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Snam — AGM Information 2024
Jun 4, 2024
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Assemblea ordinaria degli azionisti di Snam S.p.A. 7 maggio 2024
Alle ore 10,00 del 7 maggio 2024 si aprono i lavori dell'Assemblea ordinaria di "SNAM S.p.A." (con sede legale in San Donato Milanese (MI), piazza Santa Barbara n. 7, capitale sociale sottoscritto e versato euro 2.735.670.475,56, codice fiscale e iscrizione al Registro delle Imprese di Milano-Monza-Brianza-Lodi 13271390158, iscritta al R.E.A. di Milano al n. 1633443, di seguito "Snam S.p.A.", "Snam" o la "Società"). Ai sensi dell'art. 11.2 dello Statuto sociale, la Presidente del Consiglio di Amministrazione, Monica de Virgiliis, assume la presidenza dell'Assemblea. Quindi designa nella persona del Notaio Prof. Carlo Marchetti, presente presso la sede sociale, il segretario della riunione ai sensi dell'art. 2371, primo comma, del Codice civile.
Quindi, la Presidente rende le comunicazioni di seguito riportate:
- - nel rispetto delle disposizioni vigenti, l'avviso di convocazione dell'Assemblea è stato pubblicato, in versione integrale, sul sito intemet della Società il 4 aprile 2024, nonché per estratto sui quotidiani: Il Sole 24 Ore, e, nella versione in lingua inglese, sul Financial Times il 5 aprile 2024;
- - l'ordine del giorno dell'odierna Assemblea è il seguente:
- 1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023. Relazioni degli Amministratori, del Collegio Sindacale e della Società di revisione. Deliberazioni necessarie e conseguenti.
- 2. Destinazione dell 'utile di esercizio e distribuzione del dividendo.
- 3. Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revoca dell'autorizzazione conferita dall 'Assemblea ordinaria del 4 maggio 2023 per la parte rimasta ineseguita. Deliberazioni necessarie e conseguenti.
- 4. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024:
- 4.1 Prima sezione: relazione sulla politica di remunerazione (deliberazione vincolante);
- 4.2 Seconda sezione: relazione sui compensi corrisposti (deliberazione non vincolante);
- - oltre alla Presidente, sono intervenuti nell'odierna Assemblea gli amministratori Stefano Venier (Amministratore Delegato), Rita Rolli e Qinjing Shen. Per il Collegio Sindacale sono intervenuti Stefano Gnocchi (Presidente) e i Sindaci Effettivi Gianfranco Chinellato e Ines Gandini;
- - risultano invece assenti giustificati gli amministratori Massimo Bergami, Laura Cavatorta, Augusta Iannini, Piero Manzoni e Alessandro Tonetti;
- - sono, altresì, presenti Paola Mariateresa Rolli, Alessandro Gallo e Giada Brusatori in rappresentanza della società Dcloitte & Touche S.p.A., incaricata dalla Società per la revisione contabile del bilancio di esercizio e del bilancio consolidato al 31 dicembre 2023;
- - il capitale sociale è di euro 2.735.670.475,56 (due miliardi settecentotrentacinque milioni seicentosettantamila quattrocentosettantacinque virgola cinquantasei), suddiviso in n. 3.360.857.809 (tre miliardi trecentosessantamilioni ottocentocinquantasettemila ottocentonove) azioni prive del valore nominale;

- che gli azionisti intervenuti risultano attualmente n. 1.829 per complessive n. 2.559.427.857 azioni, rappresentanti il 76,154006% del capitale sociale con diritto di voto.
Su invito della Presidente, il Segretario fornisce le seguenti ulteriori informazioni necessarie per procedere ad espletare gli adempimenti preliminari per poter dichiarare costituita l'Assemblea:
- in occasione dell'odierna Assemblea è stato adottato un sistema di votazione elettronico mediante uso di Radiovoter® volto a ridurre la durata delle operazioni di scrutinio. Qualora insorgano problemi tecnici in relazione all'esercizio del voto mediante Radiovoter®, le votazioni si svolgeranno per alzata di mano. I voti espressi in sala con modalità difformi da quelle indicate sono nulli.
Sono quindi fomite ai presenti le informazioni necessarie per il corretto uso del Radiovoter®, consegnato al momento della registrazione. Il Segretario invita la regia a proiettare la slide esplicativa delle modalità di votazione mediante Radiovoter®.
Agli aventi diritto presenti in sala sarà chiesto di esprimere il voto utilizzando gli appositi strumenti di Radiovoter® consegnati loro al momento della registrazione.
Quando sarà chiesto di procedere alla votazione, l'avente diritto o il delegato dovranno esprimere il loro voto premendo uno solo dei pulsanti presenti sul Radiovoter®, contrassegnati rispettivamente con il colore verde "FAVOREVOLE", rosso "CONTRARIO" o giallo "ASTENUTO" e immediatamente dopo il tasto "OK". Fino a quando quest'ultimo tasto non sarà premuto, l'intenzione di voto potrà essere modificata dall'interessato; il voto così espresso resterà impresso sul display fino al termine di ogni singola votazione.
Coloro che non esprimono alcun voto saranno considerati non votanti.
Il voto potrà essere espresso entro il termine di 1 minuto dall'inizio di ogni votazione; decorso questo termine la votazione verrà dichiarata chiusa.
I rappresentanti di più azionisti o di società fiduciarie che intendono esprimere voto differenziato nell'ambito delle deleghe ricevute debbono necessariamente recarsi alla postazione di voto assistito;
- - ai sensi degli artt. 12-14 del Regolamento Europeo 679/2016 ("GDPR"), comunico che i dati personali (nome, cognome, luogo di nascita, residenza e qualifiche professionali) dei partecipanti all'Assemblea sono stati e saranno acquisiti nelle forme e nei limiti connessi agli obblighi, ai compiti e alle finalità previsti dalla vigente normativa; detti dati saranno riportati nel verbale dell'Assemblea, previo trattamento in via manuale e informatica, e potranno essere oggetto di comunicazione e diffusione anche all'estero - anche al di fuori dell'Unione Europea - nelle forme e nei limiti strettamente correlati agli obblighi, ai compiti e alle finalità previsti dalla vigente normativa;
- - l'elenco nominativo degli aventi diritto partecipanti, in proprio o per delega, con l'indicazione del numero delle azioni da ciascuno possedute ed eventualmente del socio delegante, è a disposizione dei presenti e, completato dei nominativi di coloro che, eventualmente, intervengono successivamente o si allontanano prima di ciascuna votazione, con indicazione del numero delle azioni da ciascuno possedute, sarà allegato al verbale dell'Assemblea;
- - come raccomandato da Consob, analisti finanziari, giornalisti ed esperti qualificati, sono messi in condizione di seguire i lavori dell'Assemblea;
- - i nominativi delle istituzioni e delle testate giornalistiche rappresentate sono: Il Sole 24 Ore Radiocor e ANSA;

- - è stato costituito, ai sensi dell'articolo 5.2 del Regolamento delle assemblee degli azionisti di Snam S.p.A. ("Regolamento"), l'Ufficio di Presidenza al quale sono presenti Umberto Baldi e Stefano Sperzagni;
- - è in funzione in sala un impianto di registrazione audio-video degli interventi al fine di agevolare i lavori di verbalizzazione; la registrazione sarà disponibile, in differita di tre minuti, sul sito internet della Società; ai sensi dell'articolo 4 del Regolamento, nei locali in cui si svolge l'Assemblea non possono essere utilizzati strumenti di registrazione di qualsiasi genere, a eccezione di quelli citati, né apparecchi fotografici e similari; è previsto un servizio di traduzione simultanea dall'italiano all'inglese (i trasmettitori per la traduzione e le cuffie sono a disposizione presso la reception);
- - ai sensi dell'articolo 7 del Regolamento:
- > le richieste di intervento possono essere presentate all'apposito desk posizionato in fondo alla sala dal momento della costituzione dell'Assemblea fino a quando non sia stata dichiarata aperta la discussione sul relativo punto dell'ordine del giorno;
- > ciascun avente diritto può svolgere un solo intervento su ciascun argomento dell'ordine del giorno; sin d'ora, è fissata dalla Presidenza la durata massima di ciascun intervento in cinque minuti per ciascun argomento che sarà posto in discussione; in tale modo si consente a tutti gli aventi diritto di intervenire ed esprimere la propria opinione in un tempo congruo e altresì di mantenere la durata dell'Assemblea entro limiti appropriati per rispetto di tutti i presenti; il socio Marco Bava si oppone a tale decisione; la Presidente ne prende atto e il Segretario prosegue con le dichiarazioni che seguono:
- > non sono consentiti interventi di replica e, dopo la chiusura della discussione, sono consentite soltanto dichiarazioni di voto di breve durata che sin d'ora è indicata dalla Presidenza in due minuti di durata complessiva a disposizione del singolo soggetto, con riserva di decidere al momento se vi fossero richieste specifiche;
- > in caso di presentazione di emendamenti alle proposte formulate dal Consiglio o comunque di proposte diverse da quelle formulate dal Consiglio, verrà prima posta in votazione la proposta del Consiglio e, solo nel caso in cui tale proposta fosse respinta, verranno poste in votazione le proposte ulteriori;
- > analogamente, in caso di presentazione di mozioni d'ordine, sulle quali non è comunque prevista discussione, ove la Presidente decidesse di metterle in votazione, verranno prima poste in votazione le proposte eventualmente formulate dalla Presidente e, solo nel caso in cui fossero respinte, le proposte degli intervenuti;
- > le proposte degli intervenuti verranno poste in votazione a partire dalla proposta presentata da coloro che rappresentano la percentuale maggiore del capitale. Solo nel caso in cui la proposta posta in votazione fosse respinta, sarà posta in votazione la successiva proposta in ordine di capitale rappresentato;
- - in relazione all'odierna Assemblea, sono stati effettuati gli adempimenti previsti dalla normativa civilistica e dalle disposizioni sui mercati regolamentati.
Ripresa la parola, la Presidente dichiara perciò, in base ai poteri conferitegli dall'articolo 2371 del Codice civile, dall'articolo 11 del vigente Statuto sociale e dall'articolo 5 del Regolamento, l'Assemblea regolarmente costituita in sede ordinaria e atta a deliberare sugli argomenti iscritti all'ordine del giorno.
Informa al riguardo:
- che non è pervenuta alla Società alcuna richiesta di integrazione dell'ordine del giorno, né sono state presentate nuove proposte di delibera ai sensi di legge e dell'articolo 126-bis del TUF;

