
| ETOILE INDUSTRIE EUROPE | 59.320 | 0,006% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 14.729 | 0.001% | F | |
| EUROPEAN CENTRAL BANK | 55.345 | 0,005% | F | |
| EVA VALLEY MAI LLC | 4.531 | 0,000% | F | |
| Evergood H&F Lux S.a r.I. | 261 .230.869 | 24,943% | F | |
| EWP PA FUND, LTD-INTL TRADING | 7.475 | 0,001% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 19.897 | 0,002% | F | |
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | ||||
| INTERNATIONALFUND | 5.143 | 0,000% | F | |
| FAMILY INVESTMENTS GLOBAL ICVC ONEFAMILY GLOBAL EQUITY FUND | 371 | 0,000% | F | |
| FC CARPIMKO (ACTIONS EURO) | 88.123 | 0,008% | F | |
| FCP ARRCO LONG TERME D | 108.767 | 0,010% | F | |
| FCP ECUREUIL RETRAITE EURO ACTIONS 4 | 150.000 | 0,01 4% | F | |
| FCP FOND MEDERIC ALZHEIMER AMU | 3.599 | 0,000% | F | |
| FCP KLESIA K RETRAITE EURO | 183.533 | 0,018% | F | |
| FCP SODIUM I | 28.160 | 0,003% | F | |
| FCP VILLIERS ALLEGRO | 203.365 | 0,019% | F | |
| FCPE EVOLUTIS | 136.270 | 0,013% | F |
| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| FEDERATED HERMES INTERNATIONAL LEADERS FUND | 1.988.900 | 0,190% | E | |
| FEDERATED HERMES INTERNATIONAL SMALL MID COMPANY FUND | 160.000 | 0,015% | F | |
| FEDERATED UNIT TRUST | 606.397 | 0,058% | F | |
| FGV ACTIONS EUROPE LM A | 11.491 | 0,001% | F | |
| FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 28.358 | 0,003% | F | |
| FIDELÇOMISO FONDO DE AHORRO DE PANAMA | 3.936 | 0,000% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 1.521.380 | 0, 1 45% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND |
12.410 | 0,001% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
105.761 | 0.010% | F | |
| FIDELITY COVINGTON TRUST FIDELITY CRYPTO INDUSTRY AND DIGITAL PAYMENTS ETF |
60.786 | 0,006% | F | |
| FIDELITY FUNDS - EUROPEAN DYNAMIC GROWTH POOL | 6.687.166 | 0,639% | F | |
| FIDELITY FUNDS - ITALY POOL | 1.066.058 | 0,102% | F | |
| FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | । 32 | 0,000% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 48.034 | 0,005% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 57.444 | 0,005% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 135.441 | 0,013% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 36.507 | 0,003% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 225.399 | 0.022% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY INTERNATIONAL SUSTAINABILITY IND EX FUND |
18.641 | 0,002% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND |
1.234.127 | 0,118% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND |
852.658 | 0.081% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
202.128 | 0.019% | F | |
| FIDELITY TOTAL METAVERSE INDEX ETF | 2.539 | 0,000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 1.919 | 0,000% | F | |
| FIDELITY UCITS INCAV/FIDELTY MSCI WORLD INDEX FUND | 4.413 | 0,000% | F | |
| Fil HOLDINGS. INC. | 828 | 0,000% | F | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 522 | 0,000% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 50.154 | 0,005% | F | |
| FIRST SUPER | 41.328 | 0,004% | F | |
| FISCHER FAMILY TRUST | 1.131 | 0,000% | F | |
| FJARDE AP-FONDEN. | l | 0,000% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
15.170 | 0,001% | F | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 2.208 | 0,000% | F | |
| FLORIDA GLOBAL EQUITY FUND LLC | 11.144 | 0.001% | P | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 29.996 | 0,003% | F | |
| FLOURISH INVESTMENT CORPORATION | 31.163 | 0,003% | F | |
| FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY | 3.987 | 0,000% | F | |
| FONDATION BOTNAR | 38.491 | 0,004% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | - | 0,000% | F | |
| FONDO NAZIONALE PENSIONE COMPLEMENTARE COMETA | 10.171 | 0,001% | F | |
| FONDS OBJECTIF CLIMAT ACTIONS | 105.087 | 0,010% | le | |
| FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 2.013 | 0,000% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 6.502 | 0,001% | F | |
| FORD PENSION UNIVERSAL | 10.325 | 0,001% | F | |
| FORDHAM UNIVERSITY | 2.328 | 0,000% | F | |
| FOREIGN STOCK INDEX MOTHER FUND | 25.005 | 0,002% | F | |
| FOREST FOUNDATION | 299 | 0,000% | F | |
| FORSTA AP - FONDEN | 104.598 | 0,010% | F | |
| FOVERUKA PENSION UNIVERSAL | 24.836 | 0,002% | E |
91/135

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| GWL GLOBAL INVESTMENTS LLC. | 195.300 | 0.019% | F | |
| HALEVY AI | 49.388 | 0,005% | F | |
| HALEVY A2 | 54.414 | 0,005% | F | |
| HAMILTON FINANCIALS INNOVATION ETF | 12.514 | 0,001% | F | |
| HANG SENG INSURANCE COMPANY LIMITED | 3.602 | 0,000% | F | |
| HARRIS ASSOCIATES OAKMARK INTERNATIONAL SMALL CAP COLLECTIVE FUND |
497.300 | 0,047% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 4.416 | 0,000% | F | |
| HARTFORD REAL ASSET FUND | 71.395 | 0,007% | F | |
| HASLAM FAMILY INVESTMENT PARTNERSHI | 417 | 0,000% | F | |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 1.124 | 0,000% | F | |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 360 | 0,000% | F | |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL | 12.796 | 0.001% | F | |
| HESTA | 18.255 | 0,002% | F | |
| HOBSON LUCAS FAMILY FOUNDATION | 149.600 | 0,01 4% | F | |
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE |
599.811 | 0,057% | F | |
| Horizon Business SRI Dyn DBF-RDT | 3.606 | 0,000% | F | |
| HORIZON EPARGNE ACTIONS | 42.685 | 0,004% | F | |
| HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 3.921 | 0,000% | F | |
| HOSTPLUS POOLED SUPERANNUATION TRUST | 19.067 | 0,002% | F | |
| HRW TESTAMENTARY TRUST NO. 1 | 3.513 | 0.000% | F | |
| HRW TESTAMENTARY TRUST NO. 3 | 4.554 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 4. | 2.498 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 6 | 1.139 | 0,000% | F | |
| HRW TESTAMENTARY TRUST NO. 9. | 2.491 | 0,000% | F | |
| HRW TRUST NO. 1 UAD 01/17/03 | 4.723 | 0,000% | F | |
| HRW TRUST NO. 3 UAD 01/17/03 | 3.618 | 0,000% | F | |
| HSBC BANK SSB AUT EU SCREEN EX CONTROVERSIES CW INDEX EQ FND | 381.924 | 0.036% | F | |
| HSBC ETFS PLC | 19.391 | 0,002% | F | |
| 242 | 0,000% | F | ||
| HSBC ETFs Public Limited Company HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF |
8.096 | 0.001% | F | |
| 154.636 | 0.015% | F | ||
| HSBC GLOBAL INVESTMENT FUNDS | ||||
| HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND | 26.897 | 0,003% | F | |
| HSBC INDEX TRACKER INVESTMENT FUNDS - FISE ALL-WORLD INDEX FUND |
1.796 | 0,000% | F | |
| HSBC INTERNATIONAL EQUITY INDEX FUND | 7.800 | 0,001% | F | |
| HSBC Life (International) Limited | 17.535 | 0,002% | F | |
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUILY INDEX TRACKING FUND |
9.600 | 0,001% | F | |
| Hymnoz ISB | 74.572 | 0,007% | F | |
| 12C ACTIONS | 170.000 | 0,016% | F | |
| IBM 401 (K) PLUS PLAN TRUST | 74.250 | 0,007% | F | |
| IBM 401 (K) PLUS PLAN TRUST | 22.691 | 0,002% | F | |
| IBM PERSONAL PENSION PLAN TRUST | 1.482 | 0,000% | F | |
| IBM RETIREMENT PLAN | 2.446 | 0,000% | F | |
| IF IST - GLOBE INDEX | 18.760 | 0,002% | F | |
| ILA - A-ILDSCG | 2.207 | 0,000% | F | |
| ILA - A-ILEZEQG | 13.759 | 0,001% | F | |
| ILA - A-ILGLOEQG | 4.911 | 0,000% | F | |
| ILA - A-ILGLOEQN | 738 | 0,000% | F | |
| ILA-A-ILSDMH | 109.622 | 0,010% | F | |
| ILA-LA WORLD ESG SCREENED FUND | 3.194 | 0,000% | F | |
| IMPACTASSETS INC | 1.676 | 0,000% | F | |
| IMPERIAL INTERNATIONAL EQUITY POOL | 26.414 | 0,003% | F | |
| IMPROVING EUROPEAN MODELS SRI | 90.000 | 0,009% | F | |
| INDEXIQ Factors Sustainable EMU Equity | । 23 | 0.000% | F C |
93/135


| Anagrafica | CF/Pl | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| ISHARES III PUBLIC LIMITED COMPANY | 238.825 | 0,023% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 2.863 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 933.527 | 0.089% | F | |
| ISHARES MSCI ACWI ETF | 162.378 | 0,016% | F | |
| ISHARES MSCI ACWIEX U.S. ETF | 104.064 | 0,010% | F | |
| ISHARES MSCI EAFE ETF | 1.866.361 | 0,178% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 987.627 | 0,094% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 336.986 | 0,032% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 12.113 | 0,001% | F | |
| ISHARES MSCI EUROZONE ETF | 864.697 | 0,083% | F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 3.702 | 0,000% | F | |
| ISHARES MSCI INTL VALUE FACTOR ETF | 159.628 | 0.015% | F | |
| ISHARES MSCI ITALY ETF | 823.337 | 0.079% | F | |
| ISHARES MSCI KOKUSAI ETF | 2.466 | 0.000% | F | |
| ISHARES MSCI WORLD ETF | 35.076 | 0,003% | F | |
| ISHARES PUBLIC LIMITED COMPANY | 87.055 | 0,008% | F | |
| ISHARES STOXX EUROPE 600 INDUSTRIAL GOODSSERVICES UCITS ETF DE | 139.804 | 0,013% | F | |
| ISHARES STOXX EUROPE 600 UCITIS ETF (DE) | 402.733 | 0.038% | F | |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 169.646 | 0.01 6% | F | |
| ISHARES V PUBLIC LIMITED COMPANY | 57.924 | 0,006% | F | |
| ISHARES VI PUBLIC LIMITED COMPANY | 81.293 | 0,008% | F | |
| ISHARES VII PLC | 233.307 | 0.022% | F | |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 44.836 | 0,004% | F | |
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 3.915 | 0.000% | F | |
| 5.152 | 0,000% | F | ||
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CHJ JANUS HENDERSON GLOBAL FINANCIALS FUND |
45.789 | F | ||
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES | 0,004% | |||
| FUND | 5.107 | 0.000% | F | |
| JANUS HENDERSON INTERNATIONAL RESEARCH EQUITY PORTFOLIO | 89.156 | 0,009% | F | |
| JANUS HENDERSON MULTI STRATEGY MASTER FUND LIMITED (THE) C/O JANUS CAPITAL MANAGEMENT LLC |
4.135 | 0,000% | F | |
| JNL INTERNATIONAL INDEX FUND | 125.769 | 0.012% | F | |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 1.692 | 0,000% | F | |
| JNL/MELLON MSCI WORLD INDEX FUND | 5.231 | 0.000% | F | |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY | 0.010% | F | ||
| ALLOCATION FUND | 101.748 | |||
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 1.144 | 0.000% | F | |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 33.245 | 0,003% | F | |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL EFF | 6.274 | 0.001% | F | |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 4.401 | 0,000% | F | |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. |
17.962 | 0.002% | F | |
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST |
86.121 | 0.008% | F | |
| JPMORGAN BETABUILDERS EUROPE ETF | 764.381 | 0,073% | F | |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 185.263 | 0.018% | F | |
| JPMORGAN GLOBAL ALLOCATION FUND | 3.815 | 0.000% | F | |
| JTW TRUST NO. 1 UAD 9/19/02 | 1.472 | 0,000% | E | |
| JTW TRUST NO. 2 UAD 9/19/02 | 2.038 | 0.000% | F | |
| JIW TRUST NO. 3 UAD 9/19/02 | 2.529 | 0,000% | F | |
| JTW TRUST NO. 4 UAD 9/19/02 | 2.253 | 0,000% | F | |
| JTW TRUST NO. 5 UAD 9/19/02 | 1.139 | 0.000% | F | |
| JUPITER EUROPEAN FUND. | 5.980.820 | 0,571% | F | |
| JUPITER EUROPEAN SPECIAL SITUATIONS FUND. | 563.750 | 0,054% | F | |
| K INVESTMENTS SH LIMITED. | 57.618 | 0,006% | F | |
| KAISER FOUNDATION HOSPITALS | 10:386 | 0,001% | F | |
| KAISER PERMANENTE GROUP TRUST | 23.621 | 0,002% | E |
95/135

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 9.197 | 0.001% | F | |
| KAPITALFORENINGEN INSTITUTIONEL INVESTOR, EUROPAEISKE SMALL CAP AKTIER |
825.949 | 0,079% | F | |
| KAPITALFORENINGEN INVESTIN PRO GLOBALE AKTIER INDEX | 39.065 | 0,004% | F | |
| KAPITALFORENINGEN SAMPENSION INVEST. GLOBALT AKTIEINDEKS | 142.704 | 0,014% | F | |
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED |
44.382 | 0,004% | F | |
| KBC EQUITY FUND EUROZONE DBI-RDT | 69.694 | 0,007% | F | |
| KBC EQUITY FUND NEW SHARES | 33.232 | 0.003% | F | |
| KBC EQUITY FUND SRI EUROZONE | 76.783 | 0,007% | F | |
| KBC EQUITY FUND SRI WORLD | 17.777 | 0.002% | F | |
| KBC INST FUND EURO EQUITY | 124.446 | 0,012% | F | |
| KFP MARKETABLE LLC | 1.114 | 0,000% | F | |
| KOKUSAI EQ IDX FD,A TR BLROCK | 19.031 | 0,002% | F | |
| L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO | ||||
| INDEX EQUITY TSGN (5270 | 18.576 | 0,002% | F | |
| L.S. CHALLENGE | 2.000 | 0,000% | F | |
| LARCOUEST INVESTISSEMENT - MH | 12.000 | 0,001% | F | |
| LARGE CAP INTL PORTFOLIO OF DFA INV | 220.310 | 0.021% | F | |
| LAZAM INVESTMENT | 14.100 | 0,001% | F | |
| LBPAM IRC ACTIONS ISR | 200.453 | 0,019% | F | |
| LBPAM ISR ACTIONS 80 | 49.115 | 0.005% | F | |
| LBPAM ISR ACTIONS EURO LARGE CAP | 45.239 | 0,004% | F | |
| LBPAM ISR ACTIONS EURO MIN VOL | 1.157 | 0,000% | F | |
| LBPAM ISR AVENIR EURO | 4.084 | 0,000% | F | |
| LBPAM ISR STRATEGIE PEA 1 | 6.062 | 0,001% | F | |
| LBPAM ISR STRATEGIE PEA 2 | 9.682 | 0,001% | F | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 1.114 | 0,000% | F | |
| LEADERSEL P.M.I | 10 | 0,000% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 21.334 | 0,002% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 6.144 | 0,001% | F | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 187 | 0,000% | F | |
| LEGAL & GENERAL ICAV. | 1.105 | 0,000% | F | |
| LEGAL & GENERAL MSCI EAFE FUND LLC | 40.517 | 0,004% | F | |
| LEGAL & GENERAL MSCI EAFE SL FUND LLC | 43.303 | 0,004% | F | |
| LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED |
131.519 | 0,013% | F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 1.446.273 | 0.138% | F | |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 26.206 | 0.003% | F | |
| LEGAL AND GENERAL CCF | 41.003 | 0,004% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 84.820 | 0,008% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 2.016 | 0,000% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 271.944 | 0,026% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 2.741 | 0,000% | F | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 71.738 | 0,007% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 92.581 | 0,009% | F | |
| LGAS SHE EURO EX UK ESG FD(1848 LGIM PMC CSUF(36670) TESCO | ||||
| INDEX EQUITY TSGN (5270 | 6.005 | 0,001% | F | |
| LGAS SHF FUT WRLD ESG DEV IDX(6734) | 1.835 | 0,000% | F | |
| LGIASUPER | 22.213 | 0,002% | F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 787 | 0,000% | F | |
| LIF-LYX DIGIT ECONOMY(DR)UCITS | 43.417 | 0,004% | F | |
| LIF-LYX DISRUPTIVE TECH(DR)UC | 52.012 | 0,005% | F | |
| LIF-LYX MILLENNIALS UCITS ETF | 18.457 | 0,002% | F | |
| LIF-LYX MSC! WRL CATHOL PRINC | 4.830 | 0,000% | F | |
| LMAP 909 SUB FUND OF LMAP IRELAND ICAV | 17.127 | 0,002% | F | |
| LMAP IRELAND ICAV - LMAP 910 MAPLES CORPORATE SERVICES LTD | 7.386 | 0,001% | F |
| Anagrafica | CF/Pi | Azioni | % su votanti | Voto | |
|---|---|---|---|---|---|
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 450.000 | 0,043% | F | ||
| 299 | F | ||||
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 0,000% | ||||
| LOF GLOBAL FINTECH | 650.000 | 0,062% | F | ||
| LOF TargetNetZero Europe Equity | 4.518 | 0,000% | F | ||
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 28.413 | 0,003% | F | ||
| LONDON LGPS CIV AUTHORISED CONTRACTUAL SCHEME. | 8.678 | 0.001% | F | ||
| LORD MAYOR'S CHARITABLE FOUNDATION | 264 | 0,000% | F | ||
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM | 76 | 0,000% | F | ||
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 21.721 | 0,002% | F | ||
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW ESG (MARKET | |||||
| NEUTR | 51.090 | 0.005% | F | ||
| ILUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW SYSTEMATIC | |||||
| ALPHA | 108.717 | 0,010% | F | ||
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS (MARKET | |||||
| NEUT | 581.335 | 0.056% | F | ||
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS UCITS FUND | 846.940 | 0,081% | F | ||
| LUNA LLC | 308 | 0,000% | F | ||
| ILVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 10.855 | 0,001% | F | ||
| F | |||||
| LVIP SSGA INTERNATIONAL INDEX FUND | 83.097 | 0,008% | |||
| LYX CORE MSCI WLD(DR)UCITS ETF | 17.230 | 0,002% | F | ||
| LYX IND -LYX CORE STOXX EU 600 | 448.613 | 0,043% | F | ||
| LYX MSCI EU ESG LEADERS (DR) | 193.252 | 0,018% | F | ||
| LYXIND FD-LYX MSCI EMU GROWTH | 17.402 | 0.002% | F | ||
| Lyxor 1 STOXX Europe 600 ESG (DR) UCITS ETF | 3.791 | 0,000% | F | ||
| F | |||||
| LYXOR FTSE MIB UCITS ETF | 507.028 | 0,048% | |||
| LYXOR MSCI EUROPE UCITS ETF | 49.975 | 0.005% | F | ||
| LYXOR-MSCI EMU ESG BROD CTB | 16.875 | 0,002% | F | ||
| IM INTERNATIONAL EQUITY FUND | 3.909 | 0,000% | F | ||
| M STANLEY PATHWAY FD-INT EQ FD | 10.618 | 0,001% | F | ||
| MACK EAFE EQUITY POOL | 15.799 | 0,002% | F | ||
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 16.087 | 0,002% | F | ||
| MACKENZIE MAX DIVERSIFICATION DEVELOPED EUR INDEX ETF | 479 | 0,000% | F | ||
| MACKENZIE MAXIMUM DIVERS.ALL WORLD DEVELOPED EX NORTH AMERICA IE |
1.230 | 0,000% | F | ||
| 4.586 | F | ||||
| MACQUARIE INTERNATIONAL EQUITIES FUND | 0,000% | ||||
| MACQUARIE MULTI-FACTOR FUND | 1.278 | 0,000% | F | ||
| MACQUARIE WHOLESALE FUNDS | 1.949 | 0,000% | F | ||
| MADELEINE | 145.510 | 0.01 4% | F | ||
| MAIN I - UNIVERSAL - FONDS | 10.736 | 0,001% | F | ||
| MANAGED PENSION FUNDS LIMITED | 228.075 | 0.022% | F | ||
| MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX | |||||
| POOLED FUND | 26.418 | 0,003% | F | ||
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 5.853 | 0,001% | F | ||
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 2.872 | 0.000% | F | ||
| MARIGOLD TACTICAL STRATEGIES LTD | 2.834 | 0,000% | F | ||
| MARSHALL WACE INVESTMENT STRATEGIES - TOPS WORLD EQUITIES FU | 12.666 | 0.001% | F | ||
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O | |||||
| MARSHALL WACE IRELAND LTD. | 1.131.621 | 0,108% | F | ||
| MARSHALL WACE INVESTMENT STRATEGIES-MARKET NEUTRAL TOPS | |||||
| FUND | 874 | 0,000% | F | ||
| E | |||||
| MARSHALL WACE INVESTMENT STRATEGIES-TOPS GLOBAL EQUITIES LE | 10.320 | 0,001% | |||
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 22.036 | 0,002% | 는 | ||
| MASTER TRUST BANK OF JAPAN LTD. RE: FIDELITY EUROPE FUND | 555.055 | 0.053% | F | ||
| MASTERINVEST KAPITALANLAGE GMBH | 2.019 | 0.000% | F | ||
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 9.494 | 0,001% | F | ||
| MAZAL | 5.600 | 0,001% | F | ||
| Mazzia Paolo | 1.000 | 0,000% | F | ||
| MBB PUBLIC MARKETS I LLC | 45.375 | 0,004% | F | ||
| MBB SMART FUND C LLC | 4.184 | 0,000% | F |


| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| MWIS - TOPS DEVELOPED WORLD EQUITIES FUND | 12.176 | 0,001% | F | |
| MWIS TOPS Intl Equity Fd AC | 36.683 | 0,004% | F | |
| MWIS TOPS World EX US AC | 1 43.360 | 0,014% | F | |
| NATIO-FONDS COLLINE INTERNATIONAL | 105.073 | 0,010% | F | |
| NATIONAL BANK FINANCIAL INC | 3.691 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 5.079 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 127.284 | 0,012% | F | |
| NATIONAL PENSION INSURANCE FUND | 3.017 | 0,000% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 349.430 | 0,033% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 40.056 | 0,004% | F | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 43.81 2 | 0,004% | F | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
14.148 | 0.001% | F | |
| NBIMC EAFE EQUITY INDEX FUND. | 538 | 0,000% | F | |
| INEMOURS FOUNDATION | 471 | 0,000% | F | |
| NEUALT LLC | 9.733 | 0,001% | F | |
| NEUBERGER BERMAN ADVISERS MANAGEMENT TRUST INTERNATIONAL EQUITYPORTFOLIO |
36.909 | 0,004% | F | |
| NEUBERGER BERMAN INTERNATIONAL EQUITY FUND | 1.236.843 | 0,118% | F | |
| INEUBERGER BERMAN INTERNATIONAL SELECT FUND | 163.235 | 0,016% | F | |
| NEUBERGER BERMAN TRUST COMPANY N.A. COLLECTIVE INVESTMENT | 144.598 | 0,014% | F | |
| TRUST | ||||
| NEW AIRWAYS PENSION SCHEME | 311 | 0,000% | F | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 7.819 | 0,001% | F | |
| NEW YORK STATE COMMON RETIREMENT FUND | 32.879 | 0,003% | F | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 174.625 | 0,017% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POW |
115 | 0,000% | F | |
| INFS LIMITED | 7.193 | 0.001% | F | |
| NMTB/NIK KOKUSAI-H 935034 | 1.336 | 0,000% | F | |
| NMTB/NIK KOKUSAI-NH 935026 | 21,240 | 0,002% | F | |
| NORDEA EUROPEAN PASSIVE FUND | 9.703 | 0,001% | F | |
| NORDEA GLOBAL PASSIVE FUND | 15.946 | 0,002% | F | |
| NORDEA WORLD PASSIVE FUND | 14.068 | 0.001% | F | |
| NORGES BANK | 133.982 | 0,013% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 165.879 | 0.01 6% | F | |
| NORTHERN GLOBAL SUSTAINABILITY INDEX FUND | 34.837 | 0,003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
28.302 | 0,003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX- | 31.689 | 0,003% | F | |
| US F | ||||
| NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 29.019 84.687 |
0,003% | F F |
|
| NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST |
1.256.935 | 0,008% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 350.789 | 0,120% | F | |
| NORTHERN TRUST UCITS FGR FUND | 78.222 | 0,033% 0,007% |
F | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 4.486 | 0,000% | F | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 4.043 | 0,000% | F | |
| NSP MONTCELLO MINNESOTA RETAIL | 9.613 | 0,001% | F | |
| NT WORLD GREEN TRANSTION INDEX FUND | રેરો | 0,000% | F | |
| NICC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 199.154 | 0,019% | F | |
| NVIT INTERNATIONAL INDEX FUND | 48.821 | 0,005% | F | |
| OAKMARK INTERNATIONAL SMALL CAPFUND | 4.190.700 | 0,400% | F | |
| OHMAN MARKNAD EUROPA | 19.562 | 0,002% | F | |
| OHMAN MARKNAD GLOBAL | 17.510 | 0,002% | F | |
| OMEGA FFIP LIMITED PARTNERSHIP | 484 | 0,000% | F | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 55.215 | 0,005% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 873 | 0,000% | F | |
| orano actions zone Euro | 14.231 | 0,001% | F |
99/135

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 544.300 | 0,052% | F | |
| OSSIAM LUX | 30.81 € | 0.003% | F | |
| PANAGORA GROUP TRUST | 22.358 | 0,002% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 11.200 | 0,001% | F | |
| PCFS - EUROPE SMALL & MID CAP EQUITIES | 12.434 | 0,001% | F | |
| PCFS - PURE DYNAMIC OPPORTUNITY | 18.000 | 0,002% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 3.202 | 0,000% | F | |
| PENSION BENEFIT GUARANTY CORPORATION | 523.722 | 0,050% | F | |
| PENSION RESERVES INVESTMENT TRUST FUND | 89.803 | 0.009% | F | |
| PEOPLE'S BANK OF CHINA | 813.040 | 0,078% | F | |
| PERP PROG (ACTIONS EUROPE) | 18.856 | 0,002% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 2.126 | 0.000% | F | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 1.175 | 0.000% | F | |
| PICTET - EUROPE INDEX | 56.662 | 0,005% | F | |
| PICTET - MULTI ASSET GLOBAL OPPORTUNITIES | 7.804 | 0.001% | F | |
| PICTET CH - GLOBAL EQUITIES | 7.585 | 0.001% | F | |
| PICTET CHINSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER | 14.480 | 0,001% | F | |
| PICTET CHINSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL | 19.408 | 0,002% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER | 13.736 | 0,001% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE | 2.164 | 0,000% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS SUSTAINABLE EQUITIES TRACKER |
11.552 | 0.001% | F | |
| PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX ટી |
6.959 | 0.001% | F | |
| PICTET-EUROLAND INDEX | 31.875 | 0,003% | F | |
| PIER 21 GLOBAL GROWTH POOL | 2.05 1 | 0,000% | F | |
| PINEBRIDGE GLOBAL FUNDS | 2.973 | 0,000% | F | |
| PIR EQUITY AXA ASSICURAZIONI | 180.000 | 0,017% | F | |
| PK CSG World Equity Credit Suisse Funds AG | 17.072 | 0,002% | F | |
| PLATO INST I FUND EURO EQUITY | 13.455 | 0,001% | F | |
| PLATO INST I FUND EUROPEAN EQUITY | 25.375 | 0,002% | F | |
| Plato Instit Index Fnd World DBI-RDT | 7.029 | 0,001% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 2.618 | 0,000% | F | |
| POINT72 ASSOCIATES LLC C/O WALKERS CORPORATE LIMITED CAYMAN CORPORATE CENTRE |
1.617 | 0,000% | F | |
| Pollux | 7.940 | 0,001% | F | |
| POOL REINSURANCE CO LTD | 3.017 | 0,000% | F | |
| PORTZAMPARC OPPORTUNITES | 70.000 | 0,007% | F | |
| POSTE ITALIANE SPA | 97103880585 | 46.518.238 | 4,442% | F |
| PRESBYTERIAN CHURCH IN AMERICA TAX-SHELTERED ANNUITY PLAN | 3.630 | 0,000% | F | |
| PRESCIENT ICAV | 78.750 | 0.008% | F | |
| PREVINDAI BIL EURIZON | 5.510 | 0,001% | F | |
| PREVINDAI SVI EURIZON | 7.682 | 0,001% | F | |
| PRI MONETA BEST OF FRANCE | 300.000 | 0,029% | F | |
| PRICOS | 458.426 | 0,044% | F | |
| PRICOS DEFENSIVE | 12.368 | 0,001% | F | |
| PRICOS SRI | 15.429 | 0,001% | F | |
| PRIME SUPER | 3.513 | 0,000% | F | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 38.837 | 0,004% | F | |
| Prudential Pensions Limited | 9.143 | 0,001% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 21.782 | 0,002% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 4.332 | 0,000% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 28.531 | 0,003% | F | |
| PUBLIC EMPLOYEES' LONG-TERM CARE FUND | 773.407 | 0,074% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 160.761 | 0,015% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 4.256 | 0,000% | F | |
| PUBLIC EMPLOYEES REUISEMENT 2721EN OF MISSISSIble | 74.691 | 0,007% | F |
| Anagratica | CF/Pl | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 338.804 | 0,032% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 58.161 | 0,006% | F | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 75.658 | 0,007% | F | |
| PURE CAPITAL S.A | - | 0,000% | F | |
| PUTM AUTHORISED CONTRACTUAL SCHEME - PUTM ACS SUSTAINABLE | 197.037 | 0,019% | F | |
| INDEX EUROPEAN EQUITY FUND QIC International Equities Fund. |
3.167 | 0.000% | F | |
| QUADRATOR SRI | 316.240 | 0.030% | F | |
| QUALITY EDUCATION FUND | 1.298 | 0,000% | F | |
| QUERCUS | 212.800 | 0,020% | F | |
| ReAssure Limited | 168.803 | 0,016% | F | |
| REGARD ACT CROISSAN | 15.000 | 0,001% | F | |
| RELYENS MUTUAL INSURANCE | 182.000 | 0.017% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 5.362 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 14.241 | 0,001% | F | |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 18.676 | 0,002% | F | |
| RIZE ÜÇİTİŞ İÇAV | 16.659 | 0,002% | F | |
| RIZE UCITSICAV | 4.672 | 0,000% | F | |
| RL PREVOYANCE (ACTIONS EUROPE) | 30.683 | 0,003% | F | |
| ROBECO CAPITAL GROWTH FUNDS | 2.300.000 | 0.220% | F | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 5.419 | 0,001% | F | |
| ROPS EURO P | 74.820 | 0,007% | F | |
| ROPS-SMART INDEX EURO | 1 40.275 | 0.013% | F | |
| ROSEDENE LLC | 2.364 | 0,000% | F | |
| ROTHSCHILD MARTIN MAUREL | 64.100 | 0,006% | F | |
| IROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
94.535 | 0,009% | F | |
| RSRC ACTIONS (ACTION EURO) | 109.197 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 35.918 | 0,003% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 7.014 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 2.985 | 0,000% | F | |
| SABADELL EUROACCION, FI | 169.082 | 0,016% | F | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 10.789 | 0,001% | F | |
| SAEV MASTERFONDS INKA | 233.243 | 0,022% | F | |
| SALIX LLC | 16.859 | 0,002% | F | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 1.793 | 0,000% | F | |
| SANLAM UNIVERSAL FUNDS PLC | 8.589 | 0,001% | E | |
| SANTANDER SMALL CAPS EUROPA FI | 164.986 | 0,016% | F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 8.436 | 0,001% | F | |
| SBC MASTER PENSION TRUST | 3.934 | 0,000% | F | |
| SCHRODER INTERNATIONAL SELECTION FUND | 617.325 | 0,059% | F | |
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 93.438 | 0.009% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
19.307 | 0,002% | F | |
| SCHWAB INTERNATIONAL EQUITY ETF | 924.593 | 0,088% | F | |
| SCHWAB INTERNATIONAL INDEX FUND | 326.368 | 0,031% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 23 | 0,000% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 7.007 | 0,001% | F | |
| SCOTTA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | ર 45 | 0.000% | F | |
| ISCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND |
78.596 | 0.008% | F | |
| SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC- INTERNATIONAL EQUITY TRACKER FUND |
2.023 | 0.000% | F | |
| SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF |
3.779 | 0,000% | F | |
| SEI GL MAST FD-SEI DYN ASS ALL | 4.536 | 0,000% | F | |
| SETINSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION | ||||
| FUND SELFFINANCING POSTSECONDARY EDUCATION FUND |
15.465 337 |
0,001% | F | |
| 0,000% | FA |
ﺳﮯ


| Anagrafica | CF/Pi | Azioni | % su votanți | Voto |
|---|---|---|---|---|
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE MEUBELI | 13.947 | 0.001% | F | |
| NDUSTRIEEN MEUBILERINGSBEDRIJ | ||||
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET | 24.565 | 0,002% | F | |
| LEVENSMIDDELENBEDRIJF STICHTING BLUE SKY LIQUID ASSET FUNDS |
2.416 | 0,000% | F | |
| STICHTING CZ FUND DEPOSITARY | 7.524 | 0,001% | F | |
| STICHTING DE NATIONALE ALGEMEEN PENSIOENFONDS | 4.828 | 0,000% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 48.115 | 0,005% | F | |
| STICHTING ING CDC PENSIOENFONDS | 14.187 | 0,001% | F | |
| STICHTING NN CDC PENSIOENFONDS | 6.150 | 0,001% | F | |
| STICHTING PENSIOENFONDS ABP | 550.168 | 0,053% | F | |
| STICHTING PENSIOENFONDS APP | ୧୦ | 0,000% | F | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 22.996 | 0,002% | F | |
| STICHTING PENSIOENFONDS ING | 16.637 | 0,002% | F | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 235.898 | 0.023% | F | |
| STICHTING PENSIOENFONDS PGB | 669.836 | 0,064% | F | |
| STICHTING PENSIOENFONDS PROVISUM | 1.861 | 0,000% | F | |
| ISTICHTING PENSIOENFONDS SAGITTARIUS | 14.520 | 0,001% | F | |
| STICHTING PENSIOENFORDS UWV | 35.840 | 0,003% | F | |
| STICHTING PENSIOENFONDS WERK EN(RE) INTEGRATIE | 75.087 | 0,007% | F | |
| STICHTING PGGM DEPOSITARY | 249.041 | 0,024% | F | |
| STICHTING PHILIPS PENSIOENFORDS | 9.316 | 0,001% | F | |
| STICHTING SHELL PENSIQENFONDS | 12.901 | 0,001% | F | |
| STICHTING SPOORWEGPENSIOENFONDS | 18.829 | 0,002% | F | |
| STOCKBRIDGE FUND. L.P. | 13.545.302 | 1,293% | F | |
| STOREBRAND EUROPA PLUS | 8.021 | 0,001% | F | |
| STOREBRAND GLOBAL ALL COUNTRIES | 24.294 | 0,002% | F | |
| STOREBRAND GLOBAL PLUS | 27.552 | 0,003% | F | |
| STOREBRAND LIVSFORSIKRING AS | 20.747 | 0,002% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 12.700 | 0,001% | F | |
| STRATEGIC PARTNERSHIP FUND NB LLC | 54.624 | 0.005% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 5.474 | 0,001% | F | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 26.604 | 0,003% | F | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT |
4.528 | 0,000% | F | |
| ISUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 1.874 | 0,000% | F | |
| SUNCORP FUNDS PLY LTD | 1.896 | 0,000% | F | |
| SUNLEY HOUSECAPITAL MASTER LIMITEDPARTNERSHIP | 3.925.913 | 0,375% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL |
2.296 | 0,000% | F | |
| SWISS NATIONAL BANK | 1.966.121 | 0.188% | F | |
| SWISSLIFE BANQUE PRIVEE | 750 | 0.000% | F | |
| SYCOMORE INCLUSIVE JOBS | 132.028 | 0,013% | F | |
| SYCOMORE SOCIAL IMPACT | 745.818 | 0,071% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 28.247 | 0,003% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 30.818 | 0,003% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 5.142 | 0,000% | F | |
| TANGERINE BALANCED GROWTH PORTFOLIO | 8.954 | 0,001% | F | |
| TANGERINE BALANCED INCOME PORTFOLIO | 1.027 | 0,000% | F | |
| TANGERINE BALANCED PORTFOLIO | 7.533 | 0.001% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 11.322 | 0,001% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 9.235 | 0.001% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
34.823 | 0.003% | F | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 118.833 | 0,011% | F | |
| TD EMERALD LOW CARBON LOW VOLATILITY GLOBAL EQUITY PFT | 91 | 0,000% | F | |
| TD EUROPEAN INDEX FUND . | 3.643 | 0,000% | F | |
| TD GLOBAL TECHNOLOGY LEADERS INDEX ETF | 34.180 | 0.003% | F | |
| TD INTERNATIONAL EQUITY INDEX ETF | 33.963 | 0.003% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 15.022 | 0,001% | F |
103/135