- che si è provveduto a verificare la legittimazione al voto sulla base delle circostanze note alla Società e delle dichiarazioni degli intervenuti.
Prega in ogni caso gli intervenuti di comunicare, ai sensi delle disposizioni di legge, dei regolamenti vigenti e dello Statuto, e in relazione a tutte le votazioni, l'esistenza di eventuali situazioni di carenza di legittimazione al voto o di esclusione dal voto, nonché l'esistenza per quanto noto di eventuali patti parasociali.
Ricorda al riguardo, tra l'altro, che:
- - ai sensi dell'articolo 120, comma 5, del TUF, non può essere esercitato il diritto di voto inerente alle azioni quotate per le quali sono state omesse dai relativi titolari le comunicazioni concernenti il possesso di partecipazioni rilevanti, ossia superiori al 3% del capitale, fatti salvi i casi di esenzione individuati nel Regolamento in materia di emittenti emanato dalla Consob con deliberazione n. 11971 del 14 maggio 1999 e successive modifiche ed integrazioni; e
- - ai sensi dell'articolo 122, comma 4, del TUF, non può essere esercitato il diritto di voto inerente alle azioni quotate per le quali non sono stati adempiuti dai relativi titolari gli obblighi inerenti alla trasparenza dei patti parasociali.
La Presidente invita dunque gli Azionisti a formulare ora eventuali richieste di chiarimento sulla legittimazione al voto o dichiarazioni sulla propria carenza di legittimazione al voto.
Preso atto che nessuno dei presenti ha effettuato segnalazioni al riguardo chiede al Segretario, con il consenso dei presenti, di fornire le ulteriori informazioni propedeutiche allo svolgimento dei lavori dell'Assemblea. Il Segretario comunica che:
- - alla data del 25 aprile 2024, la Società è titolare di 7.244.579 azioni proprie, pari allo 0,216% del capitale sociale. La Società non detiene ulteriori azioni proprie in portafoglio, neanche per il tramite di società controllate. Ai sensi dell'articolo 2357-ter, comma 2, del Codice civile, le azioni proprie sono computate ai fini del calcolo del quorum costitutivo e non anche del quorum deliberativo dell'Assemblea della Società. Ciò premesso hanno diritto di voto, escluse le indicate azioni proprie, n. 3.353.613.230 azioni ordinarie;
- - secondo le risultanze del libro soci alla data del 25 aprile 2024 e dalle informazioni ricevute, gli Azionisti che possiedono direttamente o indirettamente azioni aventi diritto di voto rappresentative di oltre il 3% del totale delle azioni emesse sono:
- o CDP Reti S.p.A.: 31,352%;
o Romano Minozzi: 7,460%;
o Lazard Asset Management LLC: 5,073%.
- - la Società è a conoscenza del patto parasociale, pubblicato ai sensi di legge sul sito internet della Società ai sensi dell'articolo 122 del TUF e dell'articolo 130 del Regolamento Emittenti, tra CdP Reti S.p.A., State Grid Europe Limited e State Grid International Development Limited, riguardante anche Snam;
- - le risposte alle domande formulate durante l'Assemblea saranno date dopo la conclusione di tutti gli interventi su ciascun punto ovvero su tutti i punti all'ordine del giorno, con preferenza per questa seconda opzione laddove l'intervento richieda approfondimenti o una risposta particolarmente articolata, eventualmente dopo una breve pausa necessaria per predisporre in modo organico le risposte. Al termine di tutti gli interventi e delle risposte, sarà consentita l'espressione delle dichiarazioni di voto da parte degli Azionisti e saranno poste in votazione le proposte sui punti all'ordine del giorno separatamente l'una dall'altra;

- - in relazione al diritto di porre domande ai sensi dell'articolo 127-ter del TUF sono pervenute alcune domande prima dell'Assemblea da parte degli Azionisti: Tommaso Marino, Luigi Santi, Marco Bava e ReCommon ETS, secondo le modalità indicate nell'avviso di convocazione. Come previsto dalla citata normativa e dall'avviso di convocazione, appositi fascicoli contenenti le relative risposte sono già stati pubblicati in data 3 maggio 2024 sul sito intemet della Società in formato "domanda e risposta" e saranno anche allegati al verbale dell'Assemblea; il socio Marco Bava chiede che il testo sia distribuito ai presenti; la Presidente ne prende atto e il Segretario prosegue con le dichiarazioni che seguono:
- - ai sensi di legge, la Società ha designato lo Studio Legale Trevisan & Associati, intervenuto in persona dell'Avv. Dario Trevisan, quale "rappresentante designato" (il "Rappresentante Designato") a cui gli aventi diritto hanno potuto conferire una delega con istruzioni di voto su tutte o alcune delle proposte all'ordine del giorno ai sensi dell'articolo 135-undecies del TUF. Si invita sin d'ora il Rappresentante Designato a indicare, per ogni singola votazione il numero di azioni per le quali non intendesse partecipare alla votazione ai sensi dell'articolo 135-undecies, comma 3, del TUF (in quanto non vi è stato conferimento di istruzioni di voto), nonché a rendere le dichiarazioni richieste dalla disciplina vigente nel caso in cui, ricorrendone i presupposti, dovesse votare in modo difforme dalle istruzioni ricevute. Si invita inoltre il Rappresentante Designato a indicare, per ogni singola votazione, eventuali interessi ai sensi dell'art. 135 undecies, comma 4, del TUF;
- - lo Studio Legale Trevisan & Associati, in qualità di Rappresentante Designato ha dichiarato alla Società di avere ottemperato all'obbligo di riservatezza imposto al Rappresentante Designato dall'articolo 135 undecies, comma 4, del TUF.
Ripresa la parola, la Presidente ringrazia il Segretario per le ulteriori informazioni fornite e dichiara aperti i lavori dell'Assemblea.
Prima di passare alla trattazione dei punti all'ordine del giorno, la Presidente:
- - informa che le Relazioni del Consiglio di Amministrazione contenenti le proposte di deliberazione sono state depositate presso la sede della Società e messe a disposizione del pubblico sul sito internet della Società e presso il meccanismo di stoccaggio autorizzato "eMarket STORAGE" () nei termini di legge e sono state inviate a coloro che ne hanno fatto richiesta. E stato, altresì, consegnato all'ingresso della sala assembleare un supporto informatico contenente le citate Relazioni, nonché la Relazione finanziaria annuale 2023, la Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024, la Relazione sul governo societario e gli assetti proprietari 2023 di Snam. Tale documentazione è consultabile inoltre inquadrando il QR Code reso disponibile dalla Società;
- - propone:
o in relazione alla tipologia degli argomenti all'ordine del giorno di trattare congiuntamente i punti numero
1) e numero 2), precisandosi che le votazioni si terranno separatamente su ogni argomento all'ordine del giorno;
o per tutti gli argomenti all'ordine del giorno di omettere la lettura della citata documentazione, fermo restando che sarà comunque fornita, ove opportuno, una breve introduzione dell'argomento e si darà comunque lettura delle proposte di delibera.
Preso atto dell'assenza di obiezioni alle suddette proposte, la Presidente passa alla trattazione dei punti numero 1) e numero 2) dell'ordine del giorno dell'Assemblea:

1) "Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A., Bilancio Consolidato al 31 dicembre 2023. Relazioni degli Amministratori, del Collegio Sindacale e della Società di revisione. Deliberazioni necessarie e conseguenti" ;
2) "Destinazione dell'utile di esercizio e distribuzione del dividendo".
Preliminarmente si ricorda che il fascicolo contenente il bilancio di esercizio della Snam S.p.A. al 31 dicembre 2023, il bilancio consolidato, la Relazione degli Amministratori sulla gestione - che contiene la Dichiarazione Consolidata di carattere non finanziario 2023 - le Relazioni del Collegio Sindacale e della Società di revisione, nonché le proposte del Consiglio di Amministrazione all'Assemblea in ordine all'approvazione del bilancio di esercizio e alla destinazione dell'utile di esercizio è stato depositato presso la sede sociale e messo a disposizione del pubblico sul sito internet della Società e presso il meccanismo di stoccaggio autorizzato "eMarket STORAGE" () in data 4 aprile 2024. La suddetta documentazione è stata inoltre inviata a coloro che ne hanno fatto richiesta.
La Presidente dà lettura della lettera agli Stakeholder di seguito trascritta.
"Signori Azionisti,
Nel 2023 il mercato ha continuato a evolversi e le tensioni geopolitiche hanno influenzato le economie europee come anche il nostro settore. In questo scenario, Snam ha ottenuto ottimi risultati, rimanendo fedele al suo purpose " Energia per ispirare il mondo", come dimostra il Piano Strategico 2023-2027 in cui viene ribadito il nostro focus sulla creazione di un infrastruttura energetica per un futuro sostenibile.
Il Consiglio di Amministrazione di Snam ha supervisionato lo sviluppo del Piano Strategico, così come il lavoro del management team per il raggiungimento di una performance significativa rispetto ai principali obiettivi finanziari e non finanziari. Come Presidente ho l'onore di guidare questo Consiglio e avere così una visione privilegiata dei punti di forza di Snam e della nostra traiettoria strategica.
Con questa lettera vorrei condividere questa prospettiva con voi.
Risultati FY 2023 solidi in un contesto incerto
Nell'esercizio 2023, Snam ha registrato un aumento dei ricavi totali a 3.865 milioni di euro (+16,8%), dell'EBITDA adjusted a 2.417 milioni di euro (+8,0%) e dell'utile netto adjusted di Gruppo a 1.168 milioni di euro (+0,4%).
Questa crescita, per effetto dell'aumento dei ricavi regolati e del contributo dei business legati alla transizione energetica, ha beneficiato di investimenti che sono saliti a 2,2 miliardi di euro per l'anno in corso, il 29%) dei quali allineati alla Tassonomia Europea e il 61%) agli Obiettivi di sviluppo sostenibile (SGDs).
In linea con questa solida performance e con la politica dei dividendi, Snam ha incrementato il dividendo del 2,5%o a 0,2820 euro per azione. Secondo il Consiglio questa scelta è funzionale all'equilibrio tra investimenti e distribuzione del capitale agli azionisti.
Sostenibilità come strategia
Snam ha inoltre proseguito il suo percorso di sostenibilità, che continua a ricevere riconoscimenti da parte di autorevoli player 1 , mantenendo il focus sulle aree rilevanti per la propria strategia attraverso (1) i risultati ottenuti - con la conferma del gold standard da parte del Programma delle Nazioni Unite per l'ambiente
1MSCI, Sustainalytics, CDP, Dow Jones Sustainability Index, ecc.

("UNEP") per le emissioni di metano2 e il raggiungimento del nostro obiettivo di Sustainable Finance con tre anni di anticipo rispetto a quanto pianificato 3 - e (2) la definizione di nuovi impegni quali l'obiettivo Net Zero su tutte le emissioni entro il 2050 (confermando la carbon neutrality entro il 2040) e l'impatto netto positivo sulla biodiversità entro il 2027.
"Energy Infrastructure for a Sustainable Future"
Il 25 gennaio 2024 Snam ha presentato il Piano Strategico 2023-2027. L'annuncio del Piano ha evidenziato che i progressi delle nostre due attività sinergiche - infrastrutture per il gas e transizione energetica - saranno sostenuti da un approccio strategico integrato che si avvale di due leve fondamentali: sostenibilità e innovazione.
Per quanto riguarda la sostenibilità, per strutturare il nostro impegno relativo a fattori ambientali, sociali e materiali, è stato elaborato un approccio basato su sette pilastri. A titolo esemplificativo, sono inclusi in questo quadro: (1) lo sviluppo di una piattaforma di transizione energetica per raggiungere la decarbonizzazione del sistema e la crescita sostenibile, e (2) la generazione di valore per le comunità locali, con attenzione alle esigenze del territorio. Tutti i pilastri sono supportati da obiettivi a breve e medio termine.
Per quanto riguarda l'innovazione, Snam ha adottato un approccio duplice, con un investimento di 350 milioni di euro in tecnologie consolidate e di 50 milioni di euro in nuove tecnologie nell'arco del piano. Anche la "Transformative Innovation" è una direttrice della strategia di sostenibilità. Snam si impegna infatti a sviluppare una cultura che massimizzi l'efficacia della tecnologia, migliorando così la sicurezza degli asset, l'affidabilità, la sostenibilità e le capacità della catena del valore.
Sviluppo attraverso TEngagement
Nel corso dell'anno Snam è rimasta vicina ai suoi stakeholder, compresi gli azionisti; nel 2023 abbiamo incontrato più di 300 investitori. Considerato il nostro impegno in termini di engagement, è essenziale che la traiettoria di Snam venga determinata insieme agli azionisti, anche grazie ai loro feedback.
Oltre agli investitori, Snam si è confrontata con più di 150 istituzioni nazionali e locali; ha partecipato a consultazioni organizzate dall'UE e dagli enti regolatori; ha incontrato numerosi clienti, fornitori, operatori infrastrutturali e associazioni.
Grazie a queste attività, Snam è riuscita a migliorare il coinvolgimento dei dipendenti, aggiornare la matrice di materialità, rafforzare la politica sulle attività di lobby sul clima, introdurre le cosiddette Shareholders Ownership Guidelines e affinare il peer group utilizzato per il benchmarking retributivo dei manager.
Snam continuerà a raccogliere attivamente i feedback ricevuti dagli stakeholder e ad agire di conseguenza. Desidero ringraziare gli azionisti di Snam per il loro impegno nel discutere le questioni strategiche più importanti e nel comunicare le loro aspettative.
Gestione della crescita futura
Nell'ottica di Snam di fornire "Infrastrutture energetiche per un futuro sostenibile " (Energy Infrastructure For a Sustainable Future), il Consiglio di Amministrazione è pienamente consapevole del ruolo che svolge per contribuire al raggiungimento di questo obiettivo. Il Consiglio di amministrazione di Snam è a maggioranza indipendente e ha raggiunto un rapporto quasi paritario tra le rappresentanze di genere. Oltre la metà dei
2 Snam ha ottenuto una riduzione del 57% delle emissioni di metano rispetto ai livelli del 2015.
3 Snam aveva precedentemente fissato un obiettivo di Sustainable Finance all'80%, raggiunto nel 2023, rispetto al 70% del 2022.

membri ha competenze nel settore in cui Snam opera e possiede una vasta esperienza in materia di sostenibilità. Queste competenze sono state valorizzate nel corso dell'anno precedente, quando è stato sviluppato il Piano Strategico, e continueranno ad arricchire la sfida del Consiglio nella supervisione dell'esecuzione delle strategie.
Da Presidente, mi adopero per aumentare l'efficacia del Consiglio con vari strumenti. A questo scopo, nel corso dell'anno il Consiglio ha potuto seguire diversi programmi di formazione e partecipare a un workshop strategico. La recente Board Evaluation (svolta con il supporto di un advisor esterno indipendente) ha dato esiti complessivamente positivi e ha riconosciuto la fiducia interpersonale e il rispetto reciproco all 'interno del Board. L'indagine ha inoltre evidenziato una particolare attenzione alproblem solving e all'organizzazione del lavoro disciplinata. Per me questo è un grande risultato. L'anno prossimo proseguiremo questo processo di valutazione con l'obiettivo di continuare a migliorare e garantire che il Consiglio di amministrazione operi a pieno sostegno della crescita dell 'azienda.
Le sfide che ci attendono, dall'execution di fondamentali progetti infrastrutturali al consolidamento di un percorso di decarbonizzazione che sappia convergere con le esigenze di ripresa del Paese e dell 'Europa, sono inevitabilmente complicate dallo scenario nel quale siamo chiamati a operare ma rappresentano al contempo obiettivi coerenti con la nostra ambizione, che intendiamo continuare a perseguire in un 'autentica logica di sistema, facendo squadra con tutti gli stakeholder, pubblici e privati, e mettendo sempre al centro le nostre persone".
Il socio Marco Bava chiede che le slides oggetto di illustrazione da parte dell'Amministratore Delegato, siano distribuite ai presenti; la Presidente ne prende atto e invita successivamente l'Amministratore Delegato, Stefano Venier a illustrare l'attività svolta dalla Società durante l'esercizio 2023.
L'Amministratore Delegato riferisce di un esercizio 2023 con risultati solidi dal punto di vista economicofinanziario e significativi progressi dal punto di vista operativo; è proseguito l'impegno nel garantire la piena sicurezza energetica del Paese mantenendo al contempo un focus costante sul percorso di decarbonizzazione già avviato da tempo da Snam. Il 2023 ha visto un ulteriore aumento degli investimenti rispetto all'anno precedente, una crescita significativa degli indicatori economici e il mantenimento di una solida struttura finanziaria. Inoltre l'approccio alla sostenibilità ha consentito di conseguire ulteriori progressi su tutti i principali indicatori ESG e significativi sono stati anche gli sviluppi nella realizzazione della strategia volta a fare di Snam un operatore paneuropeo multimolecolare, grazie ad un'infrastruttura in grado sia di garantire la sicurezza degli approvvigionamenti, sia di supportare le attività di transizione energetica.
Per quanto riguarda i risultati finanziari, l'Amministratore Delegato riferisce che si è registrato un EBITDA adjusted superiore a 2,4 miliardi di euro, in aumento dell'8% rispetto all'anno precedente, nonché un utile netto adjusted pari a 1,168 miliardi, superiore alla guidance comunicata in occasione della presentazione del piano strategico dello scorso 25 gennaio. Gli investimenti sono stati pari a 2,2 miliardi di Euro (in aumento del 14% rispetto all'anno precedente) e gli indicatori della struttura finanziaria hanno consentito agli analisti di confermare rating ed outlook. Il mercato del gas, nel 2023, ha visto una contrazione sia della domanda sia dei prezzi (con prezzi medi inferiori del 40% rispetto al 2022), ancora peraltro caratterizzati da un'estrema volatilità; i flussi di gas hanno inoltre continuato a essere influenzati dalla situazione geopolitica mentre la diminuzione dei volumi da nord è stata compensata dall'aumento delle importazioni di GNL che lo scorso anno hanno raggiunto i 16 miliardi di metri cubi. L'Amministratore Delegato sottolinea che anche sul piano
8

normativo si sono registrati progressi e sviluppi, tra cui l'aggiornamento annuale della remunerazione sul capitale delle attività regolate (trasporto, stoccaggio e rigassificazione). L'Autorità di regolamentazione, inoltre, ha introdotto, con effetti a partire dal 2024, una nuova metodologia migliorativa in termini di tassi di capitalizzazione degli investimenti e dei costi operativi, nonché una migliore remunerazione dei lavori in corso e un minor time lag per gli ammortamenti a partire dal 2025.
Riferisce che parte del risultato, poi, si deve al contributo delle società partecipate, rispetto alle quali è stata attuata una strategia di gestione attiva del portafoglio, che ha visto quali principali iniziative il collocamento sul mercato di una parte delle azioni detenute in Industrie De Nora S.p.A. e l'emissione di un bond convertibile in azioni Italgas. Le partecipate internazionali hanno potuto beneficiare di una migliore visibilità: in particolare, Teréga in Francia e DESFA in Grecia hanno completato il percorso di revisione regolatoria delle attività che svolgono.
Particolare attenzione è stata posta alla sostenibilità, settore che ha registrato progressi in tutti i principali indicatori anche con riferimento alla Tassonomia europea e ai Principi SDGs. Sul punto, l'Amministratore Delegato ricorda come significativi: l'adesione all'SBTN Corporate Engagement; l'impegno per un impatto positivo in termini di biodiversità; la dettagliata analisi dei rischi legati ai cambiamenti climatici, che conferma la resilienza degli asset con riferimento sia ai rischi fisici, sia a quelli di transizione, in diversi scenari; l'impegno a proseguire la visione in linea con gli accordi di Parigi; il riconoscimento da parte di Moody's con il c.d. Net Zero Assessment. Questi obiettivi ambiziosi e il costante miglioramento delle performance si sono riflessi nella posizione di Snam quale leader nei rating ESG. Considerando infine le emissioni di CO2, l'Amministratore Delegato riferisce che si è registrata una riduzione delle emissioni (Scope 1 e 2) soprattutto grazie alla notevole performance nelle emissioni di gas naturale che sono diminuite di oltre il 20% rispetto all'anno precedente e del 57% rispetto al 2015, risultato che è valso la certificazione UNEP Gold Standard. Con specifico riferimento alle emissioni Scope 3 si è registrata una riduzione del 4% rispetto all'anno precedente (a parità di perimetro). Per quanto riguarda i risultati economici, in aggiunta ai già citati risultati in termini di EBITDA ed utile netto, l'Amministratore Delegato richiama la crescita della RAB tariffaria, l'incremento degli investimenti e la posizione finanziaria netta, che garantisce una piena solidità finanziaria.
La prospettiva strategica al 2027, già illustrata in occasione della presentazione del piano industriale lo scorso gennaio, è fondata su una concezione sinergica e interconnessa dell'infrastruttura del gas e della piattaforma di transizione energetica; come già segnalato, l'Amministratore Delegato osserva che ci si è posti l'obiettivo di fare di Snam un operatore paneuropeo multimolecola, attraverso un'infrastruttura flessibile, modulare e riconvertibile, che assicuri la sicurezza degli approvvigionamenti in Italia e in Europa, facendo leva su due pilastri: sostenibilità e innovazione trasformativa. I target previsti nel piano industriale includono una crescita solida e in ulteriore aumento al piano precedente in termini di investimenti, RAB tariffaria, EBITDA e utile netto adjusted; la crescita di questi indicatori economici sarà peraltro accompagnata dal mantenimento di una solidità finanziaria con ratio tali da mantenere le valutazioni da parte delle agenzie di rating. La solidità del piano consente inoltre di migliorare la proposta sulla politica di dividendo, con una crescita annuale di almeno il 3% dal 2023 al 2027 rispetto al precedente impegno del 2,5%. Queste proiezioni sono supportate dalla natura regolata del core business, dall'elevato livello di visibilità del piano industriale e dall'accelerazione della crescita economica che ne consegue.