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| TEACHER RETIREMENT SYSTEM OF TEXAS | ﺍﻟﻤﺴﺘﻘﻠﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘ | 0,000% | F | |
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | l | 0,000% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 55.338 | 0.005% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 22.973 | 0,002% | F | |
| TELSTRA SUPERANNUATION SCHEME | 15.075 | 0,001% | F | |
| Terrail Remi Francois Marie | 28.000 | 0,003% | F | |
| TEXAS PERMANENT SCHOOL FUND CORPORATION | 1 49 .203 | 0,01 4% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 3.864 | 0,000% | F | |
| TEXTRON INC MASTER TRUST | 1.7925 | 0.000% | F | |
| THE ALPHAGEN MULTI-STRATEGY MASTER FUND LIMITED | 125.095 | 0,012% | F | |
| THE AMERICAN UNIVERSITY IN CAIRO | 5.855 | 0,001% | F | |
| THE BANK OF KOREA | 46.012 | 0,004% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 93.377 | 0,009% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN |
232.344 | 0.022% | F | |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 53.840 | 0,005% | F | |
| THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 335.500 | 0,032% | F | |
| THE CAPTIVE INVESTORS FUND | 279.922 | 0,027% | F | |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 6.200 | 0,001% | F | |
| THE ENDEAVOUR II FUND. | 1.125 | 0,000% | F | |
| THE ESB PENSION FUND | 12.963 | 0,001% | F | |
| THE FUNDO DE PENSOES | 4.265 | 0,000% | F | |
| THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT PLANS MASTER TRUST |
177 | 0,000% | F | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | રૂકર્દ | 0.000% | F | |
| THE INCUBATION FUND LTD | 75 | 0,000% | F | |
| THE JUPITER GLOBAL FUND SICA V | 1.419.382 | 0,136% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND |
13.041 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND |
1.175 | 0,000% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND |
54.542 | 0,005% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL |
52.350 | 0.005% | F | |
| THE MASTER TRUST BANK OF JAPAN. LTD. AS TRUSTEE FOR | 18.407 | 0.002% | F | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX |
276 | 0,000% | F | |
| MOTHER FUND THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 |
2.080 | F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021 492 | 15.187 | 0,000% 0,001% |
F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 43.848 | 0,004% | F | |
| 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 |
4.644 | 0,000% | F | |
| HEDGED) (PRIVATELY PLACED INVESTMENT T THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X |
71.485 | 0,007% | F | |
| (JPY HEDGED) (PRIVATELY PLACED INVEST | 9.265 | 0,001% | F | |
| THE NEMOURS FOUNDATION PENSION PLAN THE PENSION BOARDS-UNITED CHURCH OF CHRIST INC. |
1.488 | 0.000% | F F |
|
| 2.372 | 0,000% | |||
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 20.280 | 0,002% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA THE REGENTS OF THE UNIVERSITY OF CALIFORNIA |
2.637 | 0,000% | F | |
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 8.276 598.298 |
0,001% 0,057% |
F F |
|
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 75.774 | 0,007% | F | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 11.516 | 0,001% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 16.243 | 0,002% | F | |
| THEAM QUANT - EQUITY EUROPE DEFI | 45.625 | 0,004% | F | |
| THEAM QUANT- EQUITY WORLD GLOBAL GOALS | 227.411 | 0,022% | F | |
| THEAM QUANT- MULTI ASSET DIVERSIFIED DEFENSIVE | 213.275 | 0,020% | ﺎﺕ | |

| Anagrafica | CF/PI | Azioni | % su votanți Voto | |
|---|---|---|---|---|
| THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 6.454 | 0,001% | E | |
| THREADNEEDLE (LUX | 14.133 | 0,001% | F | |
| THREADNEEDLE (LUX) | 1.444.177 | 0,138% | F | |
| THREADNEEDLE (LUX) COLUMBIA THREADNEEDLE INVESTMENTS | 1.108.491 | 0, 106% | F | |
| THREADNEEDLE (LUX). | 1.746.641 | 0.167% | F | |
| THREADNEEDLE INVESTMENT FUNDS ICVC | 2.366.558 | 0,226% | F | |
| THRIFT SAVINGS PLAN | 2.030.151 | 0,194% | F | |
| THRIFT SAVINGS PLAN | 496.824 | 0,047% | F | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 6.361 | 0,001% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP. | 383 | 0,000% | F | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 758.957 | 0,072% | F | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 15.344 | 0,001% | F | |
| TODD INVEST | 20.000 | 0.002% | F | |
| TONI ACTIONS ISR 100 | 59.646 | 0,006% | F | |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV |
40.392 | 0.004% | F | |
| TOUCHSTONE STRAT TR INT GRW FD | 139.390 | 0,013% | F | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 2.832 | 0,000% | F | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 6.392 | 0,001% | F | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 131.858 | 0,013% | F | |
| TRINITY COLLEGE CAMBRIDGE | 13.071 | 0,001% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION | 25.701 | 0,002% | F | |
| INVESTMENT FUND TRUST NUMBER 10 TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION |
||||
| INVESTMENT FUND TRUST NUMBER 21 | 4.020 | 0,000% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NÜMBER 3 |
48.993 | 0,005% | F | |
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 |
1.453 | 0,000% | F | |
| TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIÓ | 26.039 | 0,002% | F | |
| TSGX SOLACT ESG TBACO EX UNHG (3387) | 6.802 | 0,001% | F | |
| TWU Superannuation Fund | 7.249 | 0,001% | F | |
| JUAPF - BLACK ROCK PASSIVE EQUITY | 1.976 | 0,000% | F | |
| UBAM | 120.244 | 0,011% | F | |
| UBS (IRL) ETF PLC - S&P 500 ESG UCITS ETF (ENGLISH) | 35.598 | 0,003% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 75.229 | 0,007% | F | |
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 255.943 | 0,024% | F | |
| UBS ASSET MANAGEMENT LIFE LTD | 62.367 | 0,006% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH | 22.995 | 0,002% | F | |
| INVESTINSTITUTIONAL FUN | ||||
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 192.919 | 0,018% | F | |
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 271.411 | 0,026% | F | |
| UBS GLOBAL EQUITY CLIMATE TRANSITION FUND | 5.734 | 0,001% | F | |
| UBS IQ MSCI WORLD EX AUSTRALIA ETHICAL ETF | 542 | 0,000% | F F |
|
| UBS LUX FUND SOLUTIONS UI |
1.393.298 163.000 |
0,133% | F | |
| UI-FONDS BAV RBI AKTIEN | 67.490 | 0,016% 0,006% |
F | |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 2.909 | 0,000% | F | |
| UNITED NATIONS JOINT STAFF PENSION FUND. | 320.000 | 0.031% | F | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 2.830 | 0,000% | F | |
| UNITED SERVICES AUTOMOBILE ASSOCIATION | 4.305 | 0,000% | F | |
| UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | ||||
| MASTER TRU | 150.967 | 0,01 4% | F | |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS |
29.013 | 0,003% | F | |
| UNIVERSAL INVESTMENT GMBH | 55.000 | 0,005% | F | |
| Universal-Investment-Gesellschaft mbH | 496.139 | 0,047% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN- ul-Fonds |
2.295 | 0,000% | F |
105/135
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF FEHO- | 40.000 | 0.004% | F | |
| UNIVERSAL-FONDS | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO | 38.900 | 0,004% | F | |
| AKTIEN PROTECT ESG UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF UNIVERSAL |
||||
| CA V | 41.255 | 0,004% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VE- | ||||
| UNIVERSAL-FONDS | 125.000 | 0,012% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB- | ||||
| UNIVERSAL-FONDS | 1.387 | 0,000% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH W/ZEIT-UNIVERSAL-FONDS | 35.000 | 0.003% | F | |
| W/SEGMENT AKTIEN EUROPA DWS | ||||
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 2.864 | 0.000% | F | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 63.019 | 0,006% | F | |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR UIFONDS AKTIEN | 3.797 | 0,000% | F | |
| WORLD ESG | ||||
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO | 46.890 | 0,004% | F | |
| F | ||||
| UNIVERSITIES SUPERANNUATION SCHEME | 58.179 | 0,006% | ||
| UNIVERSITY OF NOTRE DAME | 9.772 | 0.001% | F | |
| UPS GROUP TRUST | 22.870 | 0,002% | F | |
| US PROVINCE MISSIONARY OBLATES-SERVICE TRUST | 22.095 | 0,002% | F | |
| USAA CASUALTY INSURANCE COMPANY | 7.276 | 0.001% | P | |
| USAA GENERAL INDEMNITY COMPANY | 3.879 | 0,000% | 6 | |
| UTAH STATE RETIREMENT SYSTEMS | 73.977 | 0,007% | F | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDYGTIGE EUROPA KL | 6.87 1 | 0,001% | F | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDY GTIGE GLOBALE AKTIER ETIK KL ID SPARINVEST AS FILIAL AF SP |
12.288 | 0,001% | F | |
| VALIC COMPANY 1 - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 9.646 | 0,001% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 4.278.321 | 0,409% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 10.118 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 106.156 | 0.010% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX | ||||
| FUND | 39.993 | 0,004% | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 1.184.964 | 0,113% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
78.739 | 0,008% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
446.905 | 0.043% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | ||||
| INTERNATIONAL STOCK MARKET INDEX TRUST II | 3.362.582 | 0,321% | F | |
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 1.117.746 | 0,107% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 73.428 | 0,007% | F | |
| VANGUARD FISE DEVELOPED EUROPE ALL CAP INDEX ETF | 6.077 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 520.551 | 0.050% | F | |
| VANGUARD GLOBAL VALUE EQUITY FUND | 48.723 | 0.005% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 236.577 | 0,023% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 12.719 | 0.001% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 640.118 | 0,061% | F | |
| VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FISE DEV EUR EX UK CCF |
18.378 | 0.002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE DEVELOPED WRLD CMMN CONT FD |
12.353 | 0.001% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE | 10.854 | 0.001% | F | |
| DVLPD WRLD EX UK CMN CNT FD VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FISE DEVELOPED |
||||
| WOR LD EX - U.K. EQUITY | 165.382 | 0,016% | F | |
| VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (8) CCF |
21.319 | 0.002% | F |
| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FISE DEVELOPED | 21.896 | 0,002% | F | |
| EUROPE II CCF | ||||
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED | 8.949 | 0,001% | F | |
| WORLD II CCF | ||||
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 7.320.821 | 0,699% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 294.414 | 0,028% | F | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 34.610 | 0,003% | F | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX | 13.635 | 0,001% | F | |
| PORTFOLIO | ||||
| VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE | 37.183 | 0.004% | F | |
| VELLIV, PENSION & LIVSFORSIKRING A/S | 275.777 | 0,026% | F | |
| VENDOME SELECTION EUR | 74.644 | 0.007% | F | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 27.084 | 0,003% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 80.077 | 0,008% | F | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 23.130 | 0.002% | F | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 6.364 | 0,001% | F | |
| VGV POOLFONDS PAI | 1 4.631 | 0,001% | F | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 7.143 | 0,001% | F | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 13.341 | 0,001% | F | |
| VIF ICVC VANGUARD FISE DEVELOPED EUROPE EXUK EQUITY INDEX | 293.335 | F | ||
| FUND | 0,028% | |||
| VIF ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 25.562 | 0,002% | F | |
| VILLERS DIAPASON | 90.883 | 0,009% | F | |
| VIRGINIA C. MARS REVOCABLE TRUST DATED AUGUST 6 1991 | 262 | 0,000% | F | |
| VIRGINIA TECH FOUNDATION INC | 2.251 | 0,000% | F | |
| VISION FUND - EUROPE GROWTH | 116.984 | 0,011% | F | |
| VIVACCIO ISR ACTIONS | 181.200 | 0,017% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 39.654 | 0.004% | F | |
| VOYA VACS INDEX SERIES I PORTFOLIO | 42.532 | 0,004% | F | |
| VR BANK KITZINGEN EG EURO CONTROL NACHHALTIG | 39.290 | 0.004% | F | |
| WALLACE H COULTER FOUNDATION | 3.730 | 0,000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 21 2.87 1 | 0,020% | F | |
| WESPATH FUNDS TRUST | 2.329 | 0.000% | F | |
| WESTPAC WHOLESALE INTERNATIONAL SHARE NO. 3 TRUST | 3.012 | 0,000% | F | |
| WHEELS COMMON INVESTMENT FUND. | 2.617 | 0,000% | F | |
| WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 409 | 0,000% | F | |
| WILMINGTON INTERNATIONAL FUND | 32.422 | 0,003% | F | |
| WINDWISE MSCI EAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 20.821 | 0.002% | F | |
| WISDOMIREE INTERNATIONAL EFFICIENT CORE FUND | 647 | 0.000% | F | |
| WORLD EQUITIES | 886 | 0,000% | F | |
| WORLD TRADE ORGANIZATION PENSION PLAN | 6.366 | 0,001% | F | |
| WYOMING RETIREMENT SYSTEM | 4.570 | 0,000% | F | |
| XANTIUM PARTNERS LP C/O MAPLES CORPORATE SERVICES LIMITED | ર્ટન | 0,000% | F | |
| XTRACKERS | 605.345 | 0,058% | F | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 641.291 | 0.06 1 % | F | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 3.229 | 0,000% | F | |
| XTRACKERS MSCI EAFE ESG LEADERS EQUITY ETF | 2.910 | 0,000% | F | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 158.878 | 0,015% | F | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 25.317 | 0,002% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 2.809 | 0,000% | F | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 6.823 | 0,001% | F | |
| YALE UNIVERSITY | 2.716.015 | 0,259% | F | |
| YOUNG MENS CHRISTIAN ASSOCIATION RETIREMENT FUND | 87.501 | 0,008% | F | |
| ZEPHYR - EUROPE EQUITY ESG OPTIMIZED | 3.069 | 0,000% | F | |
| ZEPHYR - OPTIMISED PLUS 1 | 7.792 | 0,001% | F | |
| ZEPHYR - OPTIMISED PLUS 2 | 14.156 | 0,001% | F | |
| ZURICH INSURANCE PLC | 69.707 | 0,007% | F | |
| ZURICH INVEST ICAV | 67.066 | 0,006% | u |
107/135

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| Zwitserleven Institutionele Beleggingsfondsen - Zwitserleven Duurzaam Index Aandelenfonds Europa |
15.339 | 0.001% | F | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 1.645 | 0.000% | ||
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 34.216 | 0.003% | C | |
| HC RENTE | 3.500 | 0.000% | C | |
| OFI INVEST ESG EURO EQ SM BETA | 36.233 | 0.003% | C | |
| SIEMENS BALANCED | 13.658 | 0.001% | C | |
| SIEMENS EMU EQUITIES | 41.519 | 0.004% | C | |
| SIEMENS-FONDS SIEMENS-RENTE | 72.260 | 0.007% | ||
| WEST YORKSHIRE PENSION FUND | 75.000 | 0.007% | ||
| ADASINA SOCIAL JUSTICE ALL CAP GLOBAL ETF | 7.194 | 0.001% | A | |
| DS LIQUID DIV RVA MEL LLC | 3.988 | 0,000% | A |
Totale votanti
1.047.318.764 100%
C - F O S P O S P O S P O S P O S - P O S - P O S - P O S - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O - P O
Assemblea ordinaria 04 maggio 2023 NEXI
Punto 4
Nomina di un Amministratore per integrazione del Consiglio di dimissioni e successiva cooptazione. Deliberazioni inerenti e conseguenti.
| 1.047.318.764 1.047.318.764 Azioni per le quali il RD dispone di istruzioni per l'OdG in votazione (quorum deliberativo): Quorum costitutivo assemblea |
n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale |
|---|---|---|---|
| 100% | 79.848% | ||
| 100.000% | 79.848% | ||
| non disponeva di istruzioni: Azioni per le quali il RD |
0.000% | 0.000% |
| azion 0. |
% partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevolé | 1.044.242.386 | 99.706% | 79,614% |
| Contrario | 3.065.196 | 0.293% | 0,234% |
| stenuto | 11.182 | 0,001% | 0,001% |
| 1.047.318.764 | 100.000% | 79,848% |

109/135

NEXI Assemblea ordinaria 04 maggio 2023
Punto 4
Nomina di un Amministratore per integrazione del Consiglio di Amministrazione a seguito di dimissioni e successiva cooptazione. Deliberazioni inerenti e conseguenti.
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato nella persona della Dott.ssa Claudia Ambrosini
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| 1895 FONDS FGR | 166.197 | 0.016% | F | |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 684 | 0.000% | F | |
| 1975 IRREV TRUST OF C D WEYERHAEUSER | 1.328 | 0.000% | F | |
| 3 BANKEN-GENERALI GH STOCK | 21.300 | 0,002% | F | |
| 3 BANKEN-GENERALI GL STOCK | 202.200 | 0.019% | F | |
| 3 BANKEN-GENERALI GNL STOCK | 83.200 | 0.008% | F | |
| 801 INVESTMENTS LLC | 483 | 0,000% | F | |
| AA SSGA Actions Indice Euro | 90.849 | 0,009% | F | |
| AB Europe (Luxembourg) Investment S.a r.l. | 52.678.731 | 5,030% | F | |
| AB SICAV III-DYN ALL MKT PORTF | 1.567 | 0.000% | F | |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL | 1.623 | 0,000% | F | |
| LOCATION PORTFOLIO | ||||
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 6.113 | 0.001% | F | |
| ABB PENSION FUND | 1.006 | 0.000% | F | |
| ABERDEEN INVESTMENT FUNDS UK ICVC II - ABERDEEN EUROPEN EQUITY | 29.562 | 0.003% | F | |
| TRACKER FUND | ||||
| ABN AMRO FUNDS | 9.586 | 0.001% | F | |
| ACOMEA EUROPA | 81.000 | 0.008% | F | |
| ACOMEA GLOBALE GLOBALE | 32.000 | 0,003% | F | |
| ACOMEA ITALIA | 150.000 | 0,014% | F | |
| ACOMEA MULTIFUND - PATRIMONIO AGGRESSIVO | 20.000 | 0,002% | F | |
| ACOMEA SGR MULTIFUND PATRIMONIODINAMICO | 17.000 | 0,002% | F | |
| ACS 30:70 GLOBAL EQUITY TRACKER FUND | 1.138 | 0.000% | F | |
| ACTIAM BF ASIFEW | 2.257 | 0,000% | F | |
| ACTIAM Duurzaam Index Aandelenfonds Europa | 80.916 | 0,008% | F | |
| ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 18.166 | 0,002% | F | |
| ACTIAM Sustainable Index Fund Equity Europe | 10.779 | 0,001% | F | |
| ADVANCE PLANNING LIMITED | 2.089 | 0,000% | F | |
| ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 1.567 | 0,000% | F | |
| AEGON CUSTODY B.V | 6.032 | 0.001% | F | |
| AEGON CUSTODY B.V. | 133.041 | 0,013% | F | |
| AIB GROUP IRISH PENSION SCHEME | 18.929 | 0,002% | F | |
| ALASKA COMMON TRUST FUND | 19.353 | 0.002% | F | |
| ALASKA PERMANENT FUND CORPORATION | 6.976 | 0,001% | F | |
| ALBERTA INVESTMENT MANAGEMENT CORPORATION | 57.200 | 0,005% | F | |
| ALJACK2 | 17.000 | 0,002% | F | |
| ALLEANZA ASSICURAZIONI SPA | 984.103 | 0,094% | F | |
| ALLIANZ AZIONI ITALIA ALL STARS LL STARS LL STARS | 420.000 | 0,040% | F | |
| ALLIANZ EUROPEAN PENSION INVESTMENTS | 1.062.586 | 0.101% | F | |
| ALLIANZ GLOBAL INVESTORS FUND | 644.378 | 0.062% | F | |
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGIFONDS HPT | 88.868 | 0,009% | F |
| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ALLIANZ GLOBAL INVESTORS GMBH FOR ALLIANZGI-FONDS SFT MASTER | 774 | 0.000% | F | |
| ALLIANZ INTERNATIONAL INVESTMENT FUNDS - ALLIANZ THEMATICA | ||||
| FUND | 6.768 | 0.001% | F | |
| ALLIANZ ITALIA 50 SPECIAL | 17,000 | 0,002% | F | |
| Allianz Selection European Equity Dividend ALLIANZGI S AKTIEN |
7.935 18.525 |
0,001% | F | |
| ALLIANZGI-FONDS DSPT | 19.166 | 0,002% 0,002% |
F F |
|
| ALM ACTIONS EURO | 113.126 | 0,011% | F | |
| ALMEGLIO - FONDO PENSIONE APERTO ALLEANZA A CONTRIBUZIONE | 8.564 | 0,001% | F | |
| DEFINITA | ||||
| ALPHA UCITS SICAV - AMBER EQUITY FUND | 40.000 | 0,004% | F | |
| AM SF-EUR EQU OPT VOLAT AMERICAN BUREAU OF SHIPPING |
105.068 | 0,010% | F | |
| 1.355 | 0,000% | F | ||
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 13.406 | 0.001% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 1.732 | 0.000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL | 310 | 0.000% | F | |
| EQUITY ETF AMERICAN ELECTRIC POWER MASTER RETIREMENT TRUST |
43.899 | 0,004% | F | |
| AMERICAN ELECTRIC POWER SYSTEM RETIREE MEDICAL TRUST FOR CE S | 10.400 | 0,001% | F | |
| 1.707 | F | |||
| AMERICAN HEART ASSOCIATION, INC. AMERICAN STEADFAST LP |
273.568 | 0,000% 0.026% |
F | |
| AMP INTERNATIONAL EQUITY INDEX FUND | 49.889 | 0,005% | F | |
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 3.646 | 0,000% | F | |
| AMP WHOLESALE GLOBAL EQUITIES FUND | 2.723 | 0,000% | F | |
| AMUNDI ETF ICAV - AMUNDI S&P GLOBAL INFORMATION | 17.897 | 0,002% | F | |
| TECHNOLOGY ESG UCITS ETF | 30.229 | 0.003% | F | |
| AMUNDI EURO ISTOXX CLIMATE PARIS ALIGNED PAB AMUNDI FISE MIB |
114.628 | 0,011% | F | |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 6.479 | 0,001% | F | |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 69.313 | 0,007% | F | |
| AMUNDI FUNDS EUROLAND EQUITY | 4.530.596 | 0,433% | F | |
| AMUNDI FUNDS TOP EUROPEAN PLAYERS | 1.300.369 | 0,124% | F | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 19.321 | 0,002% | F | |
| AMUNDI INDEX MSCI EUROPE | 213.413 | 0,020% | F | |
| AMUNDI INDEX MSCI JAPAN | 15.790 | 0,002% | F | |
| AMUNDI INDEX MSCI WORLD | 54.674 | 0,005% | F F |
|
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 1.998 4.889 |
0,000% 0,000% |
F | |
| AMUNDI INDEX SQLUTIONS - AMUNDI PRIME GLOBAL AMUNDI MSCI EMU ESG Leaders Select |
571.923 | 0,055% | F | |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 6.918 | 0,001% | F | |
| AMUNDI MSCI EUROPE | 49.384 | 0,005% | F | |
| AMUNDI MSCI EUROPE ESG LEADERS SELECT | 9.969 | 0,001% | F | |
| AMUNDI MSCI EUROPE ESG UNIVERSAL SELECT | 710 | 0,000% | F | |
| AMUNDI MSCI EUROPE EX SWITZERLAND | 49.385 | 0,005% | F | |
| AMUNDI MSCI EUROPE EX UK | 200 | 0,000% | F | |
| AMUNDI MSCI WORLD ESG LEADERS SELECT | 10.170 | 0,001% | F | |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 1.466 | 0,000% | F | |
| AMUNDI PATRIMOINE | 137.720 | 0,013% | F | |
| AMUNDI PATRIMOINE PEA | 179.696 12.303 |
0,017% | F F |
|
| AMUNDI PRIME EUROZONE AMUNDI RENDEMENT PLUS |
45.531 | 0,001% 0,004% |
F | |
| AMUNDI SGR SPA / AMUNDI RISPAR MIO ITALIA | 90.594 | 0,009% | F | |
| AMUNDI STOXX EUROPE 600 | 43.516 | 0,004% | F | |
| AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | 6.135 | 0,001% | F | |
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | રેસ્ડે | 0,000% | F | |
| AMUNDI TRANSMISSION ACTIONS | 3.616 | 0,000% | F | |
| AP ACTIONS I EURO | 24.175 | 0,002% |
11

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ARGENTA-FUND FINANCE DYNAMIC | 318.159 | 0,030% | F | |
| ARIZONA PSPRS TRUST | 90.115 | 0,009% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 162.447 | 0.01 6% | F | |
| ARRCO QUANT 1 | 55.476 | 0,005% | F | |
| ASIAN DEVELOPMENT BANK | 286 | 0,000% | F | |
| ASSET MANAGEMENT EXCHANGE UCITS CCF | 24.969 | 0,002% | F | |
| ASSICURAZIONI GENERALI SPA | 2.496 | 0,000% | F | |
| ASSURDIX | 64.034 | 0,006% | F | |
| ATCP-UI-FONDS | 2.298 | 0.000% | F | |
| AURION GLOBAL EQUITY FUND | 1.946 | 0,000% | F | |
| AUSTRALIAN CAPITAL TERRITORY | 11.451 | 0,001% | F | |
| AUSTRALIAN RETIREMENT TRUST | 382.064 | 0.036% | F | |
| AUSTRALIANSUPER | 3.371 | 0,000% | F | |
| AVALON PORTFOLIÓ II LLC | 1.581 | 0,000% | F | |
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS | 11.529 | 0,001% | F | |
| INTERNATIONAL INDEX TRACKING FUND | ||||
| Aviva Investors Passive Funds ACS - Al 30:70 Global Equity (Currency | 5.531 | 0.001% | F | |
| Hedged) Index Fund Aviva Investors Passive Funds ACS - Al 50:50 Global Equity Index Fund |
60.344 | 0.006% | F | |
| Aviva Investors Passive Funds ACS - Al 60:40 Global Equity Index Fund | 24.203 | 0,002% | F | |
| Aviva Investors Passive Funds ACS - Al Continental European Equity Index Fund |
96.752 | 0,009% | F | |
| Aviva Investors Passive Funds ACS - Al Developed European ex UK | 113.221 | 0.011% | F | |
| Equity Index Fund Aviva Investors Passive Funds ACS - Al Developed World ex UK Equity |
||||
| Index Fund | 37.896 | 0,004% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND I |
733 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND II |
3.568 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND 111 |
2.878 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- ASSET CORE FUND IV |
2.260 | 0,000% | F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI- | 1.279 | 0.000% | F | |
| ASSET CORE FUND V Aviva Investors UK Fund Services Limited |
||||
| AVIVA LIFE & PENSIONS IRELAND DAC | 86.285 | 0,008% | F | |
| 42.739 | 0.004% | F | ||
| AVIVA LIFE & PENSIONS UK LIMITED AWARE SUPER |
1.098.996 | 0,105% | F | |
| 2.421 | 0,000% | F | ||
| AXA AA DIVERSIFIE INDICIEL 1 AXA EURO VALEURS RESPONSABLES |
35.81 € | 0,003% | F | |
| 453.000 | 0,043% | F | ||
| AXA IM EQUITY TRUST AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CHJ |
1 44.000 | 0,01 4% | F | |
| STRATEGY FUND - ECONOMIC | 228.383 | 0,022% | F | |
| AXA Investment Managers UK Limited | 184.722 | 0,018% | F | |
| AXA MPS FINANCIAL DESIGNATED ACTIVITY CO | 660.000 | 0,063% | F | |
| AXA VALEURS EURO | 275.000 | 0,026% | F | |
| AXA Vorsorge Fonds II Equities Global Markets Credit Suisse Funds AG | 25.187 | 0,002% | F | |
| AXA WORLD FUNDS | 2.810.000 | 0,268% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 844.200 | 0,081% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 37.000 | 0,004% | F | |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 675.500 | 0,064% | F | |
| AZ FUND 1-AZ ALLOCATION-LONG TERM EQUITY OPPORTUNITIES | 278.010 | 0,027% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 99.000 | 0,009% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 661 .500 | 0,063% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 14.213 | 0,001% | F | |
| AZL INTERNATIONAL INDEX FUND | 44.818 | 0,004% | le | |
| B BENZEKRI FÜND | 11.400 | 0,001% | F | |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 10.622 | 0.001% | ﮯ |

| BASSWOOD INTERNATIONAL FUND LP | 23.075 | 0,002% | F |
|---|---|---|---|
| BASSWOOD INTERNATIONAL FUND LTD. C/O IMS FUND SERVICES | 10.447 | 0.001% | F |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LP. | 3.090 | 0,000% | F |
| BASSWOOD INTERNATIONAL LONG ONLY FUND LTD. C/O | |||
| INTERNATIONAL MGMT. SERVICES LTD. | 9.971 | 0,001% | F |
| BATI ACTION OPTIMUM | 175.000 | 0,017% | F |
| BBH (LUX) SCA CUSTODIAN FOR FIDELITY ACTIVE STRATEGY EUROPE FUND |
1.600.274 | 0.153% | F |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 4.703 | 0,000% | F |
| BDF FONDS E ACTIONS EUROPEENNES | 36.090 | 0,003% | F |
| BEAT DRUGS FUND ASSOCIATION | 548 | 0,000% | F |
| BEL EQUITY EUROPE ESG | 125.798 | 0,012% | F |
| BELLSOUTH CORP RFA VEBA TRUST | 8.303 | 0,001% | F |
| BERESFORD FUNDS ICAV | 1.627 | 0,000% | F |
| BEST BUSINESS MODELS SRI | 2.400.000 | 0,229% | F |
| Best Investment Corporation | 3.907 | 0,000% | F |
| BESTSELECT - UBS SRI GLOBAL EQUITY | 4.402 | 0,000% | F |
| BETAMAX EUROPE | 7.101 | 0,001% | F |
| BFT EURO Futur ISR | 57.000 | 0,005% | F |
| BG MASTER FUND ICAV. | 119.143 | 0,011% | F |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREE |
17.503 | 0.002% | F |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 77.982 | 0,007% | E |
| BLACKROCK CDN MSCI ACWIEX-CANADA INDEX FUND | 10.530 | 0,001% | F |
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 234.113 | 0,022% | F |
| BLACKROCK CDN WORLD INDEX FUND | 34.116 | 0,003% | F |
| BLACKROCK FUND MANAGERS LTD | 46.141 | 0.004% | F |
| BLACKROCK FUNDS I ICAV | 6.095 | 0,001% | F |
| BLACKROCK FUTURE FINANCIAL AND TECHNOLOGY ETF | 12.949 | 0,001% | F |
| BLACKROCK GLOBAL FUNDS | 234.661 | 0,022% | F |
| BLACKROCK GLOBAL INDEX FUNDS | 33.336 | 0,003% | F |
| BLACKROCK INDEX SELECTION FUND | 180.267 | 0.017% | F |
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | ୧3:968 | 0,006% | F |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDFOR EMPLOYEE BENEFIT TRUSTS |
34.315 | 0,003% | F |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
4.494.237 | 0,429% | F |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. |
7.615 | 0.001% | F |
| BLACKROCK LIFE LIMITED | 16.576 | 0.002% | F |
| BLACKROCK LIFE LTD | 59.693 | 0.006% | F |
| BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. |
7.261 | 0,001% | F |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 132.675 | 0,013% | F |
| BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 61.287 | 0,006% | F |
| BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND UMITED |
79.228 | 0,008% | F |
| BLACKWELL PARTNERS LLC - SERIE E C/O CORPORATION SERVICE COMPANY |
14.171 | 0.001% | F |
| BMO MSCI EAFE ESG LEADERS INDEXETF | 4.179 | 0,000% | F |
| BMO MSCI EAFE INDEX ETF | 226.369 | 0,022% | F |
| BMO MSCI FINTECH INNOVATION INDEX ETF | 1.130 | 0,000% | F |
| BMO MSCI INNOVATION INDEX ETF | 1.042 | 0,000% | F |
| BMO MSCI NEXT GEN INTERNET INNOVATION INDEX ETF | 270 | 0,000% | F |
| BNP PARIBAS ACTIONS PME ETI ISR | 629.075 | 0,060% | F |
| BNP PARIBAS ACTIONS PME ISR | 507.108 | 0,048% | F |
113/135
Anagrafica
BANK OF BOTSWANA.
BANSABADELL 18 FP
BANK OF KOREA
BANCOPOSTA EQUITY ALL COUNTRY

| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| BNP PARIBAS EASY - ESG EUROZONE BIODIVERSITY LEADERS PAB | 40.408 | 0,004% | F | |
| BNP PARIBAS EASY - ESG QUALITY EUROPE | 323.657 | 0.031 % | F | |
| BNP PARIBAS EASY - MSCI EUROPE EX CW | 69.112 | 0,007% | F | |
| BNP PARIBAS EASY - MSCI WORLD ESG FILTERED MIN TE | 1.217 | 0,000% | F | |
| BNP PARIBAS FUNDS - EUROPE GROWTH | 184.417 | 0,018% | F | |
| BNP PARIBAS TECHNOLOGIES EUROPE ISR | 332.139 | 0.032% | F | |
| BNP PARIBAS VALEURS EURO ISR | 544.506 | 0,052% | F | |
| BNP S BETA/LOT133/FRR10E | 773.032 | 0,074% | F | |
| BNY MELLON INTERNATIONAL EQUITY ETF | 24.813 | 0.002% | F | |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 14.148 | 0,001% | F | |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 5.191 | 0,000% | F | |
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 26.630 | 0,003% | F | |
| BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 11.669 | 0,001% | F | |
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN | 2 | 0,000% | F | |
| AMERICA | ||||
| BOC PRUDENTIAL EUROPEAN EQUITY FUND | 10.897 | 0,001% | F | |
| BOC PRUDENTIAL EUROPEAN INDEX FUND | 46.435 | 0,004% | F | |
| BOC PRUDENTIAL GLOBAL EQUITY FUND | 19.187 | 0,002% | F | |
| BRIDGE BUILDER INT EQUITY FUND | 30.000 | 0,003% | F | |
| BRIDGE BUILDER TAX MNG INT EQ | 2.877 | 0,000% | F | |
| BRIDGEWATER PURE ALPHA EURO FUND LTD | 771 | 0.000% | F | |
| BRIDGEWATER PURE ALPHA FUND III, LTD. | 7.276 | 0,001% | F | |
| BRIDGEWATER PURE ALPHA STERLING FUND LTD | 2.100 | 0,000% | F | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY II LTD. | 112.739 | 0.011% | F | |
| BRIDGEWATER PURE ALPHA TRADING COMPANY LTD | 12.068 | 0,001% | F | |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO |
78.525 | 0,007% | F | |
| BRIGHTHOUSE FUNDS TRUST II METIFE MSCI EAFE INDEX PORTFOLIO | 32.431 | 0,003% | F | |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 1.645 | 0,000% | F | |
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 9.460 | 0,001% | F | |
| BS PENTAPENSION EMPRESA | 1.520 | 0,000% | F | |
| BT INTERNATIONAL SHARES INDEX FUND | 35.914 | 0,003% | F | |
| BUMA-UNIVERSAL-FONDS I | 58.288 | 0,006% | F | |
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 8.041 | 0,001% | F | |
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 14.441 | 0,001% | F | |
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 16.613 | 0,002% | F | |
| BW DMO FUND, LTD | 8.491 | 0,001% | F | |
| BW PASPG LTD | 399 | 0,000% | F | |
| BWM PA 24 LTD | 2.843 | 0,000% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 536.239 | 0,051% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 1.007 | 0,000% | F | |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 27.214 | 0,003% | F | |
| CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 4.21 1 | 0,000% | F | |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 333.485 | 0,032% | F | |
| CAPULA TAIL RISK MASTER FUND LIMITED | 563 | 0,000% | F | |
| CARBP DIVERSIFIE ACTION EURO | 21.619 | 0,005% | F | |
| CARPIMKO ACTIONS LO | 500.000 | 0,048% | F | |
| CARROLL AVENUE PARTNERS LLC | 203 | 0,000% | F | |
| CATERPILLAR INC. GROUP INSURANCE PLAN TRUST. | 33.787 | 0,003% | F | |
| CATERPILLAR INC. MASTER RETIREMENT TRUST | 262.331 | 0,025% | F | |
| CATERPILLAR INVESTMENT TRUST. | 252.161 | 0,024% | F | |
| CATHOLIC COMMUNITY FOUNDATION OF MINNESOTA | 3.564 | 0,000% | F | |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 2.628 | 0,000% | F | |
| CDC CROISSANCE | 278.908 | 0,027% | F | |
| CDP EQUITY INVESTIMENTI SPA | 108.542.556 | 10,364% | F | |
| CDP EQUITY SPA | 69.401.443 | 6,627% | F | |
| CENTRAL PROVIDENT FUND BOARD | 1.439 | 0,000% | F | |
| CERVURITE INTERNATIONAL LLC CFSIL RE CNEALTH GS FD 16 |
32.846 | 0,003% | F | |
| 7.144 | 0,001% | F |
| Anagrafica | CF/Pl | Azıonı | % su votanti | Voto |
|---|---|---|---|---|
| CHEVRON UK PENSION PLAN | 2.607 | 0.000% | F | |
| CHINA LIFE INSURANCE COMPANY LIMITED | 8.388 | 0,001% | F | |
| CIBC EUROPEAN INDEX FUND | 2.636 | 0,000% | F | |
| CIBC INTERNATIONAL EQUITY INDEXETF | 1.096 | 0,000% | F | |
| CIBC INTERNATIONAL EQUITY INDEXPOOL | 511 | 0,000% | F | |
| CIBC INTERNATIONAL INDEX FUND | 28.280 | 0,003% | F | |
| CINDY SPRINGS LLC. | 50.181 | 0,005% | F | |
| CITITRUST LIMITED | 24.947 | 0,002% | F | |
| CITITUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS- | 5.012 | 0,000% | F | |
| BLACKROCK WORLD EQUITY INDEX FUND | ||||
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 50.716 | 0.005% | F | |
| City of NEW YORK GROUP TRUST | 129.153 | 0,012% | F | |
| City university of NEW YORK | 708 | 0.000% | F | |
| Civil Service Employees Pension Fund | 4.99 1 | 0,000% | F | |
| CLAY FUNDS - CLAY EUROPEAN MULTI ASSETS | 25.000 | 0,002% | F | |
| CLAY FUNDS - CLAY EUROPEAN MULTI CAPS | 54.000 | 0,005% | F | |
| CLBRM LIQUID FUNDS - GLOBAL MACRO | 530.242 | 0,051% | F | |
| CLEOME INDEX - EMU EQUITIES | 10.521 | 0,001% | F | |
| CLEOME INDEX - EUROPE EQUITIES | 36.050 | 0,003% | F | |
| CM-AM ENTREPRENEURS EUROPE | 1.080.000 | 0,103% | F | |
| CM-AM EURO EQUITIES | 1.270.000 | 0,121% | F | |
| CM-AM EUROPE GROWTH | 3.000.000 | 0,286% | F | |
| CM-AM GLOBAL CITY ZEN | 17.661 | 0,002% | F | |
| CMLA INDEXED GLOBAL SHARE FUND | 2.025 | 0,000% | F | |
| CNP Actions Europe Amundi | 504.616 | 0,048% | F | |
| COLONIAL FIRST STATE INVESTMENT FUND 50 | 6.01 6 | 0,001% | F | |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND. | 26.997 | 0,003% | F | |
| COLUMBIA ACORN EUROPEAN FUND | 155.241 | 0.015% | F | |
| COLUMBIA ACORN INTERNATIONAL | 1.574.414 | 0,150% | F | |
| COLUMBIA ACORN INTERNATIONAL SELECT | 527.233 | 0,050% | F | |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. |
301.832 | 0,029% | F | |
| COMMONFUND STRATEGIC SOLUTIONS GLOB AL EQUITY, LLC | 12.568 | 0,001% | F | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES | ||||
| RETR | 93.334 | 0,009% | F | |
| ICOMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT દિવેલ |
4.062 | 0,000% | F | |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYSTEM |
291.051 | 0.028% | F | |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA |
166.743 | 0.01 6% | F | |
| COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, F.P | 1.090 | 0.000% | F | |
| CONCORDE 96 (ACTION EURO) | 23.796 | 0,002% | F | |
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 9.971 | 0.001% | F | |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 178 | 0,000% | F | |
| CONSOLIDATED EDISON RETIREMENT PLAN | 13.323 | 0,001% | F | |
| CONSTELLATION FITZPATRICK QUALIFIED FUND | 2.730 | 0,000% | f | |
| CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 432 | 0,000% | F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 1.447 | 0,000% | F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 4.831 | 0.000% | F | |
| COUNTY OF SANTA CLARA | 19.500 | 0,002% | F | |
| CPR ACTIONS EURO RESTRUCTURATIONS | 7.060 | 0,001% | F | |
| CPR EUROLAND PREMIUM ESG | 26.069 | 0,002% | F | |
| CPR Invest - European Strategic Autonomy | 74.007 | 0,007% | F | |
| CREDIT SUISSE FUNDS AG | 22.113 | 0,002% | F | |
| CREDIT SUISSE INDEX FUND (IE) ETF ICAV | 18.709 | 0,002% | F | |
| CREDIT SUISSE INDEX FUND (LUX) | 611.003 | 0,058% | F | |
| CRELAN INVEST BALANCED | 20.425 | 0,002% | F |
115/135

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| EMBO-FONDS | 14.692 | 0.001% | F | |
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 2.255 | 0,000% | F | |
| EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 780 | 0,000% | F | |
| ENCYCLOPAEDIA BRITANNICA PENSION PLAN TRUST | 8.885 | 0,001% | F | |
| ENERGY INSURANCE MUTUAL LIMITED | 2.835 | 0,000% | F | |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 25.848 | 0,002% | F | |
| ENSIGN PEAK ADVISORS INC | 30.550 | 0,003% | F | |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY | ||||
| PORTFOLIO | 43.571 | 0.004% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH | F | |||
| PORTFOLIO | 3.538 | 0,000% | ||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 6.782 | 0,001% | F | |
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH | 14.875 | 0,001% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY | 17.705 | 0,002% | F | |
| PORTFOLIO | ||||
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY | 22.358 | 0,002% | F | |
| PORTFOLIO EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY |
||||
| PORTFOLIO | 69.067 | 0.007% | F | |
| EQUIPSUPER | 19.535 | 0,002% | F | |
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 3.228 | 0.000% | F | |
| ERAFP ACTIONS EURO II | 1.150.000 | 0,110% | F | |
| ES RIVER AND MERCANTILE GLOBAL RECOVERY FUND | 79.170 | 0.008% | F | |
| ETFMG PRIME MOBILE PAYMENTS ETF | 1.108.834 | 0,106% | F | |
| ETFS Management (AUS) Limited as frustee for ETFS Fintech & Blockchain ETF |
7.619 | 0,001% | F | |
| ETICA AZIONARIO | 642.672 | 0,061% | F | |
| ETICA BILANCIATO | 1.410.408 | 0,135% | F | |
| ETICA OBBLIGAZIONARIO MISTO | 185.654 | 0,018% | F | |
| ETICA RENDITA BILANCIATA | 419.314 | 0,040% | F | |
| ETICA SGR SPA - FONDO ETICA OBIETIVO SOCIALE | 2.113 | 0,000% | F | |
| 450.000 | 0,043% | F | ||
| ETICA SRG SPA - FONDO ETICA IMPATTO CLIMA | 59.320 | 0,006% | F | |
| ETOILE INDUSTRIE EUROPE | 14.729 | 0.001% | F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXC.WB) | 55.345 | 0,005% | F | |
| EUROPEAN CENTRAL BANK | 4.531 | F | ||
| EVA VALLEY MAI LLC | 0,000% | F | ||
| Evergood H&F Lux S.a r.l. | 261 .230.869 | 24,943% | F | |
| EWP PA FUND, LTD-INTL TRADING | 7.475 | 0,001% | F | |
| FAMILY INVESTMENTS CHILD TRUST FUND | 19.897 | 0,002% | ||
| FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED | 5.143 | 0.000% | F | |
| INTERNATIONALFUND | ||||
| FAMILY INVESTMENTS GLOBAL ICVC ONEFAMILY GLOBAL EQUITY FUND | 371 | 0,000% | F | |
| FC CARPIMKO (ACTIONS EURO) | 88.123 | 0,008% | F | |
| FCP ARRCO LONG TERME D | 108.767 | 0,010% | F | |
| FCP ECUREUIL RETRAITE EURO ACTIONS 4 | 150.000 | 0,014% | F | |
| FCP FOND MEDERIC ALZHEIMER AMU | 3.599 | 0,000% | F | |
| FCP KLESIA K RETRAITE EURO | 183.533 | 0.018% | F | |
| 28.1 60 | 0,003% | F | ||
| FCP SODIUM I | 203.365 | 0,019% | F | |
| FCP VILLIERS ALLEGRO | 136.270 | 0,013% | F | |
| FCPE EVOLUTIS | 1.988.900 | 0,190% | F | |
| FEDERATED HERMES INTERNATIONAL LEADERS FUND | 160.000 | F | ||
| FEDERATED HERMES INTERNATIONAL SMALL MID COMPANY FUND | 0,015% | F | ||
| FEDERATED UNIT TRUST | 606.397 | 0,058% | ||
| FGV ACTIONS EUROPE LM A | 11.491 | 0,001% | F | |
| FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 28.358 | 0,003% | F | |
| FIDELCOMISO FONDO DE AHORRO DE PANAMA | 3.936 | 0,000% | F | |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 1.521.380 | 0, 1 45% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND |
12.410 | 0.001% | F |
117/135

| Anagratica | CF/Pi | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND |
105.761 | 0,010% | F | |
| FIDELITY COVINGTON TRUST FIDELITY CRYPTO INDUSTRY AND DIGITAL PAYMENTS ETF |
60.786 | 0,006% | F | |
| FIDELITY FUNDS - EUROPEAN DYNAMIC GROWTH POOL | 6.687.166 | 0.639% | F | |
| FIDELITY FUNDS - ITALY POOL | 1.066.058 | 0,102% | F | |
| FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 132 | 0,000% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELTY INDEX EUROPE EX UK FUND | 48.034 | 0,005% | F | |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 57.444 | 0,005% | F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 135.441 | 0,013% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 36.507 | 0,003% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 225.399 | 0,022% | F | |
| FIDELITY SALEM STREET TRUST: FIDELTY INTERNATIONAL SUSTAINABILITY IND EX FUND |
18.641 | 0,002% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND |
1.234.127 | 0.118% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND |
852.658 | 0,081% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
202.128 | 0.019% | F | |
| FIDELITY TOTAL METAVERSE INDEX ETF | 2.539 | 0,000% | F | |
| FIDELITY UCITS II (CAV/FIDELITY MSCI EUROPE INDEX FUND | 1.919 | 0.000% | F | |
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 4.413 | 0,000% | F | |
| FII HOLDINGS, INC. | 828 | 0,000% | F | |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 522 | 0,000% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 50.154 | 0.005% | F | |
| FIRST SUPER | 41.328 | 0,004% | F | |
| FISCHER FAMILY TRUST | 1.131 | 0,000% | F | |
| FJARDE AP-FONDEN. | 0,000% | F | ||
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
15.170 | 0,001% | F | |
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 2.208 | 0.000% | F | |
| FLORIDA GLOBAL EQUITY FUND LLC | . 44 | 0.001% | F | |
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 29.996 | 0,003% | F | |
| FLOURISH INVESTMENT CORPORATION | 31.163 | 0,003% | F | |
| FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY | 3.987 | 0.000% | F | |
| FONDATION BOTNAR | 38.491 | 0,004% | F | |
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 0,000% | F | ||
| FONDO NAZIONALE PENSIONE COMPLEMENTARE COMETA | 10.171 | 0,001% | F | |
| FONDS OBJECTIF CLIMAT ACTIONS | 105.087 | 0,010% | F | |
| FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 2.013 | 0,000% | F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 6.502 | 0,001% | F | |
| FORD PENSION UNIVERSAL | 10.325 | 0,001% | F | |
| FORDHAM UNIVERSITY | 2.328 | 0,000% | F | |
| FOREIGN STOCK INDEX MOTHER FUND | 25.005 | 0,002% | F | |
| FOREST FOUNDATION | 299 | 0,000% | F | |
| FORSTA AP - FONDEN | 104.598 | 0,010% | F | |
| FOVERUKA PENSION UNIVERSAL | 24.836 | 0,002% | E | |
| FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 123.572 | 0,012% | 는 | |
| FRANCE PLACEMENT EURO ESG PLUS | 240.198 | 0,023% | F | |
| FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 4.988 | 0,000% | F | |
| FRANKLIN LIBERTYSHARES ICAV | 9.540 | 0,001% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 5.859 | 0,001 % | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE HEDGED ETF | 804 | 0,000% | F | |
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE ITALY ETF | 9.252 | 0,001% | F | |
| FUNDACAO CALOUSTE GULBENKIAN | 5.770 | 0,001% | F |
.
| Anagratica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO | 23.754 | 0,002% | F | |
| ADMINISTRATIVA ESPECIAL DE MACAU | ||||
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE | 272.488 | 0.026% | F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. |
5.914 | 0,001% | F | |
| G.A.-FUND-B - EQUITY BROAD EURO P | 16.001 | 0.002% | F | |
| GAM INVESTMENT MANAGEMENT (SWITZERLAND) AG | 5.883 | 0,001% | F | |
| GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 2.385 | 0,000% | F | |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE | 565.607 | 0,054% | F | |
| GENERALI ESPANA S A DE SEGUROS Y REASEGUROS | 32.571 | 0,003% | F | |
| GENERALI GLOBAL - FONDO PENSIONE APERTO A CONTRIBUZIONE | 201.401 | 0,019% | F | |
| DEFINITA | ||||
| GENERALI ITALIA SPA | 1.862.973 | 0,178% | F | |
| GENERALI REVENUS | 84.201 | 0.008% | F | |
| GENERALI SMART FUNDS | 65.000 | 0,006% | F | |
| GENERALI VIE | 951.834 | 0,091% | F | |
| GENERTEL SPA | 31.644 | 0,003% | F | |
| GENERTELLIFE SPA | 712.423 | 0.068% | F | |
| GERANA SICAV-SIF, S.A. | 7.858 | 0,001% | F | |
| GFA CARAIBES | 6.307 | 0,001% | F | |
| GID-FONDS ALAET | 178.000 | 0.017% | F | |
| GID-FONDS AVAOT | 66.831 | 0,006% | F | |
| GID-FONDS AVAOT 2 | 36.917 | 0,004% | F | |
| GID-FONDS CEADT | 290.000 | 0,028% | F | |
| GID-FONDS DLAET | 32.200 | 0,003% | F | |
| GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 4.123 | 0,000% | F | |
| GLOBAL EQUITIES ENHANCED INDEX FUND | 15.757 | 0,002% | F | |
| GLOBAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) L.P. | ર | 0.000% | F | |
| C/O OGIER GLOBAL (CAYMAN) LIMITED | F | |||
| GLOBAL X ETFS ICAV | 13.378 | 0,001% | ||
| GLOBAL X FINTECH ETF | 1.755.621 | 0,168% | F | |
| Global X Management (AUS) Limited | 459.375 | 0.044% | F | |
| GODFOND SVERIGE & VARLDEN | 1.232 | 0,000% | F | |
| GOLDMAN SACHS ETF ICAV | કર્ | 0,000% | F | |
| IGOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | રકે જેવ | 0,000% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 156.291 | 0,015% | F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO |
16.481 | 0.002% | F | |
| GOLDMAN SACHS FUNDS | 1.981 | 0.000% | F | |
| GOLDMAN SACHS FUNDS III | 39.623 | 0,004% | F | |
| GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN | 6.028 | 0,001% | F | |
| TRACKER FUND GOVERNMENT OF NORWAY |
23.072.173 | 2,203% | F | |
| GOVERNMENT OF SINGAPORE | 24.824.429 | 2,370% | F | |
| GOVERNMENT PENSION INVESTMENT FUND | 3.771.016 | 0,360% | F | |
| 275 | 0,000% | F | ||
| GRAHAM DEVELOPMENTAL EQUITY STRATEGIES LLC | 5.345 | 0,001% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 57.370 | 0,005% | F | |
| GREAT WEST INTERNATIONAL INDEX FUND | 24.702 | F | ||
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0,002% | F | ||
| GWL GLOBAL INVESTMENTS LLC. | 195.300 | 0,019% | F | |
| HALEVY A1 | 49.388 | 0,005% | ||
| HALEVY A2 | 54.414 | 0.005% | F | |
| HAMILTON FINANCIALS INNOVATION ETF | 12.514 | 0.001% | F | |
| HANG SENG INSURANCE COMPANY LIMITED | 3.602 | 0,000% | F | |
| HARRIS ASSOCIATES OAKMARK INTERNATIONAL SMALL CAP COLLECTIVE FUND |
497.300 | 0,047% | F | |
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 4.416 | 0,000% | F | |
| HARTFORD REAL ASSET FUND | 71.395 | 0,007% | F | |
| HASLAM FAMILY INVESTMENT PARTNERSHI | 417 | 0,000% | F |
- 119/135