Per quanto riguarda la sostenibilità, è stato elaborato un approccio basato su sette pilastri, due dei quali operano a livello di business tradizionale e cinque agiscono sulle modalità di gestione delle attività.
L'Amministratore Delegato si sofferma su alcune attività previste dal piano industriale che sono già state implementate nel 2023 e nei primi mesi del 2024: (i) la Linea Adriatica è stata inserita tra le infrastrutture strategiche e il progetto riceverà un contributo di 375 milioni di euro dal programma Repower EU e proprio in queste settimane sono stati avviati i primi tre cantieri della tratta Sestino-Minerbio; (ii) si è registrato un livello record di riempimento degli stoccaggi prima dell'inverno: sono stati offerti nuovi servizi come il contro flusso, che è proseguito anche nei primi mesi del 2024, che hanno contribuito a mantenere i siti di stoccaggio pieni; (iii) le aste per la locazione e la capacità residua sono state completamente assegnate agli operatori; (iv) è stato messo in esercizio il primo rigassificatore a Piombino e proseguono i lavori per il rigassificatore da collocare a Ravenna.
Passando al tema della transizione energetica, Renovit - la B Corp del gruppo specializzata in efficienza energetica - ha contribuito alla crescita dell'EBITDA di Gruppo grazie a progetti di riqualificazione energetica, attuando al contempo un riposizionamento del business verso gli energy performance contract di lungo termine necessario per una prospettiva di crescita anche nel medio-lungo termine, esauriti gli effetti del c.d. super ecobonus.
Per quanto riguarda il biometano, l'Amministratore Delegato informa che si prosegue sia nell'ottimizzare le connessioni agli impianti e alla rete sia nello sviluppare il business con circa 41 megawatt di impianti di biometano e biogas in funzione. Durante l'anno si è anche voluto rifocalizzare il portafoglio deconsolidando alcune attività pari a 8 megawatt all'interno della società Iniziative Biometano, mentre 2 megawatt di biogas sono in fase di trasformazione in produzione a biometano. Infine, sia la dorsale dell'idrogeno, sia i progetti di cattura della CO2 sono stati riconosciuti come progetti di interesse comunitario. Ancora, si segnalano: un'indagine, in collaborazione con Confìndustria, tra le industrie ad alta intensità energetica; la fase pilota del progetto di cattura della CO2 a Ravenna.
In conclusione, l'Amministratore Delegato riferisce che si presentano per il 2023 solidi risultati finanziari, nonché le basi per una altrettanto solida crescita futura, il che consente di offrire agli Azionisti una remunerazione attraente e sostenibile, mantenendo allo stesso tempo una solida struttura finanziaria e una flessibilità intrinseca. Snam conferma la volontà di essere leader nell'ambito della sostenibilità, mantenendo l'impegno a ridurre la carbon footprint in linea con gli accordi di Parigi, la completa digitalizzazione degli asset e l'impegno nell'innovazione tecnologica, elementi tutti che continueranno a sostenere la strategia e a mantenere il gruppo all'avanguardia nel settore.
Ringraziato Stefano Venier per l'intervento, la Presidente invita Stefano Gnocchi, Presidente del Collegio Sindacale e Paola Mariateresa Rolli, Socio di Deloittc & Touche S.p.A., a dare lettura rispettivamente della conclusione contenuta nella Relazione del Collegio Sindacale all'Assemblea degli Azionisti ai sensi dell'articolo 153 del TUF e dell'articolo 2429 del Codice civile e delle parti della Relazione della Società di revisione sul bilancio di esercizio e sulle altre disposizioni di legge e regolamentari.
Stefano Gnocchi dà lettura della parte conclusiva della Relazione del Collegio Sindacale all'Assemblea degli Azionisti ai sensi dell'articolo 153 del TUF e dell'articolo 2429 del Codice civile.
"[...] il Collegio Sindacale non rileva, per i profili di propria competenza, alcun motivo ostativo all'approvazione del bilancio dell'esercizio chiuso al 31 dicembre 2023 - il cui progetto è stato redatto e

approvato dal Consiglio di Amministrazione in data 13 marzo 2024 - e alle proposte formulate dallo stesso all'Assemblea degli Azionisti in ordine alla destinazione dell'utile dell'esercizio e alla distribuzione del dividendo".
Paola Mariateresa Rolli dà lettura delle parti della Relazione relative al bilancio d'esercizio e sulle altre disposizioni di legge e regolamentari.
"Abbiamo svolto la revisione del bilancio d'esercizio di Snam S.p.A. A nostro giudizio, il bilancio d'esercizio fornisce una rappresentazione veritiera e corretta della situazione patrimoniale e finanziaria della Società al 31 dicembre 2023, del risultato economico e dei flussi di cassa per l'esercizio chiuso a tale data in conformità agli International Financial Repor ting Standards adottati dal {'Unione Europea nonché ai provvedimenti emanati in attuazione dell'articolo 9 del D. Lgs. n. 38/05.
Abbiamo svolto le procedure indicate nel principio di revisione (SA Italia) n. 700B al fine di esprimere un giudizio sulla conformità del bilancio d'esercizio alle disposizioni del Regolamento Delegato (UE) 2019/815 della Commissione Europea in materia di norme tecniche di regolamentazione relative alla specificazione del formato elettronico unico di comunicazione (ESEF - European Single Electronic Format (nel seguito "Regolamento Delegato "). A nostro giudizio, il bilancio d'esercizio al 31 dicembre 2023 è stato predisposto nel formato XHTML in conformità alle disposizioni del Regolamento Delegato.
Abbiamo svolto le procedure indicate nel principio di revisione (SA Italia) n° 72OB al fine di esprimere un giudizio sulla coerenza della relazione sulla gestione e di alcune specifiche informazioni contenute nella relazione sul governo societario e gli assetti proprietari indicate nell'articolo 123-bis, comma 4, del D. Lgs 58/98, con il bilancio d'esercizio di Snam S.p.A. al 31 dicembre 2023 e sulla conformità delle stesse alle norme di legge, nonché di rilasciare una dichiarazione su eventuali errori significativi.
A nostro giudizio, la relazione sulla gestione e alcune specifiche informazioni contenute nella relazione sul governo societario e gli assetti proprietari sopra richiamate sono coerenti con il bilancio d'esercizio di Snam S.p.A. al 31 dicembre 2023 e sono redatte in conformità alle norme di legge.
Con riferimento alla dichiarazione di cui all'articolo 14, comma 2, lettera e), del D. Lgs. 39/10, rilasciata sulla base delle conoscenze e della comprensione del! 'impresa e del relativo contesto acquisite nel corso dell 'attività di revisione, non abbiamo nulla da riportare".
Ringraziati Stefano Gnocchi e Paola Mariateresa Rolli per i rispettivi interventi da parte della Presidente, su invito della stessa, il Segretario dà quindi lettura delle proposte di delibera del Consiglio di Amministrazione in merito ai punti numero 1) e numero 2) all'ordine del giorno di seguito trascritte.
Proposta relativa al punto 1) dell'ordine del giorno
"Signori Azionisti,
siete invitati ad approvare il bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. che chiude con l'utile di 1.203.704.953,88 euro".
Proposta relativa al punto 2) dell'ordine del giorno
"Signori Azionisti,
siete invitati a:
destinare l'utile di esercizio di 825.417.381,54 euro, che residua dopo la distribuzione dell 'acconto sul dividendo dell 'esercizio 2023 di 0,1128 euro per azione deliberato dal Consiglio di Amministrazione dell '8 novembre 2023, come segue:

• agli azionisti a titolo di dividendo 0,1692 euro per azione alle azioni che risulteranno in circolazione alla data di stacco della cedola, escluse le azioni proprie in portafoglio a quella data, a saldo dell'acconto sul dividendo, attribuendo alla riserva "Utili relativi a esercizi precedenti" l'importo che residua dopo il pagamento del saldo. Il dividendo relativo all 'esercizio 2023 si determina pertanto tra acconto e saldo in 0,2820 euro per azione;
- mettere in pagamento il saldo del dividendo di 0,1692 euro per azione a partire dal 26 giugno 2024 (record date 25 giugno 2024), con data di stacco cedola il 24 giugno 2024. ".
La Presidente apre la discussione.
Davide Manunta, per CDP Reti, ricorda che il 2022 ha rappresentato un anno di svolta per il sistema globale dell'energia, chiamato ad adattarsi ad uno scenario cambiato radicalmente dopo l'invasione russa dell'ucraina; a un anno di distanza, si deve purtroppo constatare che la realtà resta in continuo cambiamento e ogni anno presenta sfide a cui Paesi, aziende ed economia nella sua interezza sono chiamati a rispondere dinamicamente, velocemente ed efficacemente. Nel contempo, la sfida della transizione energetica presenta molteplici ostacoli ed incertezze, in particolare sotto il profilo della sostenibilità economica e sociale e dell'attuazione concreta. CDP Reti è fiera di partecipare all'assemblea e del contributo dato da Snam alla transizione energetica anche nel 2023, forte della competenza e della professionalità di tutte le sue persone. CDP Reti intende anche evidenziare che la recente crisi geopolitica ha reso il tema della sicurezza energetica un elemento fondamentale di sviluppo e equità sociale: le vicende legate all'invasione ucraina hanno comportato una maggiore consapevolezza di tutti rispetto al ruolo del gas nella vita quotidiana e Snam, in questo contesto, ha dato un contributo essenziale e ampiamente riconosciuto. La Società ha infatti dimostrato di saper cogliere con resilienza e flessibilità la doppia sfida della sicurezza e della transizione energetica, investendo in infrastrutture flessibili, per garantire security of supply attraverso le diversificazioni negli approvvigionamenti ed accompagnare la transizione, assicurando copertura dei picchi di domanda e bilanciamento nella crescente generazione da fonti rinnovabili. CDP Reti ritiene che le azioni delineate per il recupero dell'equilibrio siano state sin qui portate a termine efficacemente dal management, verso cui esprime il proprio pieno ringraziamento e apprezzamento. Inoltre, CDP Reti apprezza che la focalizzazione sulle infrastrutture del gas venga accompagnata da significativi progressi nel business e nella transizione energetica (con particolare riferimento, per il 2023, all'entrata in funzione della Golar Tundra a Piombino e di BW Singapore) e da un'apprezzabile visione del futuro (con particolare riferimento agli investimenti nell'infrastruttura multimolecolare e nel progetto di carbon capture Storage di Ravenna). CDP Reti condivide la prospettiva strategica delineata dal management e dal Consiglio di Amministrazione nel Piano Industriale, che traccia una traiettoria chiara rispetto alle priorità di breve e di medio/lungo termine nel cammino verso la decarbonizzazione, con 1) gli investimenti attesi in stoccaggio e rigassificazione che assicurano al Paese, nel breve e medio periodo, la disponibilità di una fonte di energia essenziale per le famiglie e per le imprese, assicurando un'appropriata diversificazione degli approvvigionamenti e 2) gli interventi nel business della transizione, che garantiscono nel medio-lungo periodo un contributo efficace al raggiungimento degli obiettivi climatici al 2050. Ancora, CDP Reti, nel ruolo di azionista, si è impegnata a garantire l'implementazione e l'ulteriore sviluppo dei piani di investimento di Snam in Italia e in Europa e la tutela delle caratteristiche del TSO a supporto della crescita del Paese: i prossimi tre anni saranno essenziali per portare a termine infrastrutture indispensabili e per la sicurezza energetica dell'Italia e del centro Europa, considerato il nuovo ruolo che la crisi Ucraina ha restituito all'Italia e alle sue infrastrutture.