EMARKET SDIR CERTIFIED
| Anagratica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| INTERNATIONAL EQUITIES SECTOR TRUST | 1.051 | 0.000% | F | |
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 2.405 | 0,000% | F | |
| INTERNATIONAL MONETARY FUND | 36.436 | 0,003% | F | |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT |
29 | 0,000% | F | |
| INTERNATIONAL RESEARCH EQUITY EXTENDED MASTER FUND (CAYMAN) | 88.166 | 0.008% | F | |
| L.P. C/O INTERTRUST CORP SVCS (CAYMAN) L | ||||
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 48.723 | 0,005% | F | |
| INVESCO MARKETS II PLC | 16.923 | 0,002% | F | |
| INVESCO MARKETS III PLC | 418 | 0,000% | F | |
| INVESCO PUREBETA FISE DEVELOPED EX NORTH AMERICA ETF | 373 | 0,000% | F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT !NDEX ETF | 2.510 | 0,000% | F | |
| INVESTERINGSFORENINGEN BANKINVEST ENGROS.GLOBALE AKTIER AKK.KL |
102.245 | 0.010% | F | |
| INVESTERINGSFORENINGEN INVESTIN SAMPENSION GLOBALE AKTIER | 819 | 0,000% | F | |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL |
3.877 | 0,000% | F | |
| INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS GLOBALE AKTI | 17.243 | 0.002% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA GROWTH KL | 9.795 | 0.001% | F | |
| INVESTISSEMENT 101 AUTRES | 4.643 | 0,000% | F | |
| INVESTITORI EIGHTY TWENTY | 9.550 | 0,001% | F | |
| INVESTITORI EUROPA | 7.500 | 0,001% | F | |
| Investors Wholesale Global Equity (Index) Trust | 24.607 | 0,002% | F | |
| IP ACTIONS EURO | 11.686 | 0,001% | F | |
| IQ 50 PERCENT HEDGED FISE INTERNATIONAL ETF | 19.708 | 0,002% | F | |
| IQ CANDRIAM ESG INTERNATIONAL EQUITY ETF | 10.100 | 0,001% | F | |
| IRCEC CASSETTE DIVERSIFIE | 23.461 | 0,002% | F | |
| IRISH LIFE ASSURANCE PLC | 103.877 | 0,010% | F | |
| IRISH LIFE ASSURANCE. | 58.540 | 0,006% | F | |
| IRISH LIFE CLIMATE FOCUSED FUND | 2.189 | 0,000% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.644 | 0,000% | F | |
| 3.183.677 | 0,304% | F | ||
| ISHARES CORE MSCI EAFE ETF | 146.296 | 0,01 4% | F | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 263.636 | 0,025% | F | |
| ISHARES CORE MSCI EUROPE ETF | 313.641 | 0,030% | F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 702.224 | F | ||
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS (AUD |
3.347 | 0,067% 0,000% |
F | |
| HEDGED) ETF | ||||
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG LEADERS ETF | 6.581 | 0,001% | F | |
| ISHARES ESG ADVANCED MSCI EAFE ETF | 29.346 | 0.003% | F | |
| ISHARES ESG ADVANCED MSCI EAFE INDEX ETF | 5.287 | 0,001% | F | |
| ISHARES ESG MSCI EAFE LEADERS INDEX ETF | 333 | 0,000% | F | |
| ISHARES EURO STOXX UCITS ETF (DE) | 243.107 | 0,023% | F | |
| ISHARES EUROPE ETF | 153.177 | 0,015% | F | |
| ISHARES EXPONENTIAL TECHNOLOGIES ETF | 1.816.202 | 0,173% | F | |
| ISHARES EXPONENTIAL TECHNOLOGIES INDEX ETF | 2.730 | 0,000% | F | |
| ISHARES GLOBAL FINANCIALS ETF | 42.185 | 0,004% | F | |
| ISHARES II PUBLIC LIMITED COMPANY | 537.050 | 0,051% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 238.825 | 0,023% | F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 2.863 | 0,000% | F | |
| ISHARES IV PUBLIC LIMITED COMPANY | 933.527 | 0,089% | F | |
| ISHARES MSCI ACWI ETF | 162.378 | 0,016% | F | |
| ISHARES MSCI ACWI EX U.S. ETF | 104.064 | 0,010% | F | |
| ISHARES MSCI EAFE ETF | 1.866.361 | 0,178% | F | |
| ISHARES MSCI EAFE GROWTH ETF | 987.627 | 0,094% | F | |
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 336.986 | 0,032% | F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 12.113 | 0,001% | F | |
| ISHARES MSCI EUROZONE ETF | 864.697 | 0,083% | F |
121/135

EMARKET SDIR CERTIFIED

| Anagratica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| KBC EQUITY FUND SRI WORLD | 17.777 | 0,002% | F | |
| KBC INST FUND EURO EURO EQUITY | 124.446 | 0.012% | F | |
| KFP MARKETABLE LLC | 1.114 | 0,000% | F | |
| KOKUSAI EQ IDX FD,A TR BLROCK | 19.031 | 0,002% | F | |
| L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO | 18.576 | 0,002% | F | |
| INDEX EQUITY TSGN (5270 | ||||
| L.S. CHALLENGE | 2.000 | 0.000% | F | |
| LARCOUEST INVESTISSEMENT - MH | 12.000 | 0,001% | F | |
| LARGE CAP INTL PORTFOLIO OF DFA INV | 220.310 | 0,021% | F | |
| LAZAM INVESTMENT | 14.100 | 0,001% | F | |
| LBPAM IRC ACTIONS ISR | 200.453 | 0,019% | F | |
| LCL ACTIONS EURO RESTRUCTURAT EURO (CA) | 1.114 | 0,000% | F | |
| LEADERSEL P.M.I | 10 | 0,000% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 21.334 | 0.002% | F | |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 6.144 | 0,001% | F | |
| LEGAL & GENERAL GLOBAL DEVELOPED EQUITY INDEX FUND | 187 | 0,000% | F | |
| LEGAL & GENERAL ICAV. | 1.105 | 0,000% | F | |
| LEGAL & GENERAL MSCI EAFE FUND LLC | 40.517 | 0,004% | F | |
| LEGAL & GENERAL MSCI EAFE SL FUND LLC | 43.303 | 0,004% | F | |
| LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT] LIMITED |
131.519 | 0,013% | F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 1.446.273 | 0,138% | F | |
| LEGAL AND GENERAL ASSURANCE PENSIONS MANAGEMENT LIMITED | 26.206 | 0,003% | F | |
| LEGAL AND GENERAL CCF | 41.003 | 0,004% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 84.820 | 0,008% | F | |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST | 2.016 | 0,000% | F | |
| LEGAL AND GENERAL EUROPEAN INDEX TRUST | 271.944 | 0,026% | F | |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 2.741 | 0,000% | F | |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 71.738 | 0,007% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 92.581 | 0,009% | F | |
| LGAS SHF EURO EX UK ESG FD(1848 LGIM PMC CSUF(36670) TESCO | 6.005 | 0,001% | F | |
| INDEX EQUITY TSGN (5270 | ાં '835 | 0,000% | F | |
| LGAS SHF FUT WRLD ESG DEV IDX(6734) | F | |||
| LGIASUPER | 22.213 | 0.002% 0.000% |
F | |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME. | 787 | F | ||
| LIF-LYX DIGIT ECONOMY(DR)UCITS | 43.417 | 0,004% | ||
| LIF-LYX DISRUPTIVE TECH(DR)UC | 52.012 | 0.005% | F | |
| LIF-LYX MILLENNIALS UCITS ETF | 18.457 | 0,002% | F | |
| LIF-LYX MSCI WRL CATHOL PRINC | 4.830 | 0,000% | F | |
| LMAP 909 SUB FUND OF LMAP IRELAND ICAV | 17.127 | 0,002% | F | |
| LMAP IRELAND ICAV - LMAP 910 MAPLES CORPORATE SERVICES LTD | 7.386 | 0,001% | F | |
| LO Funds - Continental Europe Small & Mid Leaders 18.05.2017 | 450.000 | 0,043% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 299 | 0.000% | F | |
| LOF GLOBAL FINTECH | 650.000 | 0,062% | F | |
| LOF TargetNetZero Europe Equity | 4.518 | 0,000% | F | |
| LOMBARD ODIER FUNDS - EUROPE ALL CAP LEADERS | 28.413 | 0,003% | F | |
| LONDON LGPS CIV AUTHORISED CONTRACTUAL SCHEME. | 8.678 | 0,001% | F | |
| LORD MAYOR'S CHARITABLE FOUNDATION | 264 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES RETIREMENT SYSTEM | 76 | 0,000% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW ESG (MARKET NEUTR |
51.090 | 0.005% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW SYSTEMATIC | 108.717 | 0,010% | F | |
| ALPHA LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS (MARKET NEUT |
581.335 | 0.056% | F | |
| LUMYNA-MARSHALL WACE UCITS SICAV-LUMYNA-MW TOPS UCITS FUND | 846.940 | 0,081% | F | |
| ILUNA LEC | 308 | 0.000% | E | |
123/135

| Anagrafica | CF/PI | Azioni | % su votantī | Voto |
|---|---|---|---|---|
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 10.855 | 0.001% | F | |
| LVIP SSGA INTERNATIONAL INDEX FUND | 83.097 | 0,008% | F | |
| LYX CORE MSCI WLD(DR)UCITS ETF | 17.230 | 0,002% | F | |
| LYX IND -LYX CORE STOXX EU 600 | 448.613 | 0,043% | F | |
| LYX MSCI EU ESG LEADERS (DR) | 193.252 | 0,018% | F | |
| LYXIND FD-LYX MSCI EMU GROWTH | 17.402 | 0,002% | F | |
| Lyxor 1 STOXX Europe 600 ESG (DR) UCITS ETF | 3.791 | 0,000% | F | |
| ILYXOR FISE MIB UCITS ETF | 507.028 | 0,048% | F | |
| LYXOR MSCI EUROPE UCITS ETF | 49.975 | 0,005% | F | |
| LYXOR-MSCI EMU ESG BROD CTB | 16.875 | 0,002% | F | |
| M INTERNATIONAL EQUITY FUND | 3.909 | 0,000% | F | |
| M STANLEY PATHWAY FD-INT EQ FD | 10.618 | 0.001% | F | |
| MACK EAFE EQUITY POOL | 15.799 | 0,002% | F | |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 16.087 | 0,002% | F | |
| IMACKENZIE MAX DIVERSIFICATION DEVELOPED EUR INDEX ETF | 479 | 0,000% | F | |
| IMACKENZIE MAXIMUM DIVERS.ALL WORLD DEVELOPED EX NORTH AMERICA IE |
1.230 | 0.000% | F | |
| MACQUARIE INTERNATIONAL EQUITIES FUND | 4.586 | 0.000% | F | |
| MACQUARIE MULTI-FACTOR FUND | 1.278 | 0,000% | F | |
| MACQUARIE WHOLESALE FUNDS | 1.949 | 0,000% | F | |
| MADELEINE | 145.510 | 0,01 4% | F | |
| MAIN I - UNIVERSAL - FONDS | 10.736 | 0,001% | F | |
| MANAGED PENSION FUNDS LIMITED | 228.075 | 0.022% | F | |
| IMANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND |
26.418 | 0,003% | F | |
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 5.853 | 0,001% | F | |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 2.872 | 0,000% | F | |
| MARIGOLD TACTICAL STRATEGIES LTD | 2.834 | 0.000% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES - TOPS WORLD EQUITIES FU | 12.666 | 0.001% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND C/O MARSHALL WACE IRELAND LTD. |
1.131.621 | 0.108% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-MARKET NEUTRAL TOPS FUND |
874 | 0,000% | F | |
| MARSHALL WACE INVESTMENT STRATEGIES-TOPS GLOBAL EQUITIES LE | 10.320 | 0,001% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 22.036 | 0,002% | F | |
| MASTER TRUST BANK OF JAPAN LTD. RE: FIDELITY EUROPE FUND | 555.055 | 0.053% | F | |
| MASTERINVEST KAPITALANLAGE GMBH | 2.019 | 0,000% | F | |
| MATB MSCI KOKUSAI INDEX MOTHER FUND | 9.494 | 0,001% | F | |
| MAZAL | 5.600 | 0.001% | F | |
| Mazzia Paolo | 1.000 | 0,000% | F | |
| MBB PUBLIC MARKETS I LLC | 45.375 | 0,004% | F | |
| MBB SMART FUND C LLC | 4.184 | 0.000% | F | |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 21.489 | 0,002% | F | |
| MEDICAL ASSURANCE SOCIETY NEW ZEALAND LIMITED | 11.655 | 0,001% | F | |
| MEDIOLANUM BEST BRANDS - COUPON STRATEGY COLLECTION | 219.143 | 0,021% | F | |
| MEDIOLANUM BEST BRANDS - EQUITY POWER COUPON COLLECTION | 282.246 | 0,027% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.700.000 | 0,258% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 6.300.000 | 0,602% | F | |
| MERCER PASSIVE INTERNATIONAL SHARES FUND | 23.228 | 0,002% | F | |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 2.81 4 | 0,000% | F | |
| MERCER PRIVATE WEALTH INTERNATIONAL FOCUSED EQUITY POOL | 9.779 | 0.001% | F | |
| MERCER QIF COMMON CONTRACTUAL FUND | 678.556 | 0,065% | F | |
| MERCER UCITS COMMON CONTRACTUALFUND | 15.220 | 0,001% | F | |
| MERCER UNHEDGED OVERSEAS SHARES TRUST MERCURY UK HOLDCO LIMITED |
17.388 | 0,002% | F | |
| METIS EQUITY TRUST. | 121.631.574 | 11,614% | F | |
| METROPOLITAN LIFE INSURANCE COMPANY | 8.492 26.176 |
0,001% | F E |
|
| 0,002% |

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| MF INTERNATIONAL FUND LLC | 18.270 | 0.002% | F | |
| IMG INVESTMENT FUNDS (1) MG EUROPEAN INDEX TRACKER FUND | 8.300 | 0.001% | F | |
| MGI FUNDS PLC | 43.363 | 0,004% | F | |
| MICHELLE LUND REV TRUST | 1.209 | 0,000% | F | |
| MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 2.157 | 0.000% | F | |
| MIGROS BANK (LUX) FONDS 30 | 1.200 | 0.000% | F | |
| MIGROS BANK (LUX) FONDS 40 (EUR) | 1.370 | 0,000% | F | |
| MIGROS BANK (LUX) FONDS 50 | 1.670 | 0.000% | F | |
| MIGROS BANK (LUX) FONDS INTERSTOCK | 1.230 | 0.000% | F | |
| MINE SUPERANNUATION FUND | 6.387 | 0.001% | F | |
| MIRAE ASSET GLOBAL INVESTMENTS (HK) LIMITED. | 6.767 | 0,001% | F | |
| MLC INVESTMENTS, MLC LIMITED | 22.468 | 0,002% | F | |
| MME 2026 | 300.000 | 0,029% | F | |
| MME 2027 | 99.998 | 0.010% | F | |
| MOBIUS LIFE LIMITED | 10.668 | 0,001% | F | |
| MONCEAU ACTIONS EEE | 162.271 | 0.015% | F | |
| MONETA LONG SHORT | 800.000 | 0,076% | F | |
| MONETA MICRO ENTREPRISES | 500.002 | 0,048% | F | |
| MONETA MULTI CAPS | 5.500.000 | 0.525% | F | |
| MONETARY AUTHORITY OF SINGAPORE | 7.829.123 | 0.748% | F | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST | 2.933 | F | ||
| PORTFOLIO | 0,000% | |||
| IMORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL | 487 | 0,000% | F | |
| STRATEGI ST PORTFOLIO | ||||
| IMOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 6.169 | 0.001% | F | |
| MOTHER CABRINI HEALTH FOUNDATION INC | 14.907 | 0,001% | F | |
| MOZILLA CORPORATION | 2.970 | 0.000% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND 82 | 23.335 | 0,002% | F | |
| MSCI EMU IMI INDEX FUND B (EMUIMIB) | 372 | 0,000% | F | |
| MSCI EQUITY INDEX FUND B - ITALY (MSTIB) | 241.974 | 0,023% | F | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 83.143 | 0.008% | F | |
| MUGUET VENTURES LLC | 1.575 | 0,000% | F | |
| MUL- LYX FTSE IT ALL CAP PIR20 | 11.270 | 0,001% | F | |
| MUL-LY MSCI EU ESG C T CIB DR | 92 | 0,000% | F | |
| MUL-LYX NET ŽERO 50 SP EU ČLIP | 8.180 | 0.001% | F | |
| MUL-LYX NET ZERO 50 SP WLD CLI | 2.729 | 0.000% | F | |
| MUL-LYX NET ZERO50 SP EU CLI P | 387.803 | 0,037% | F | |
| MULTI UNITS LUX-LYX CORE MSCI | 46.183 | 0.004% | F | |
| MULTIFLEX SICAV | 5.098 | 0.000% | F | |
| MULTILABEL SICAV | 285.282 | 0,027% | F | |
| MUNICIPAL EMPLOYEES ANNUITY AND BENEFIT FUND OF CHICAGO | 1.188 | 0,000% | F | |
| MW INV Strat Eureka Fund AC | 360.339 | 0,034% | u | |
| MWIS - TOPS DEVELOPED WORLD EQUITIES FUND | 12.176 | 0,001% | ട | |
| MWIS TOPS Intl Equity Fd AC | 36.683 | 0,004% | F | |
| MWIS TOPS World EX US AC | 143.360 | 0,01 4% | F | |
| INATIO-FONDS COLLINE INTERNATIONAL | 105.073 | 0,010% | F | |
| NATIONAL BANK FINANCIAL INC | 3.691 | 0,000% | F | |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 5.079 | 0,000% | F | |
| INATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 127.284 | 0,012% | F | |
| NATIONAL PENSION INSURANCE FUND | 3.017 | 0.000% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 349.430 | 0.033% | F | |
| NATIONWIDE INTERNATIONAL INDEX FUND | 40.056 | 0,004% | F | |
| NATWEST ST JAMES'S PLACE GLOBALEQUITY UNIT TRUST | 43.812 | 0.004% | F | |
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES'S PLACE |
14.148 | 0.001% | F | |
| NBIMC EAFE EQUITY INDEX FUND. | 538 | 0,000% | F | |
| NEMOURS FOUNDATION | 471 | 0.000% | F | |
| NEUALT LLC | 9.733 | 0,001% | F | |

| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| NEUBERGER BERMAN ADVISERS MANAGEMENT TRUST INTERNATIONAL | 36.909 | 0,004% | F | |
| EQUITYPORTFOLIO NEUBERGER BERMAN INTERNATIONAL EQUITY FUND |
1.236.843 | 0,118% | F | |
| NEUBERGER BERMAN INTERNATIONAL SELECT FUND | 163.235 | 0,016% | F | |
| INEUBERGER BERMAN TRUST COMPANY N.A. COLLECTIVE INVESTMENT TRUST |
144.598 | 0.01 4% | F | |
| NEW AIRWAYS PENSION SCHEME | 311 | 0,000% | F | |
| NEW IRELAND ASSURANCE COMPANY PLC. | 7.819 | 0,001% | F | |
| NEW YORK STATE COMMON RETIREMENT FUND | 32.879 | 0,003% | B | |
| NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 174.625 | 0.017% | F | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POW |
ો 15 | 0,000% | F | |
| INFS LIMITED | 7.193 | 0.001% | F | |
| NMTB/NIK KOKUSAI-H 935034 | 1.336 | 0,000% | F | |
| NMTB/NIK KOKUSAI-NH 935026 | 21.240 | 0,002% | F | |
| NORDEA EUROPEAN PASSIVE FUND | 9.703 | 0,001% | F | |
| NORDEA GLOBAL PASSIVE FUND | 15.946 | 0,002% | F | |
| NORDEA WORLD PASSIVE FUND | 14.068 | 0,001% | F | |
| NORGES BANK | 133.982 | 0,013% | F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 165.879 | 0,016% | F | |
| INORTHERN GLOBAL SUSTAINABILITY INDEX FUND | 34.837 | 0.003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
28.302 | 0.003% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX- ns F |
31.689 | 0,003% | F | |
| NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 29.019 | 0,003% | F | |
| NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 84.687 | 0,008% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 1.256.935 | 0,120% | F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 350.789 | 0.033% | F | |
| NORTHERN TRUST UCITS FGR FUND | 78.222 | 0,007% | F | |
| NSP MINNESEOTA RETAIL PRAIRIE II | 4.486 | 0,000% | F | |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 4.043 | 0,000% | F | |
| NSP MONTICELLO MINNESOTA RETAIL NT WORLD GREEN TRANSITION INDEX FUND |
9.613 | 0,001% | F | |
| INTCC COLLECTIVE FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 531 | 0,000% | F | |
| NVIT INTERNATIONAL INDEX FUND | 199.154 48.821 |
0.019% | F F |
|
| OAKMARK INTERNATIONAL SMALL CAPFUND | 4.190.700 | 0,005% | F | |
| OFI INVEST ESG EURO EQ SM BETA | 36.233 | 0,400% | F | |
| OHMAN MARKNAD EUROPA | 19.562 | 0.003% 0,002% |
F | |
| OHMAN MARKNAD GLOBAL | 17.510 | 0,002% | F | |
| OMEGA FFIP LIMITED PARTNERSHIP. | 484 | 0,000% | F | |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 55.215 | 0.005% | F | |
| OPENWORLD PUBLIC LIMITED COMPANY | 823 | 0,000% | F | |
| ORANO ACTIONS ZONE EURO | 14.231 | 0,001% | F | |
| OREGON PUBLIC EMPLOYEES RETIREMENT SYSTEM | 544.300 | 0,052% | F | |
| OSSIAM LUX | 30.816 | 0,003% | le | |
| PANAGORA GROUP TRUST | 22.358 | 0.002% | F | |
| PARAMETRIC INTERNATIONAL EQUITYFUND | 11.200 | 0,001% | F | |
| PCFS - EUROPE SMALL & MID CAP EQUITIES | 12.434 | 0,001% | F | |
| PCFS - PURE DYNAMIC OPPORTUNITY | 18.000 | 0,002% | F | |
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 3.202 | 0,000% | F | |
| PENSION BENEFIT GUARANTY CORPORATION | 523.722 | 0.050% | F | |
| PENSION RESERVES INVESTMENT TRUST FUND | 89.803 | 0,009% | F | |
| PEOPLE'S BANK OF CHINA | 813.040 | 0,078% | 는 | |
| PERP PROG (ACTIONS EUROPE) | 18.856 | 0,002% | F | |
| PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 2.126 | 0,000% | li | |
| PHILADELPHIA GAS WORKS PENSION PLAN | 1.175 | 0,000% | F | |
| PICTET - EUROPE INDEX | 56.662 | 0,005% | F | |
| PICTET - MULTI ASSET GLOBAL OPPORTUNITIES | 7.804 | 0.001% | F |
| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| PICTET CH - GLOBAL EQUITIES | 7.585 | 0,001% | F | |
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER | 14.480 | 0,001% | F | |
| PICTET CHINSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL | 19.408 | 0.002% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER | 13.736 | 0,001% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE | 2.164 | 0,000% | F | |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS SUSTAINABLE EQUITIES TRACKER |
11.552 | 0,001% | F | |
| PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL |
6.959 | 0,001% | F | |
| PICTET-EUROLAND INDEX | 31.875 | 0,003% | F | |
| PIER 21 GLOBAL GROWTH POOL | 2.051 | 0,000% | F | |
| PINEBRIDGE GLOBAL FUNDS | 2.973 | 0,000% | F | |
| PIR EQUITY AXA ASSICURAZIONI | 180.000 | 0,017% | F | |
| PK CSG World Equity Credit Suisse Funds AG | 17.072 | 0,002% | F | |
| PLATO INST I FUND EURO EQUITY | 13.455 | 0,001% | F | |
| PLATO INST I FUND EUROPEAN EQUITY | 25.375 | 0,002% | F | |
| Plato Instit Index Fnd World DBI-RDT | 7.029 | 0,001% | F | |
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 2.618 | 0,000% | F | |
| POINT72 ASSOCIATES LLC C/O WALKERS CORPORATE LIMITED | ||||
| CAYMAN CORPORATE CENTRE | 1.617 | 0,000% | F | |
| Pollux | 7.940 | 0,001% | F | |
| POOL REINSURANCE CO LTD | 3.017 | 0,000% | F | |
| PORTZAMPARC OPPORTUNITES | 70.000 | 0,007% | F | |
| POSTE ITALIANE SPA | 97103880585 | 46.518.238 | 4,442% | F |
| PRESBYTERIAN CHURCH IN AMERICA TAX-SHELTERED ANNUITY PLAN | 3.630 | 0,000% | F | |
| PRESCIENT ICAV | 78.750 | 0,008% | F | |
| PREVINDAI BIL EURIZON | 5.510 | 0,001% | F | |
| PREVINDAI SVI EURIZON | 7.682 | 0,001% | F | |
| PRI MONETA BEST OF FRANCE | 300.000 | 0,029% | F | |
| PRICOS | 458.426 | 0,044% | F | |
| PRICOS DEFENSIVE | 12.368 | 0,001% | F | |
| PRICOS SRI | 15.429 | 0,001% | F | |
| PRIME SUPER | 3.513 | 0,000% | F | |
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 38.837 | 0,004% | F | |
| Prudential Pensions Limited | 9.143 | 0,001% | F | |
| PRUDENTIAL RETIREMENT INSURANCE ANNUITY COMPANY | 21.782 | 0,002% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 4.332 | 0,000% | F | |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 28.531 | 0.003% | F | |
| 773.407 | 0,074% | F | ||
| PUBLIC EMPLOYEES' LONG-TERM CARE FUND | 160.761 | 0.015% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 4.256 | 0.000% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 74.691 | 0,007% | F | |
| PUBLIC EMPLOYEES KEIIKEMENT 2XSIEW OF MISSISSIPPI | 338.804 | 0,032% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 58.161 | F | ||
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 0,006% | F | ||
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 75.658 | 0,007% | F | |
| PURE CAPITAL S.A | 0.000% | |||
| PUTM AUTHORISED CONTRACTUAL SCHEME - PUTM ACS SUSTAINABLE INDEX EUROPEAN EQUITY FUND |
197.037 | 0.019% | F | |
| QIC INTERNATIONAL EQUITIES FUND. | 3.167 | 0,000% | F | |
| QUADRATOR SRI | 316.240 | 0,030% | F | |
| QUALITY EDUCATION FUND | 1.298 | 0,000% | F | |
| QUERCUS | 212.800 | 0,020% | F | |
| ReAssure Limited | 168.803 | 0,016% | F | |
| REGARD ACT CROISSAN | 15.000 | 0,001% | F | |
| RELYENS MUTUAL INSURANCE | 182.000 | 0,017% | F | |
| RETIREMENT BENEFITS INVESTMENT FUND | 5.362 | 0,001% | F | |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 14.241 | 0,001% | E |
127/135

| Anagrafica | CF/Pi | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 18.676 | 0.002% | F | |
| RIZE UCITS ICAV | 16.659 | 0,002% | F | |
| RIZE ÜCITSICAV | 4.672 | 0,000% | F | |
| RL PREVOYANCE (ACTIONS EUROPE) | 30.683 | 0,003% | F | |
| ROBECO CAPITAL GROWTH FUNDS | 2.300.000 | 0,220% | F | |
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 5.419 | 0,001% | F | |
| ROPS EURO P | 74.820 | 0,007% | F | |
| ROPS-SMART INDEX EURO | 140.275 | 0,013% | F | |
| ROSEDENE LLC | 2.364 | 0,000% | F | |
| ROTHSCHILD MARTIN MAUREL | 64.100 | 0,006% | F | |
| ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
94.535 | 0.009% | F | |
| RSRC ACTIONS (ACTION EURO) | 109.197 | 0,010% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 35.918 | 0,003% | F | |
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 7.01 4 | 0,001% | F | |
| Russell Investments Sustainable Global Shares Fund | 2.985 | 0,000% | F | |
| SABADELL EUROACCION, FI | 169.082 | 0,016% | F | |
| SABADELL INVERSION ETICA Y SOLIDARIA, FI | 10.789 | 0,001% | F | |
| SAEV MASTERFONDS INKA | 233.243 | 0,022% | F | |
| SALIX LLC | 16.859 | 0,002% | F | |
| SAMSUNG GLOBAL CORE EQUITY FUND | 1.793 | 0.000% | F | |
| SANLAM UNIVERSAL FUNDS PLC | 8.589 | 0,001% | F | |
| SANTANDER SMALL CAPS EUROPA FI | 164.986 | 0.016% | F | |
| SAS TRUSTEE CORPORATION POOLED FUND | 8.436 | 0,001% | F | |
| SBC MASTER PENSION TRUST | 3.934 | 0,000% | F | |
| SCHRODER INTERNATIONAL SELECTION FUND | 617.325 | 0.059% | F | |
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 93.438 | 0,009% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
19.307 | 0,002% | F | |
| SCHWAB INTERNATIONAL EQUITY ETF | 924.593 | 0,088% | F | |
| SCHWAB INTERNATIONAL INDEX FUND | 326.368 | 0.031% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 23 | 0,000% | F | |
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 7.007 | 0,001% | F | |
| SCOTTA RESPONSIBLE INVESTING INTERNATIONAL EQUITY INDEX ETF | 645 | 0.000% | F | |
| SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN | ||||
| (EX UK)EQUITY FUND SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC- |
78.596 | 0.008% | F | |
| INTERNATIONAL EQUITY TRACKER FUND | 2.023 | 0,000% | F | |
| SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF |
3.779 | 0.000% | F | |
| SEI GL MAST FD-SEI DYN ASS ALL | 4.536 | 0.000% | F | |
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
15.465 | 0,001% | F | |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 337 | 0,000% | F | |
| SEMPRA ENERGY PENSION MASTER TRUST | 8.064 | 0,001% | F | |
| SENTINEL INTERNATIONAL TRUST | 2.082 | 0,000% | F | |
| SG ACTIONS EURO SELECTION | 1 .452.545 | 0,139% | F | |
| SHARON D LUND RESIDUAL TRUST | 604 | 0,000% | F | |
| SHELL CANADA 2007 PENSION PLAN | 876 | 0,000% | F | |
| SHELL FOUNDATION | 12.523 | 0.001% | F | |
| SHELL PENSION TRUST | 6.920 | 0,001% | ಿ | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
4.257 | 0,000% | F | |
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | ા રેજ | 0,000% | F | |
| SILVER AMUNDI EURO EQUITY | 170.879 | 0,016% | F | |
| SINGLE SELECT PLATFORM | 132.035 | 0,013% | F | |
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 246.443 | 0,024% | le | |
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND |
21.646 | 0,002% | F | |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SOCIETA CATTÓLICA DI ASSICURAZIONE - SOCIETA COOPERATIVA | 56.412 | 0.005% | F | |
| SOGECAP ACTIONS - MID CAP | 219.114 | 0,021% | F | |
| SOGECAP AP CLIMAT PAB | 128.138 | 0,012% | F | |
| SOLIDARITES | 14.835 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS, | 470.572 | 0,045% | F | |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 10.475 | 0.001% | F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 175.915 | 0,017% | F | |
| SPDR PORTFOLIO EUROPE ETF | 24.100 | 0,002% | F | |
| SPDR SP WORLD EX AUSTRALIA FUND | 6.778 | 0,001% | F | |
| SPP GENERATION 70-TAL | 9.226 | 0,001% | F | |
| SPP PENSION & FORSAKRING AB (PUBL) | 754 | 0,000% | F | |
| SSB CUSTODIAL SERVICES IREL RUSSELL INVS IREL | 29.659 | 0,003% | F | |
| ISSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
11.849 | 0.001% | F | |
| 228 MSCI EUROPE SCREENED INDEX NONFEMDING COMMON TRUST FUND |
15.711 | 0,002% | F | |
| SSB MSCITIES INDEX SECURITIESLENDING COMMON TRUST FUND | 498.764 | 0,048% | F | |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 3.232 | 0,000% | F | |
| ISSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 76.811 | 0,007% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 106.822 | 0,010% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 2.188.362 | 0,209% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 71.855 | 0,007% | F | |
| STANDARD BANK OF SOUTH AFRICA LID | 63.151 | 0,006% | F | |
| STAR PASTEUR | 20.889 | 0,002% | F | |
| STATE OF MINNESOTA | 241.787 | 0,023% | F | |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 356.400 | 0,034% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 406.644 | 0,039% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 2 | 0,000% | F | |
| STATE OF WYOMING | 31.627 | 0.003% | F | |
| STATE STREET CCF | 1.802 | 0,000% | F | |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 4.81 1 | 0,000% | F | |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 147.942 | 0.01 4% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 110.409 | 0,011% | F | |
| ISTATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 105.114 | 0,010% | F | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 8.588 | 0,001% | F | |
| STATE STREET IRELAND UNIT TRUST | 26.658 | 0,003% | F | |
| STATE STREET TOTAL RETURN VIS FUND | 10.218 | 0,001% | F | |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 197.735 | 0.019% | F | |
| STEADFAST INTERNATIONAL MASTER FUND LTD C/O MORGAN STANLEY FUND SRVCS (CAYMAN) LTD |
509.432 | 0,049% | F | |
| STELLAR INSURANCE. LTD. | 1.86/ | 0,000% | ﻠ | |
| STEPHEN N POTTER TRUST | 62 | 0,000% | F | |
| STEWARDSHIP PARA GLB | 1.559 | 0,000% | F | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 2.248 | 0,000% | F | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE MEUBELI NDUSTRIEEN MEUBILERINGSBEDRIJ |
13.947 | 0,001% | F | |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF |
24.565 | 0,002% | F | |
| STICHTING BLUE SKY LIQUID ASSET FUNDS | 2.416 | 0,000% | F | |
| STICHTING CZ FUND DEPOSITARY | 7.524 | 0,001% | F | |
| STICHTING DE NATIONALE ALGEMEEN PENSIOENFONDS | 4.828 | 0,000% | F | |
| ISTICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 48.115 | 0,005% | F | |
| STICHTING ING CDC PENSIOENFONDS | 14.187 | 0,001% | F | |
| STICHTING NN CDC PENSIOENFONDS | 6.150 | 0,001% | F | |
| STICHTING PENSIOENFONDS ABP | 550.168 | 0.053% | F | |
| STICHTING PENSIOENFONDS APF | ୧୦ | 0,000% | F | |
| STICHTING PENSIOENFONDS HORECA AND CATERING | 22.996 | 0,002% | F | |
| STICHTING PENSIOENFONDS ING | 16.637 | 0,002% | F | |
| STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN | 235.898 | 0,023% | F |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| STICHTING PENSIOENFONDS PGB | 669.836 | 0,064% | F | |
| STICHTING PENSIOENFONDS PROVISUM | 1.861 | 0,000% | F | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 14.520 | 0,001% | F | |
| STICHTING PENSIOENFONDS UWV | 35.840 | 0.003% | F | |
| STICHTING PENSIOENFONDS WERK EN(RE) INTEGRATIE | 75.087 | 0,007% | F | |
| STICHTING PGGM DEPOSITARY | 249.041 | 0.024% | F | |
| STICHTING PHILIPS PENSIOENFONDS | 9.316 | 0,001% | F | |
| STICHTING SHELL PENSIOENFORDS | 12.901 | 0,001% | F | |
| STICHTING SPOORWEGPENSIOENFONDS | 18.829 | 0,002% | F | |
| STOCKBRIDGE FUND, L.P. | 13.545.302 | 1,293% | F | |
| STOREBRAND EUROPA PLUS | 8.021 | 0,001% | F | |
| STOREBRAND GLOBAL ALL COUNTRIES | 24.294 | 0,002% | F | |
| STOREBRAND GLOBAL PLUS | 27.552 | 0.003% | F | |
| STOREBRAND LIVSFORSIKRING AS | 20.747 | 0,002% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 12.700 | 0,001% | F | |
| STRATEGIC PARTNERSHIP FUND NB LLC | 54.624 | 0,005% | F | |
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 5.474 | 0.001% | F | |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 26.604 | 0,003% | F | |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MÚLTI ASSET PORT |
4.528 | 0,000% | F | |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 1.874 | 0.000% | F | |
| SUNCORP FUNDS PTY LTD | 1.896 | 0,000% | F | |
| SUNLEY HOUSECAPITAL MASTER LIMITEDPARTNERSHIP | 3.925.913 | 0,375% | F | |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH | ||||
| AUSTRAL | 2.296 | 0,000% | F | |
| SWISS NATIONAL BANK | 1.966.121 | 0,188% | F | |
| SYCOMORE INCLUSIVE JOBS | 132.028 | 0.013% | F | |
| SYCOMORE SOCIAL IMPACT | 745.818 | 0.07 1% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 28.247 | 0,003% | F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 30.818 | 0,003% | F | |
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 5.142 | 0,000% | F | |
| TANGERINE BALANCED GROWTH PORTFOLIO | 8.954 | 0,001% | F | |
| TANGERINE BALANCED INCOME PORTFOLIO | 1.027 | 0,000% | F | |
| TANGERINE BALANCED PORTFOLIO | 7.533 | 0,001% | F | |
| TANGERINE EQUITY GROWTH PORTFOLIO | 11.322 | 0.001% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 9.235 | 0,001% | F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - | 34.823 | 0,003% | F | |
| HEDGED) FUND TEACHER RETIREMENT SYSTEM OF TEXAS |
||||
| TEACHER RETIREMENT SYSTEM OF TEXAS | 15.022 111 |
0.001% | F F |
|
| TEACHERS RETIREMENT SYSTEM OF LOUISIANA | 0,000% | |||
| TEACHERS' RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 55.338 | 0,000% | F F |
|
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 22.973 | 0,005% | F | |
| TELSTRA SUPERANNUATION SCHEME | 15.075 | 0,002% | F | |
| Terrail Remi Francois Marie | 28.000 | 0,001% 0,003% |
F | |
| TEXAS PERMANENT SCHOOL FUND CORPORATION | 149.203 | 0,014% | F | |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 3.864 | 0.000% | l | |
| TEXTRON INC MASTER TRUST | 1.725 | 0,000% | F | |
| THE ALPHAGEN MULTI-STRATEGY MASTER FUND LIMITED | 125.095 | 0,012% | F | |
| THE AMERICAN UNIVERSITY IN CAIRO | 5.855 | 0,001% | F | |
| THE BANK OF KOREA | 46.012 | 0,004% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 93.377 | 0,009% | F | |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE | 232.344 | 0,022% | F | |
| INVESTMENT FUND PLAN THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE |
||||
| THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 53.840 335.500 |
0,005% 0.032% |
F F |
|
| THE CAPTIVE INVESTORS FUND | ||||
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 279.922 6.200 |
0,027% 0,001% |
F F |
|
| Anagrafica | CF/PI | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| THE ENDEAVOUR II FUND. | 1.125 | 0.000% | F | |
| THE ESB PENSION FUND | 12.963 | 0,001% | F | |
| THE FUNDO DE PENSOES | 4.265 | 0,000% | F | |
| THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION | ||||
| RETIREMENT PLANS MASTER TRUST | 177 | 0.000% | F | |
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 385 | 0.000% | F | |
| THE INCUBATION FUND LTD | 75 | 0,000% | F | |
| THE JUPITER GLOBAL FUND SICAV | 1.419.382 | 0,136% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY | ||||
| INDEX MOTHER FUND | 13.041 | 0.001% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND |
1.175 | 0,000% | F | |
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND |
54.542 | 0.005% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION | 52.350 | 0,005% | F | |
| OF NATIONAL PUBLIC SERVICE PERSONNEL | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR | 18.407 | 0,002% | F | |
| ORGANIZATION FOR WORKERS' RETIREMENT ALLOWANCE M | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND |
276 | 0,000% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 2.080 | 0.000% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 15.187 | 0,001% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 43.848 | 0,004% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NISSAY FOREIGN EQUITY | ||||
| PASSIVE MOTHER FUND (ONLY FOR PENSION | 4.644 | 0,000% | F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY | 71.485 | 0,007% | F | |
| HEDGED) (PRIVATELY PLACED INVESTMENT T | ||||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX ESG-X (JPY HEDGED) (PRIVATELY PLACED INVEST |
9.265 | 0,001% | F | |
| THE NEMOURS FOUNDATION PENSION PLAN | 1.488 | 0.000% | P | |
| THE PENSION BOARDS-UNITED CHURCH OF CHRIST INC. | 2.372 | 0.000% | F | |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 20.280 | 0,002% | F | |
| 2.637 | 0,000% | F | ||
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | F | |||
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 8.276 | 0,001% | ||
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 598.298 | 0,057% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 75.774 | 0,007% | F | |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 11.516 | 0,001% | F | |
| THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 16.243 | 0,002% | F | |
| THEAM QUANT - EQUITY EUROPE DEFI | 45.625 | 0.004% | F | |
| THEAM QUANT- EQUITY WORLD GLOBAL GOALS | 227.411 | 0,022% | F | |
| THEAM QUANT- MULTI ASSET DIVERSIFIED DEFENSIVE | 213.275 | 0,020% | F | |
| THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 6.454 | 0,001% | F | |
| THREADNEEDLE (LUX | 14.133 | 0,001% | F | |
| THREADNEEDLE (LUX) | 1.444.177 | 0,138% | F | |
| THREADNEEDLE (LUX) COLUMBIA THREADNEEDLE INVESTMENTS | 1.108.491 | 0,106% | F | |
| THREADNEEDLE (LUX). | 1.746.641 | 0.167% | F | |
| THREADNEEDLE INVESTMENT FUNDS ICVC | 2.366.558 | 0,226% | F | |
| THRIFT SAVINGS PLAN | 2.030.151 | 0,194% | F | |
| THRIFT SAVINGS PLAN | 496.824 | 0,047% | F | |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 6.361 | 0,001% | F | |
| THYSSEN GLOBAL INVESTMENTS CORP. | 383 | 0,000% | F | |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 758.957 | 0,072% | F | |
| TIMOTHY PLAN INTERNATIONAL ETF. | 15.344 | 0,001% | F | |
| 20.000 | F | |||
| TODD INVEST TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER |
0,002% | |||
| INV | 40.392 | 0,004% | F | |
| TOUCHSTONE STRAT TRINT GRW FD | 139.390 | 0.013% | F | |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 2.839 | 0,000% | F | |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 6.392 | 0,001% | F | |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 131.858 | 0.013% | F |
131/135