Snam sta contribuendo a rendere il Paese un hub infrastrutturale, rispondendo alle esigenze di sicurezza e flessibilità, con particolare riferimento alla strategicità degli interventi lungo i corridoi sud occidentali e sud orientali, finalizzati ad assicurare una nuova capacità di importazione e diversificazione, ma anche di esportazione. Grazie a Snam l'Italia oggi può affermare il proprio ruolo di partner strategico per la sicurezza deH'approvvigionamento dei paesi dell'Europa centrale, Austria, Slovacchia, Slovenia, Ungheria e Germania, garantendo una riconfigurazione dei flussi in export verso gli stessi paesi. CDP Reti esprime, in ultimo, apprezzamento anche per i risultati economici del 2023, che garantiscono agli azionisti il dividendo atteso. Snam rappresenta un player strategico del paese, che ha mostrato reattività ad un contesto complesso e dinamico rendendo fieri gli azionisti.
Interviene la Presidente, per estendere il ringraziamento e l'apprezzamento espressi da CDP Reti a tutto il personale che ha reso possibile il raggiungimento dei risultati presentati.
Marco Bava, dopo aver richiamato i propri siti intemet e precisato di non avere intenti suicidi e dopo aver richiamato alcune considerazioni di base circa l'elevato costo di trasporto del gas liquido e la saturazione del mercato, si sofferma su un'iniziativa portata avanti da Italgas in Sardegna che, a suo giudizio, imporrebbe un ripensamento delle strategie Snam sull'utilizzo dell'idrogeno: sul punto, richiamando l'intervento svolto nell'assemblea di Italgas, il socio ritiene che l'idrogeno non debba essere considerato un vettore energetico bensì una riserva di energia, da utilizzare direttamente nel luogo in cui viene prodotta e da commercializzare attraverso bombole dell'idrogeno per autotrazione, come avviene a Mestre. Invita quindi la Società - e anche CDP Reti - ad un profondo ripensamento delle strategie, incentrato su un ruolo dell'idrogeno quale riserva di energia, che si potrebbe peraltro utilizzare - con bombole di idrogeno a serpentina - per la ricarica di auto elettriche, abbattendo i costi che al momento penalizzano tale prodotto. Ribadisce che, a suo avviso, il trasporto di idrogeno dall'Asia o dall'Africa per la successiva conversione in energia non è economicamente efficiente e diminuisce l'efficienza energetica; domanda sul punto se le condutture della nuova infrastruttura c.d. Adriatica siano in plastica e idonee al trasporto di idrogeno. Conclude quindi invitando con forza a percorrere questa direzione in sede italiana ed europea, anche promuovendo una modifica delle regole di unbundling.
Nessun altro chiedendo la parola, l'Amministratore Delegato anzitutto assicura che le attività di pianificazione e sviluppo di Snam nascono dallo sviluppo di scenari condivisi e coordinati con Terna e tengono altresì conto delle attese di consumi sia elettrici sia del gas, all'interno di scenari che vengono sottoposti anche all'Autorità dell'energia e che sono coerenti con i Piani Energetici nazionali e, soprattutto, costantemente aggiornati. Ricorda quindi che, attualmente, in Europa i consumi sono ripartiti tra circa il 70% per la parte molecolare e circa il 30% per la quota di energia elettrica; segnala pure che, nello scenario c.d. net zero, della piena decarbonizzazione, le quote arriveranno a circa il 40/50% per la quota molecolare e circa al 50/60% per l'elettrificazione: occorre quindi adottare una logica di complementarità - e non di contrapposizione - tra i due settori nella soddisfazione dei consumi. Quanto all'idrogeno, l'Amministratore Delegato ricorda anzitutto che il trasporto dell'energia elettrica su lunghe distanze presenta un costo molto elevato e forti dispersioni; aggiunge che, soprattutto in presenza di un forte sviluppo di fonti rinnovabili, si presentano frequenti casi di eccedenza di energia elettrica: questi fattori stanno alla base della scelta di procedere con la trasformazione in idrogeno e il relativo trasporto, che peraltro avviene anche su tratte più brevi di quelle che partono dall'Asia o dall'Africa, come dal Sud al Nord Italia. Conclude, sul punto, ricordando che la produzione di idrogeno richiede economie di scala e confermando che Snam segue con attenzione le iniziative nella regione Sardegna e rimane a

disposizione del Ministero responsabile e della Regione Sardegna per trovare una soluzione che permetta una rapida uscita dalle produzioni di carbone nella regione. Da ultimo, rivendica la piena terzietà di Snam rispetto a tutti gli altri operatori nel business del gas o delle altre molecole e ricorda che la nuova infrastruttura c.d. Adriatica sarà in acciaio in grado di trasportare idrogeno.
***
La Presidente passa alla trattazione del punto numero 3) dell'ordine del giorno dell'Assemblea:
3) ''''Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 4 maggio 2023 per la parte rimasta ineseguita. Deliberazioni necessarie e conseguenti".
In considerazione dell'approssimarsi della scadenza del periodo di diciotto mesi per l'autorizzazione all'acquisto deliberata dall'Assemblea ordinaria degli Azionisti del 4 maggio 2023, nonché del permanere delle motivazioni poste a fondamento della medesima, il Consiglio di Amministrazione propone all'Assemblea degli Azionisti di rinnovare l'autorizzazione all'acquisto e alla disposizione di azioni proprie per un periodo di ulteriori diciotto mesi, per le finalità, ai termini e con le modalità indicati nella relazione illustrativa del Consiglio di Amministrazione relativa al presente ordine del giorno.
Su invito della Presidente, il Segretario dà quindi lettura della proposta di delibera del Consiglio di Amministrazione in merito al punto 3) all'ordine del giorno di seguito trascritta.
Proposta relativa al punto 3) dell'ordine del giorno
"Signori Azionisti, Vi proponiamo pertanto di approvare la seguente deliberazione:
- - di revocare la precedente deliberazione di autorizzazione all'acquisto di azioni proprie assunta dall'Assemblea in data 4 maggio 2023 per la parte rimasta ineseguita;
- - di autorizzare il Consiglio di Amministrazione e per esso 1'Amministratore Delegato, con facoltà di subdelega, all'acquisto di azioni proprie tramite uno o più intermediari di primario standing incaricati dalla Società, in una o più volte, per la durata massima di 18 mesi dalla data odierna, sino ad un limite massimo rotativo di n. 110.000.000 di azioni ordinarie Snam, pari a circa il 3,27% del capitale sociale sottoscritto e liberato avuto riguardo anche alle azioni proprie già possedute dalla Società e per un esborso massimo pari a 500 milioni di euro, nel rispetto del principio della parità di trattamento e mediante l'utilizzo delle modalità previste dall 'art. 144-bis, comma 1, lett. b) del Regolamento Emittenti oppure con le modalità stabilite dall'art. 5 del regolamento UE n. 596/2014 o con le modalità stabilite da prassi di mercato ammesse dalla Consob ai sensi dell'art. 13 del regolamento UE n. 596/2014, secondo quanto previsto dall'articolo 144-bis, comma 1, lettera d)-ter del Regolamento Emittenti, o con modalità diverse da quelle sopra indicate ove consentito dall'articolo 132 del T.U.F. e, in ogni caso, nel rispetto delle ulteriori disposizioni di legge e regolamentari di volta in volta applicabili al momento dell'operazione. Il corrispettivo per le operazioni di acquisto delle azioni proprie, fermi restando i requisiti dei programmi di riacquisto disciplinati dall 'art. 5 del regolamento UE n. 596/2014, non dovrà essere superiore a più del 5%o e non inferiore di più del 5%o rispetto al prezzo di riferimento rilevato sul mercato EXM nella seduta precedente ogni singola operazione. Qualora la Società si proponga di sostenere la liquidità delle proprie azioni in conformità ai criteri stabiliti dalla prassi di mercato ammessa ai sensi dell 'art. 180, comma 1, lettera c), del T. U.F. inerente all 'attività di sostegno della liquidità del mercato, ammessa dalla Consob con delibera n. 21318 del 7 aprile 2020, come eventualmente modificata o sostituita nel corso della durata

dell'autorizzazione, il prezzo d'acquisto verrà stabilito nel rispetto della suddetta prassi di mercato ammessa. Le operazioni di acquisto delle azioni proprie dovranno essere eseguite in conformità alla relazione allegata alla presente delibera e per le finalità ivi descritte;
- - di autorizzare il Consiglio di Amministrazione e per esso 1'Amministratore Delegato, con facoltà di subdelega, al compimento (in una o più volte, senza limiti di tempo e anche prima di aver esaurito gli acquisti) di atti di disposizione di tutte o parte delle azioni proprie della Società acquistate in base alla presente deliberazione, nonché di quelle già detenute. Per quanto concerne le operazioni di alienazione, disposizione e/o utilizzo delle azioni proprie, si conferisce mandato al Consiglio di Amministrazione e per esso all'Amministratore Delegato, con facoltà di delega, di stabilire di volta in volta i criteri per la determinazione del relativo corrispettivo e/o modalità, termini e condizioni di impiego delle azioni proprie in portafoglio avuto riguardo alle modalità realizzative impiegate, all 'andamento dei prezzi delle azioni nel periodo precedente all'operazione e al miglior interesse della Società, operazioni da eseguirsi sia direttamente che per il tramite di intermediari, nel rispetto delle disposizioni di legge e regolamentari vigenti in materia, sia nazionale che comunitaria, nonché, ove applicabili, delle prassi di mercato ammesse pro-tempore vigenti. Il tutto da eseguirsi in conformità alla relazione allegata alla presente delibera e per le finalità ivi descritte;
- - di conferire al Consiglio di Amministrazione e per esso 1'Amministratore Delegato, con facoltà di subdelega, ogni potere occorrente per dare esecuzione alle deliberazioni di cui ai punti precedenti, ponendo in essere tutto quanto richiesto, opportuno, strumentale e/o connesso per il buon esito delle stesse, nonché per provvedere all 'informativa al mercato richiesta dalla normativa vigente e, ove applicabili, dalle prassi di mercato ammesse pro-tempore vigenti".
La Presidente apre la discussione.
Marco Bava, considera l'acquisto di azioni proprie da parte della società "un insidcr trading legalizzato" ed equiparabile a una riduzione di capitale immotivata. Riprendendo quindi la discussione sui precedenti punti all'ordine del giorno, ribadisce la convinzione (anche quale socio di Terna, della quale lamenta la scelta di tenere l'assemblea "a porte chiuse" che non consente un dialogo con i soci come quello odierno) che vi sia maggiore dispersione di energia nella trasformazione e trasporto di idrogeno che negli elettrodotti. Segnala che, a suo giudizio, se Snam non si muoverà in questa direzione, lo faranno altri concorrenti. Conclude chiedendo se le strategie di Snam potranno cambiare dopo le elezioni europee e ribadendo che a suo avviso progetti come quello di Italgas in Sardegna rappresentano il modello che risulterà vincente economicamente e tecnicamente in futuro.
Nessun altro chiedendo la parola, la Presidente ricorda che l'autorizzazione all'acquisto di azioni proprie non ha fini speculativi ma viene richiesta esclusivamente per gli utilizzi indicati nella Relazione.
L'Amministratore Delegato a sua volta assicura che Snam è pronta, in caso di modifiche della normativa europea, ad adattarsi con agilità a nuovi scenari, ricordando l'insieme delle iniziative di Energy Transition in materia di biometano, idrogeno ed efficienza energetica in genere. Assicura che la dispersione di energia viene analiticamente misurata, precisando che ovviamente la stessa dipende nell'energia elettrica soprattutto dalla tensione e dalla distanza, nelle molecole soprattutto dalla dimensione delle condotte. Al riguardo, l'Amministratore Delegato precisa che sarà reso disponibile un documento che approfondisca con maggiore dettaglio il grado di dispersione dell'energia elettrica rispetto a quella delle molecole.

***
La Presidente passa alla trattazione del punto numero 4) dell'ordine del giorno dell'Assemblea:
4) "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024:
*4.1 Prima sezione: relazione sulla politica di remunerazione (deliberazione vincolante) *
4.2 Seconda sezione: relazione sui compensi corrisposti (deliberazione non vincolante)".
Sul punto la Presidente ricorda che, ai sensi dell'articolo 123-ter del TUF e dell'articolo 84-quater del Regolamento Emittenti, il Consiglio di Amministrazione di Snam S.p.A. ha predisposto la "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024", che è stata depositata presso la sede sociale, presso Borsa Italiana S.p.A. e pubblicata sul sito intemet della Società il 4 aprile 2024 e presso il meccanismo di stoccaggio autorizzato "eMarket STORAGE" ().
Ricorda che il voto dell'Assemblea, in relazione al quarto punto all'ordine del giorno, è vincolante con riferimento alla Prima sezione e non vincolante con riferimento alla Seconda sezione della Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024.
Ricorda inoltre che in relazione al presente argomento all'ordine del giorno si procederà con due distinte e separate votazioni, sulla base delle proposte di seguito formulate.
Richiama altresì la lettera agli Azionisti, contenuta nella Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024, che descrive le principali attività svolte dal Comitato Nomine e Remunerazioni nel corso del 2023 pubblicata ai sensi di legge e invita Rita Rolli, Presidente del Comitato Nomine e Remunerazioni, a darne lettura.
Viene di seguito riportato l'intervento della Presidente del Comitato Nomine e Remunerazioni.
"Gentili Azioniste e Azionisti,
sono lieta di presentare, a nome del Comitato Nomine e Remunerazioni e del Consiglio di Amministrazione, la Relazione annuale sulla politica in materia di remunerazione e sui compensi corrisposti di Snam (di seguito anche la "Relazione "). Il documento si pone l'obiettivo di illustrare in modo trasparente a tutti gli Stakeholder gli elementi che compongono la politica retributiva di Snam per l'anno 2024 e i risultati della sua applicazione per l'anno 2023.
Nel 2023 l'Assemblea ha registrato un elevato livello di gradimento per la Relazione di Snam, che ha ottenuto un ampio consenso da parte degli Azionisti (92,2% di voti favorevoli per la Sezione I e 93,3% per la Sezione II).
Il Comitato ha posto in essere le attività in materia di remunerazione a! fine di definire una Politica retributiva per il 2024 che garantisca l'allineamento degli interessi dei vertici aziendali a quelli degli azionisti e degli altri Stakeholder, promuovendo il perseguimento degli obiettivi del nuovo Piano Strategico 2023-2027 presentato al mercato il 25 gennaio 2024.
In tale contesto l'obiettivo di Snam nell 'arco del piano è continuare a rispondere in maniera bilanciata alle sfide del trilemma energetico attraverso un 'infrastruttura che possa garantire sicurezza, sostenibilità e competitività delle forniture di energia, prevedendo inoltre, lo sviluppo della piattaforma di Energy Transition concentrata su tecnologie per la decarbonizzazione, con un ruolo strategico e abilitante della sostenibilità e dell 'innovazione.
Per raggiungere questi obiettivi il Piano prevede un incremento degli investimenti che si svilupperanno su due direttrici: (i) investimenti nelle infrastrutture lungo l'intera catena del valore; (ii) contributo alla

decarbonizzazione attraverso la piattaforma Energy Transiti on con lo sviluppo dei gas verdi (idrogeno e biometano), l'avvio del progetto per la dorsale dell'idrogeno italiana ed europea (SoutH2 Corridor), lo sviluppo dell 'infrastruttura per la CCS (Carbon Capture and Storage), e l'ulteriore crescita delle attività volte a incrementare l'efficienza energetica.
La Società ritiene, inoltre, estremamente importante il dialogo con i principali stakeholder nella definizione della Politica retributiva, al fine di realizzare un costante miglioramento, adottare le best practices di mercato e recepire le indicazioni provenienti da Investitori Istituzionali e Proxy Advisor.
Nel corso del 2023 Snam ha avviato un 'attività di engagement diretto con gli azionisti organizzando un roadshow dedicato a temi di Governance, Sostenibilità e Compensation prima e dopo l'Assemblea. Nell 'ambito di tale attività è stato possibile incontrare le strutture di stewardship dei grandi investitori istituzionali che hanno fornito preziosi feedback e spunti di miglioramento, recepiti all 'interno della presente Relazione.
Sebbene la Politica retributiva 2024 sia stata definita in sostanziale continuità rispetto all 'anno precedente, nel perseguimento dell'interesse della Società e tenendo in considerazione i feedback raccolti dal processo di engagement con gli stakeholder, è stato eseguito un aggiornamento della Politica retributiva 2024, prevedendo l'introduzione delle seguenti novità:
- l'aggiornamento del panel di società da utilizzare per la valutazione della politica retributiva nel suo complesso relativamente all'Amministratore Delegato e Direttore Generale, al Consiglio di Amministrazione, al Collegio Sindacale, ai Dirigenti con Responsabilità Strategiche ed all'Executive Director Internai Audit. Il processo di aggiornamento del peer group ha previsto il coinvolgìmento di consulenti esterni indipendenti con l'obiettivo di allineare la Politica retributiva alle migliori pratiche di mercato, tenendo in considerazione anche i feedback ricevuti dai Proxy Advisor e dagli Investitori Istituzionali. Il peer group risultante è composto da società maggiormente comparabili a Snam in termini di business, profilo di rischio e modello operativo della società. Il peer group di confronto è stato determinato utilizzando tre cluster di società definiti in base alla tipologia di business - Industriali, Utilities/Energia e Regolamentato/Infrastrutture - definendo un panel di 22 aziende (10 italiane e 12 europee);
- / 'introduzione, in ottica di allineamento alle migliori prassi di mercato in tema di convergenza degli interessi tra azionisti e il vertice aziendale, della policy per il ruolo di Amministratore Delegato relativa alla linea guida sul possesso azionario (Share Ownership Guideline) che prevede la detenzione di un numero di azioni per un controvalore minimo pari al 200% della propria Remunerazione Fissa, da raggiungere entro un termine di 5 anni e da mantenere, una volta raggiunto il requisito minimo, fino a! termine del Rapporto. In caso di nomina di un nuovo Amministratore Delegato, si richiede il raggiungimento de! livello minimo di possesso azionario entro due mandati (corrispondenti a 6 anni);
- l'ampliamento de! perimetro dei Dirigenti con Responsabilità Strategiche da 3 a 8 individuati dall'Amministratore Delegato e Direttore Generale.
In considerazione della revisione della Relazione in termini di comunicazione effettuata lo scorso anno, con il presente documento la Società ha mantenuto il proprio impegno verso la massima trasparenza, prevedendo delle evoluzioni al fine di tenere in considerazione i feedback ricevuti nel processo di engagement e mantenendo un approccio integrato al reporting assembleare.

Confido che l'impegno profuso dal Comitato con il management e le scelte compiute in continuità con la Politica retributiva approvata nell 'ultima Assemblea degli Azionisti possano ancora una volta essere compresi e apprezzati, con il sostegno che sarà dato alla presente Politica proposta per il 2024. ".
Ringraziata Rita Rolli da parte della Presidente, su invito della stessa, il Segretario dà quindi lettura delle proposte di delibera del Consiglio di Amministrazione in merito al punto numero 4) all'ordine del giorno di seguito trascritte.
Proposta relativa al punto
4.1 Prima Sezione: Relazione sulla Politica di Remunerazione (deliberazione vincolante).
"L'Assemblea di Snam S.p.A.,
- esaminata la "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024" predisposta dal Consiglio di Amministrazione della Società ai sensi dell'art. 123-ter del Decreto Legislativo 24 febbraio 1998, n. 58 e dell 'art. 84-quater del Regolamento Emittenti adottato dalla Consob con delibera n. 11971 del 14 maggio 1999;
- esaminata e discussa in particolare la prima sezione della suddetta Relazione, contenente, ai sensi del comma 3 del predetto art. 123-ter, l'illustrazione della politica della Società in materia di remunerazione dei componenti del Consiglio di Amministrazione, dell 'Amministratore Delegato e Direttore Generale, dei Dirigenti con responsabilità strategiche e dei componenti del Collegio Sindacale con riferimento all'esercizio 2024, nonché delle procedure utilizzate per l'adozione e l'attuazione della politica medesima;
- tenuto conto che, ai sensi del combinato disposto dei commi 3-bis e 3-ter dell'art. 123-ter del Decreto Legislativo 24 febbraio 1998, n. 58, il voto dell 'Assemblea sulla suddetta prima sezione della "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024" ha natura vincolante;
delibera
di approvare la prima sezione della "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024 " di Snam S.p.A., predisposta dal Consiglio di Amministrazione della Società ai sensi dell 'art. 123-ter, comma 3, del Decreto Legislativo 24 febbraio 1998, n. 58".
***
Proposta relativa al punto
4.2 Seconda Sezione: Relazione sui Compensi Corrisposti (deliberazione non vincolante).
"L'Assemblea di Snam S.p.A.
- presa visione della "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024 " predisposta dal Consiglio di Amministrazione della Società ai sensi dell 'art. 123-ter del Decreto Legislativo 24 febbraio 1998, n. 58 e dell 'art. 84-quater del Regolamento Emittenti adottato dalla Consob con delibera n. 11971 del 14 maggio 1999;
- esaminata e discussa in particolare la seconda sezione di tale Relazione, contenente, ai sensi del comma 4 del predetto art. 123-ter, l'indicazione dei compensi corrisposti ai componenti del Consiglio di Amministrazione, all'Amministratore Delegato e Direttore Generale, ai Dirigenti con responsabilità strategiche (per questi ultimi in forma aggregata) e ai componenti del Collegio Sindacale nell 'esercizio 2023 o ad esso relativi;