FMARKFT SDIR certified
| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| USAA CASUALTY INSURANCE COMPANY | 7.276 | 0,001% | F | |
| USAA GENERAL INDEMNITY COMPANY | 3.879 | 0,000% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 73.977 | 0,007% | F | |
| VAERDIPAPIRFÖNDEN SPARINVEST INDEX BAEREDYGTIGE EUROPA KL | 6.87 1 | 0,001% | F | |
| VAERDIPAPIRFONDEN SPARINVEST INDEX BAEREDY GTIGE GLOBALE AKTIER ETIK KL ID SPARINVEST AS FILIAL AF SP |
12.288 | 0.001% | F | |
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDR | 9.646 | 0,001% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 4.278.321 | 0,409% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 10.118 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 106.156 | 0.010% | F | |
| VANGUARD ETHICALLY CONSCIOUS INTERNATIONAL SHARES INDEX FUND |
39.993 | 0,004% | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 1.184.964 | 0,113% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
78.739 | 0.008% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
446.905 | 0,043% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 3.362.582 | 0,321% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II VANGUARD FTSE ALL WORLD EX US INDEX FUND |
1.117.746 | 0,107% | F | |
| VANGUARD FISE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 73.428 | 0.007% | F | |
| VANGUARD FISE DEVELOPED EUROPE ALL CAP INDEX ETF | 6.077 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 520.551 | 0.050% | F | |
| VANGUARD GLOBAL VALUE EQUITY FUND | 48.723 | 0.005% | F | |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 236.577 | 0,023% | F | |
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 12.719 | 0,001% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 640.118 | 0.061% | F | |
| VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FISE DEV EUR EX UK CCF |
18.378 | 0,002% | F | |
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE | 12.353 | 0,001% | F | |
| DEVELOPED WRLD CMMN CONT FD VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FISE |
10.854 | 0.001% | F | |
| DVLPD WRLD EX UK CMN CNT FD VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FISE DEVELOPED |
165.382 | 0,016% | F | |
| WOR LD EX - U.K. EQUITY VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED |
0.002% | F | ||
| WORLD II (B) CCF VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED |
21.319 | |||
| EUROPE II CCF | 21.896 | 0,002% | F | |
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF |
8.949 | 0.001% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 7.320.821 | 0,699% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 294.414 | 0,028% | F | |
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 34.610 | 0,003% | F | |
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO |
13.635 | 0,001% | F | |
| VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EURÓPE | 37.183 | 0,004% | F | |
| VELLIV. PENSION & LIVSFORSIKRING A/S | 275.777 | 0,026% | F | |
| VENDOME SELECTION EUR | 74.644 | 0,007% | F | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS 1 | 27.084 | 0,003% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEX 1 | 80.077 | 0,008% | F | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 23.130 | 0,002% | F | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 6.364 | 0,001% | F | |
| VGV POOLFONDS PAT | 14.631 | 0.001% | F | |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 7.143 | 0,001% | F | |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. VIF ICVC VANGUARD FISE DEVELOPED EUROPE EXUK EQUITY INDEX |
13.341 | 0,001% | F | |
| FUND | 293.335 | 0,028% | E |
133/135

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| VIF ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 25.562 | 0,002% | F | |
| VILLERS DIAPASON | 90.883 | 0.009% | F | |
| VIRGINIA C. MARS REVOCABLE TRUST DATED AUGUST 6 1991 | 262 | 0,000% | F | |
| VIRGINIA TECH FOUNDATION INC | 2.251 | 0,000% | F | |
| VISION FUND - EUROPE GROWTH | 116.984 | 0,011% | F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 39.654 | 0,004% | F | |
| VOYA VACS INDEX SERIES I PORTFOLio | 42.532 | 0.004% | F | |
| VR BANK KITZINGEN EG EURO CONTROL NACHHALTIG | 39.290 | 0,004% | F | |
| WALLACE H COULTER FOUNDATION | 3.730 | 0,000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 212.87 1 | 0,020% | F | |
| WESPATH FUNDS TRUST | 2.329 | 0,000% | F | |
| WESTPAC WHOLESALE INTERNATIONAL SHARE NO. 3 TRUST | 3.012 | 0,000% | F | |
| WHEELS COMMON INVESTMENT FUND. | 2.617 | 0,000% | F | |
| WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 409 | 0,000% | F | |
| WILMINGTON INTERNATIONAL FUND | 32.422 | 0,003% | F | |
| WINDWISE MSCIEAFE INDEX NON-LENDING, FUND FOR EXEMPT ORG. | 20.821 | 0,002% | F | |
| WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 647 | 0.000% | F | |
| WORLD EQUITIES | 880 | 0,000% | F | |
| WORLD TRADE ORGANIZATION PENSION PLAN | 6.366 | 0,001% | F | |
| WYOMING RETIREMENT SYSTEM | 4.570 | 0,000% | F | |
| XANTIUM PARTNERS LP C/O MAPLES CORPORATE SERVICES LIMITED | ર્ડવ | 0,000% | F | |
| XTRACKERS | 605.345 | 0,058% | F | |
| XTRACKERS (IE) PUBLIC LIMITED COMPANY | 641.291 | 0,061% | F | |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 3.229 | 0,000% | F | |
| XTRACKERS MSCI EAFE ESG LEADERS EQUITY ETF | 2.910 | 0.000% | F | |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 158.878 | 0,015% | F | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 25.317 | 0,002% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 2.809 | 0,000% | F | |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 6.823 | 0,001% | F | |
| YALE UNIVERSITY | 2.716.015 | 0,259% | F | |
| YOUNG MENS CHRISTIAN ASSOCIATION RETIREMENT FUND | 87.501 | 0,008% | F | |
| ZEPHYR - EUROPE EQUITY ESG OPTIMIZED | 3.069 | 0,000% | F | |
| ZEPHYR - OPTIMISED PLUS 1 | 7.792 | 0,001% | F | |
| ZEPHYR - OPTIMISED PLUS 2 | 14.156 | 0,001% | F | |
| ZURICH INSURANCE PLC | 69.707 | 0,007% | F | |
| ZURICH INVESTICAV | 67.066 | 0,006% | F | |
| Zwitserleven Institutionele Beleggingsfondsen - Zwitserleven Duurzaam Index Aandelenfonds Europa |
15.339 | 0.001% | F | |
| AMPLEGEST DIGITAL LEADERS | 102.715 | 0,010% | C | |
| AMPLEGEST LONG/SHORT | 64.600 | 0,006% | C | |
| AMPLEGEST MIDCAPS FCP | 279.300 | 0,027% | C | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 34.216 | 0,003% | C | |
| DESJARDINS RI DEVELOPED EXUSA EXCANADA LOW CO2 INDEX ETF | 2.396 | 0,000% | C | |
| DESJARDINS SECURITE FINANCIERE COMPAGNIE D'ASSURANCE VIE | 2.566 | 0,000% | C | |
| ECOFI ENDURANCE EURO | 20.000 | 0,002% | C | |
| EPARGNE ETHIQUE FLEXIBLE | 8.340 | 0,001% | C | |
| ERAFP ACTIONS EURO 1 | 1.065.845 | 0,102% | C | |
| ERAFP ACTIONS PAB EURO I | 11.055 | 0,001% | C | |
| G FUND OPPORTUNITIES EUROPE | 630.000 | 0,060% | C | |
| IHC RENTE | 3.500 | 0,000% | C | |
| IRCANTEC PAB AMUNDI | ୧୫.୫୧୦ | 0,007% | C | |
| LBPAM ISR ACTIONS 80 | 49.115 | 0,005% | C | |
| LBPAM ISR ACTIONS EURO LARGE CAP | 45.239 | 0,004% | C | |
| LBPAM ISR ACTIONS EURO MIN VOL | 1.157 | 0,000% | C | |
| LBPAM ISR AVENIR EURO | 4.084 | 0,000% | C | |
| LBPAM ISR STRATEGIE PEA 1 | 6.062 | 0,001% | C | |
| LBPAM ISR STRATEGIE PEA 2 | 9.682 | 0,001% | C |

| Anagrafica | CF/Pl | Azioni | % su votanti Voto | |
|---|---|---|---|---|
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 21.721 | 0.002% | C | |
| SIEMENS BALANCED | 13.658 | 0,001% | C | |
| SIEMENS EMU EQUITIES | 41.519 | 0.004% | C | |
| SIEMENS-FONDS SIEMENS-RENTE | 72.260 | 0,007% | C | |
| SWISSLIFE BANQUE PRIVEE | 750 | 0,000% | C | |
| TD EMERALD INTERNATIONAL EQUITYINDEX FUND | 118.833 | 0,011% | C | |
| TD EMERALD LOW CARBON LOW VOLATILITY GLOBAL EQUITY PFT | 91 | 0.000% | C | |
| TD EUROPEAN INDEX FUND | 3.643 | 0.000% | C | |
| TD GLOBAL TECHNOLOGY LEADERS INDEX ETF | 34.180 | 0.003% | C | |
| TO INTERNATIONAL EQUITY INDEX ETF | 33.963 | 0,003% | C | |
| TONI ACTIONS ISR 100 | 59.646 | 0.006% | C | |
| VIVACCIO ISR ACTIONS | 181.2001 | 0,017% | C | |
| WEST YORKSHIRE PENSION FUND | 75.000 | 0,007% | C | |
| ADASINA SOCIAL JUSTICE ALL CAP GLOBAL ETF | 7.194 | 0.001% | A | |
| IDS LIQUID DIV RVA MEL LLC | 3.988 | 0,000% | A |
Totale votanti
1.047.318.764 100%
- Legende
C Comments
C Communio
C Communio
C C Communio
L L C C C C C C C C C C C C C C C C C C C C C C C C C -
1 PPO o 200 Comment

REGISTRAZIONE
| [X] | Atto nei termini di registrazione e di assolvimento dell'imposta di bollo |
|---|---|
| ex art. 1-bis della Tariffa d.p.r. 642/1972. |
IMPOSTA DI BOLLO
L'imposta di bollo per l'originale del presente atto e per la copia conforme ad uso registrazione, nonché per la copia conforme per l'esecuzione delle eventuali formalità ipotecarie, comprese le note di trascrizione e le domande di annotazione e voltura, viene assolta, ove dovuta, mediante Modello Unico informatico (M.U.I.) ai sensi dell'art. 1-bis, Tariffa d.p.r. 642/1972.
La presente copia viene rilasciata:
| [X] | In bollo: con assolvimento dell'imposta mediante Modello Unico Informatico (M.U.I.), ovvero tramite la competente Camera di Commercio. |
|---|---|
| [ ] | In bollo: con assolvimento dell'imposta in modo virtuale, in base ad Autorizzazione dell'Agenzia delle Entrate di Milano in data 9 febbraio 2007 n. 9836/2007. |
| [ ] | In bollo: per gli usi consentiti dalla legge. |
| [ ] | In carta libera: per gli usi consentiti dalla legge ovvero in quanto esente ai sensi di legge. |
COPIA CONFORME
| [X] | Copia su supporto informatico: il testo di cui alle precedenti pagine è conforme all'originale cartaceo, munito delle prescritte sottoscrizioni, ai sensi dell'art. 22 d.lgs. 82/2005, da trasmettere con modalità telematica per gli usi previsti dalla legge. Milano, data registrata dal sistema al momento dell'apposizione della firma digitale. |
|---|---|
| [ ] | Copia cartacea: la copia di cui alle precedenti pagine è conforme all'originale cartaceo, munito delle prescritte sottoscrizioni. Milano, data apposta in calce |

Imposta di bollo assolta in modo virtuale tramite la Camera di Commercio Metropolitana di Milano-Monza-Brianza-Lodi, autorizzata dalla Direzione Regionale della Lombardia dell'Agenzia delle Entrate n. 108375/2017 del 28 luglio 2017.