tenuto conto che, ai sensi del comma 6 dell 'art. 123-ter del Decreto Legislativo 24 febbraio 1998, n. 58, il voto dell'Assemblea sulla suddetta seconda sezione della "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024 " ha natura non vincolante;
delibera
di esprimere voto in senso favorevole sulla seconda sezione della " Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024" di Snam S.p.A., predisposta dal Consiglio di Amministrazione della Società ai sensi dell'art. 123-ter, comma 4, del Decreto Legislativo 24 febbraio 1998, n. 58".
La Presidente apre la discussione.
Marco Bava, domanda chiarimenti sui compensi della Presidente e dell'Amministratore Delegato sostenendone in particolare, anche a beneficio di CDP Reti, la non esatta coincidenza rispetto a quelli delle medesime cariche di Italgas.
Nessun altro chiedendo la parola, la Presidente precisa che il socio CDP Reti non assume un ruolo attivo nelle decisioni in questa materia che spettano al Consiglio di Amministrazione e al relativo Comitato competente; assicura che viene svolta una verifica di benchmark per la remunerazione su un ampio comparto di aziende simili da un punto di vista di business, di struttura e di capitalizzazione.
Chiede nuovamente la parola Marco Bava per dichiarazione di voto, anticipando astensione sul quarto punto all'ordine del giorno, voto contrario sul terzo punto per le ragioni di contrarietà già espresse rispetto ad una riduzione di capitale immotivata, voto favorevole sui punti primo e secondo.
***
La Presidente dichiara quindi chiusa la discussione.
Su invito della Presidente, il Segretario procede all'espletamento delle operazioni di votazione relativamente ai suddetti punti all'ordine del giorno.
Alle ore 10,50 viene messa in votazione la proposta del Consiglio di Amministrazione sul punto numero 1) all'ordine del giorno dell'Assemblea: "Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A., Bilancio Consolidato al 31 dicembre 2023. Relazioni degli Amministratori, del Collegio Sindacale e della Società di revisione. Deliberazioni necessarie e conseguente.
La Presidente
- - invita i presenti a non assentarsi durante le operazioni di voto su tutte le delibere;
- - prega gli intervenuti di comunicare, ai sensi delle disposizioni di legge, dei regolamenti vigenti e dello Statuto sociale, resistenza di eventuali situazioni di carenza di legittimazione al voto o di esclusione dal voto;
- - informa che non risultano situazioni di esclusione dal voto.
L'Assemblea approva a maggioranza.
N. 2.555.122.767 azioni favorevoli.
N. 2.370.586 azioni contrarie,
N. 1.901.104 azioni astenute.
N. 33.400 azioni non votanti.
Il tutto come da dettagli allegati. Si proclama il risultato.
Alle ore 10,51 viene messa in votazione la proposta del Consiglio di Amministrazione sul punto numero 2) all'ordine del giorno dell'Assemblea: "Destinazione deirutile di esercizio e distribuzione del dividendo".

La Presidente
- - invita i presenti a non assentarsi durante le operazioni di voto su tutte le delibere;
- - prega gli intervenuti di comunicare, ai sensi delle disposizioni di legge, dei regolamenti vigenti e dello Statuto sociale, l'esistenza di eventuali situazioni di carenza di legittimazione al voto o di esclusione dal voto;
- - informa che non risultano situazioni di esclusione dal voto.
L'Assemblea approva a maggioranza.
- N. 2.539.658.449 azioni favorevoli.
- N. 19.730.748 azioni contrarie,
- N. 5.260 azioni astenute.
N. 33.400 azioni non votanti.
Il tutto come da dettagli allegati. Si proclama il risultato.
Alle ore 10,52 viene messa in votazione la proposta del Consiglio di Amministrazione sul punto numero 3) all'ordine del giorno dell'Assemblea: "Autorizzazione all'acquisto e alla disposizione di azioni proprie, previa revoca dell'autorizzazione conferita dall'Assemblea ordinaria del 4 maggio 2023 per la parte rimasta ineseguita. Deliberazioni necessarie e conseguenti".
La Presidente
- - invita i presenti a non assentarsi durante le operazioni di voto su tutte le delibere;
- - prega gli intervenuti di comunicare, ai sensi delle disposizioni di legge, dei regolamenti vigenti e dello Statuto sociale, l'esistenza di eventuali situazioni di carenza di legittimazione al voto o di esclusione dal voto;
- - informa che non risultano situazioni di esclusione dal voto.
- L'Assemblea approva a maggioranza.
- N. 2.553.326.154 azioni favorevoli.
- N. 6.011.717 azioni contrarie,
N. 56.586 azioni astenute.
N. 33.400 azioni non votanti.
Il tutto come da dettagli allegati. Si proclama il risultato.
Alle ore 10,53 viene messa in votazione la prima proposta del Consiglio di Amministrazione sul punto numero 4) all'ordine del giorno dell'Assemblea: 'Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: 4.1 Prima sezione: relazione sulla politica di remunerazione (deliberazione vincolante)".
La Presidente
- - invita i presenti a non assentarsi durante le operazioni di voto su tutte le delibere;
- - prega gli intervenuti di comunicare, ai sensi delle disposizioni di legge, dei regolamenti vigenti e dello Statuto sociale, resistenza di eventuali situazioni di carenza di legittimazione al voto o di esclusione dal voto;
- - informa che non risultano situazioni di esclusione dal voto;
- L'Assemblea approva a maggioranza.
- N. 2.489.762.180 azioni favorevoli.
- N. 69.573.416 azioni contrarie,

N. 58.861 azioni astenute.
N. 33.400 azioni non votanti.
Il tutto come da dettagli allegati. Si proclama il risultato.
Alle ore 10,54 viene messa in votazione la seconda proposta del Consiglio di Amministrazione sul punto numero 4) all'ordine del giorno dell'Assemblea: "Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: 4.2 Seconda sezione: relazione sui compensi corrisposti (deliberazione non vincolante)".
La Presidente
- - invita i presenti a non assentarsi durante le operazioni di voto su tutte le delibere;
- - prega gli intervenuti di comunicare, ai sensi delle disposizioni di legge, dei regolamenti vigenti e dello Statuto sociale, l'esistenza di eventuali situazioni di carenza di legittimazione al voto o di esclusione dal voto;
- - informa che non risultano situazioni di esclusione dal voto.
- L'Assemblea approva a maggioranza.
- N. 2.504.030.139 azioni favorevoli.
- N. 54.926.857 azioni contrarie,
- N. 437.461 azioni astenute.
N. 33.400 azioni non votanti.
Il tutto come da dettagli allegati. Si proclama il risultato.
La Presidente ringrazia i presenti per la partecipazione e l'attenzione e, null'altro essendovi a deliberare, dichiara chiusa l'Assemblea alle ore 11,45.
Allegati:
- - elenco nominativo dei soggetti intervenuti per delega conferita al Rappresentante Designato, con l'indicazione delle azioni da ciascuno possedute, con il dettaglio delle votazioni, sotto "A";
- - domande e risposte egli azionisti ai sensi dell'articolo 127-ter del TUF, sotto "B".
La Presidente

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| BAVA MARCO GEREMIA CARLO | 4 | F F C C C |
| 4 | ||
| FERRERO ANDREA - PER DELEGA DI |
0 | |
| HELABA INV KAPITALANL GES MBH HI HERMES | 9.023 | F F F F F |
| HELABA INVEST KAG MBH FOR HI-SPAVO-FONDS | 19.244 | F F F F F |
| DEKA INVESTMENT GMBH W/DEKA EURO STOXX 50 ESG UCITS ETF | 165.567 | F F F F F |
| BUILDERS ASSET MANAGEMENT LLC | 55.623 | F F F F F |
| LEHMAN-STAMM FAMILY PARTNERS LLC | 264 | F F F F F |
| LEGAL & GENERAL MSCI EAFE FUND LLC | 143.531 | F F F F F |
| METIS EQUITY TRUST- METIS INTERNATIONAL CLIMATE ALIGNED INDE | 20.900 | F F F F F |
| MONDRIAN INTERNATIONAL EQUITY ESG FUND L.P | 536.790 | F F F F F |
| MONDRIAN INTERNATIONAL EQUITY FOCUSED FUND L.P. | 263.597 | F F F F F |
| NELKE PARTNERSHIP | 8.665 | F F F F F |
| INTERNATIONAL EQUITY FUND LLC | 16.312 | F F F F F |
| HOLTEC INDIAN POINT 3 LLC MASTER DECOMMISSIONING TRUST | 22.393 | F F F F F |
| AVALON PORTFOLIO II LLC | 426 | F F F F F |
| DEKA INVESTMENT GMBH W/MKG W/U2 MKG EUROLAND | 29.787 | F F F F F |
| 801 INVESTMENTS LLC | 9.547 | F F F F F |
| RTPIP LP | 2.467 | F F F F F |
| FCM INTERNATIONAL LLC | 4.450 | F F F F F |
| ZOMA CAPITAL PORTFOLIO LLC. | 19.875 | F F F F F |
| THYSSEN GLOBAL INVESTMENTS CORP. | 1.673 | F F F F F |
| GLOBAL BOND FUND WAYCROSSE INC | 185.502 | F F F F F |
| MFC INTERNATIONAL FUND LLC | 15.782 | F F F F F |
| GLOBAL EQUITY SERIES OF SALT CREEK INVESTMENTS LLC | 8.486 | F F F F F |
| SENTINEL INTERNATIONAL FUND | 658 | F F F F F |
| SALIX LLC | 38.659 | F F F F F |
| DEKA INVESTMENT GMBH W/A-HAM-FONDS W/U02 | 62.363 | F F F F F |
| SLW PORTFOLIO LLC | 1.778 | F F F F F |
| PRO-GEN INVESTMENTS LLC | 5.770 | F F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| CINDY SPRINGS LLC | 164.372 | F F F F F |
| RUM CAY LP | 9.483 | F F F F F |
| RDM LIQUID LLC | 57.800 | F F F F F |
| K INVESTMENTS SH LIMITED. | 198.313 | F F F F F |
| LEGAL & GENERAL MSCI EAFE SL FUND LLC | 145.559 | F F F F F |
| MBB PUBLIC MARKETS I LLC | 142.583 | F F F F F |
| PROVIDENCE ST. JOSEPH HEALTH LONG TERM PORTFOLIO | 5.321 | F F F F F |
| FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 7.724 | F F F F F |
| DEKA INVESTMENT GMBH W/DEKA BIV-B | 2.906 | F F F F F |
| INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 129.532 | F F F F F |
| MONDRIAN GLOBAL EQUITY FUND L.P | 435.781 | F F F F F |
| MONDRIAN ALL COUNRIES WORLD EX-US EQUITY FUND L.P. GLOBAL I | 4.390.123 | F F F F F |
| MONDRIAN INTERNATIONAL EQUITY FUND L.P. | 16.978.011 | F F F F F |
| NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 551.197 | F F F F F |
| CHEVRON UK PENSION PLAN | 8.657 | F F F F F |
| FIFE COUNCIL PENSION FUND | 301.207 | F F F F F |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 19.238 | F F F F F |
| THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 560.271 | F F F C C |
| FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND | 3.415.933 | F F F F F |
| DEKA INVESTMENT GMBH W/VER 03-FONDS W/U1 | 21.960 | F F F F F |
| FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 160.829 | F F F F F |
| VI CAPITAL LTD. | 2.920 | F F F F F |
| CBS INSURANCE COMPANY LIMITED | 2.726 | F F F F F |
| STATE UNIVERSITIES RETIREMENT SYSTEM | 2.420.326 | F F F F F |
| COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA | 21.148 | F F F F F |
| MERCER PASSIVE INTERNATIONAL SHARES FUND | 124.772 | F F F F F |
| MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 16.393 | F F F F F |
| MERCER TAILORED 1 TRUST | 1.133.659 | F F F C C |
| MERCER GLOBAL LISTED INFRASTRUCTURE FUND | 198.403 | F F F C C |
| MAGELLAN INFRASTRUCTURE FUND (CURRENCY HEDGED) | 1.721.879 | F F F F F |
| HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-BG ETEM A6-SFONDS | 48.536 | F F F F F |

| RISULTATI ALLE VOTAZIONI | ||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
Ordinaria 1 2 3 4 5 |
| NT WORLD GREEN TRANSITION INDEX FUND | 2.465 | F F F F F |
| INSURANCE COMMISSION OF WESTERN AUSTRALIA | 895.984 | F F F F F |
| ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND | 4.597.232 | F F F C C |
| AUSTRALIAN CAPITAL TERRITORY | 57.205 | F F F F F |
| MERCER INDEXED INTERNATIONAL SHARES FUND | 150.054 | F F F F F |
| INTERNATIONAL EQUITIES PASSIVE B UNIT TRUST | 3.595 | F F F F F |
| SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL | 14.495 | F F F F F |
| GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 338.432 | F F F F F |
| MAGELLAN INFRASTRUCTURE FUND (UNHEDGED) | 2.054.837 | F F F F F |
| QIC INTERNATIONAL EQUITIES FUND. | 16.964 | F F F F F |
| MATIG ACT MONDE | 414.648 | F F F F F |
| MAGELLAN INFRASTRUCTURE FUND | 4.458.311 | F F F F F |
| MAGELLAN CORE INFRASTRUCTURE FUND | 792.158 | F F F F F |
| THE TRUSTEES OF THE HENRY SMITH CHARITY | 36.611 | F F F F F |
| S. ROBSON WALTON 1999 CHILDRENS TRUST | 5.218 | F F F F F |
| MOBIUS LIFE LIMITED | 31.044 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 1 | 14.863 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 3 | 17.306 | F F F F F |
| S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 4.573 | F F F F F |
| JOHN T. WALTON FAMILY TRUST | 50.037 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 6 | 1 | F F F F F |
| HI-172915-FONDS | 6.416 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 4. | 5.361 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 9. | 4.439 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 8. | 83.727 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 2 | 14.383 | F F F F F |
| HRW TRUST NO. 4 UAD 01/17/03 | 137.420 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 5 | 6.947 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 12. | 13.597 | F F F F F |
| HRW TRUST NO. 3 UAD 01/17/03 | 111.815 | F F F F F |
| HRW TESTAMENTARY TRUST NO. 11. | 63.276 | F F F F F |

| RISULTATI ALLE VOTAZIONI | |||
|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
Ordinaria 1 2 3 4 5 |
|
| S. ROBSON WALTON 2010 TRUST | 8.791 | F F F F F | |
| MATIGNON ACTIONS INTERNATIONALES | 395.045 | F F F F F | |
| HRW TRUST NO. 1 UAD 01/17/03 | 3.454 | F F F F F | |
| HRW TESTAMENTARY TRUST NO. 10. | 6.127 | F F F F F | |
| HRW TRUST NO. 2 UAD 01/17/03 | 14.918 | F F F F F | |
| PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS | 5.144 | F F F F F | |
| PRESBYTERIAN CHURCH (USA) FOUNDATION | 9.707 | F F F F F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 4.225.300 | F F F F F | |
| FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 43.530 | F F F F F | |
| ARVEST FOUNDATION | 1.277 | F F F F F | |
| FALKIRK COUNCIL PENSION FUND | 418.449 | F F F F F | |
| FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 945.317 | F F F F F | |
| ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA | 343.495 | F F C F F | |
| ESSENTIA HEALTH | 1.965 | F F F F F | |
| THE CALIFORNIA WELLNESS FOUNDATION | 13.453 | F F F F F | |
| RETIREMENT PLAN FOR CHICAGO TRANSIT AUTHORITY EMPLOYEES. | 27.315 | F F F F F | |
| CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 1.126 | F F F F F | |
| CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 4.746 | F F F F F | |
| ATRIUM HEALTH | 353.901 | F F F F F | |
| NORTHAMPTONSHIRE PENSION FUND | 6.868 | F F F F F | |
| ARIEL INTERNATIONAL FUND | 1.274.449 | F F F F F | |
| MICHIGAN CATHOLIC CONFERENCE | 13.823 | F F F F F | |
| NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND | 553.450 | F F F F F | |
| DEGUSSA BANK NACHHALTIGKEITSFONDS AKZENT | 110.020 | F F F F F | |
| HI MANPT FONDS | 116.436 | F F F F F | |
| THE NEMOURS FOUNDATION PENSION PLAN | 1.940 | F F F F F | |
| NORTHERN MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE FUND | 2.870.315 | F F F F F | |
| THE MOTOROLA PENSION SCHEME. | 65.616 | F F F F F | |
| THE MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND | 5.831 | F F F F F | |
| MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 6.408 | F F F F F | |
| JTW TRUST NO. 1 UAD 9/19/02. | 10.211 | F F F F F | |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| JTW TRUST NO. 3 UAD 9/19/02. | 10.536 | F F F F F | |||
| JTW TRUST NO. 5 UAD 9/19/02. | 7.625 | F F F F F | |||
| JTW TRUST NO. 2 UAD 9/19/02. | 12.155 | F F F F F | |||
| JTW TRUST NO. 4 UAD 9/19/02. | 8.489 | F F F F F | |||
| HI PNWL DIVIDENDE PLUS FONDS | 2.865.071 | F F F F F | |||
| ILLINOIS MUNICIPAL RETIREMENT FUND | 5.767.768 | F F F F F | |||
| CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 235.259 | F F F F F | |||
| LOS ANGELES CITY EMPLOYEES` RETIREMENT SYSTEM. | 138.415 | F F F F F | |||
| LOTHIAN PENSION FUND | 1.602.787 | F F F F F | |||
| MORNINGSTAR UNCONSTRAINED ALLOCATION FUND A SERIES OF MORNINGSTAR FUNDS TRUST | 678.958 | F F F F F | |||
| MONTGOMERY COUNTY CONSOLIDATED RETIREE HEALTH BENEFITS TRUST | 139.410 | F F F F F | |||
| BAPTIST FOUNDATION OF TEXAS. | 440.014 | F F F F F | |||
| NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 457.003 | F F F F F | |||
| PROVIDENCE HEALTH & SERVICES CASH BALANCE RETIREMENT PLAN TR. | 3.897 | F F F F F | |||
| GENERAL PENSION AND SOCIAL SECURITY AUTHORITY | 38.842 | F F F F F | |||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS | 46.855 | F F F F F | |||
| GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 116.668 | F F F F F | |||
| ALFRED I. DUPONT CHARITABLE TRUST | 36.804 | F F F F F | |||
| ABU DHABI PENSION FUND | 91.748 | F F F F F | |||
| WYOMING RETIREMENT SYSTEM | 22.318 | F F F F F | |||
| GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 8.180 | F F F F F | |||
| USAA GENERAL INDEMNITY COMPANY | 13.240 | F F F F F | |||
| TEACHERS` RETIREMENT SYSTEM OF OKLAHOMA | 255.753 | F F F F F | |||
| UTAH STATE RETIREMENT SYSTEMS | 268.360 | F F F F F | |||
| USAA CASUALTY INSURANCE COMPANY | 23.563 | F F F F F | |||
| SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 186.012 | F F F F F | |||
| ERI BAYERNINVEST FONDS AKTIEN EUROPA | 84.724 | F F F F F | |||
| SAN MATEO COUNTY EMPLOYEES` RETIREMENT ASSOCIATION | 1.325.788 | F F F F F | |||
| EMPLOYEES RETIREMENT FUND OF THE CITY OF DALLAS. | 122.926 | F F F F F | |||
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 4.554 | F F F F F | |||
| REGIME DE RETRAITE DU PERSONNEL DES CPE ET DES GARDERIES PRI | 206.908 | F F F F F | |||

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 3.782.803 | F F F F F |
| ACS 30:70 GLOBAL EQUITY TRACKER FUND | 100 | F F F F F |
| BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 667.391 | F F F F F |
| STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 1.758.477 | F F F F F |
| LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 200.000 | F F F F F |
| UBS COMMON CONTRACTUAL FUND | 32.420 | F F F F F |
| ARABELLE ROTHSCHILD | 11.245 | F F F F F |
| THE LF ACCESS POOL AUTHORISED CONTRACTUAL SCHEME | 1.640.272 | F F F F F |
| BLACKROCK UCITS CCF | 186.898 | F F F F F |
| WEST YORKSHIRE PENSION FUND | 1.003.311 | A F C C F |
| RECORD INVEST SCA SICAV RAIF | 8.612 | F F F F F |
| KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | 204.196 | F F F F F |
| ELO MUTUAL PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY | 406.937 | F F F F F |
| NOTHERN TRUST LUXEMBOURG MANAGEMENT COMPANY SA ACTING IN ITS | 407.544 | F F F F F |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF | 81.818 | F F F F F |
| STICHTING PENSIOENFONDS PGB | 556.811 | F F F F F |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. | 9.472 | F F F F F |
| ZWITSERLEVEN INSTITUTIONELE BELEGGINGSFONDSEN - ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA |
93.875 | F F C F F |
| STICHTING PENSIOENFONDS OPENBARE BIBLIOTHEKEN | 9.180 | F F F F F |
| FJARDE AP-FONDEN. | 2.112.866 | F F F F F |
| ROBECO INSTITUTIONAL UMBRELLA FUND | 294.164 | F F F F F |
| POINT72 LONDON INVESTMENTS LTD. | 5.695.419 | F F F F F |
| D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 2.498 | F F F F F |
| NORTH ROCK SPC - NR 1 SP | 211.223 | F F F F F |
| DE SHAW US BROAD MARKET CORE ALPHA EXTENSION CUSTOM FUND II L.L.C. | 113.928 | F F F F F |
| DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 269 | F F F F F |
| AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT L.P. PORTFOLIO MARGIN ACCT | 24.457 | F F F F F |
| DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 7.816 | F F F F F |
| HI-PROVINZIAL-LOWRISK-DIVIDENDENSTRATEGIE-FONDS | 220.780 | F F F F F |
| D.E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS II L.L.C | 1.099 | F F F F F |
| BG MASTER FUND ICAV | 403 | F F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| CM GRAT LLC | 1.417 | F F F F F |
| ROSEDENE LLC | 4.415 | F F F F F |
| SPRING 625 | 48.014 | F F F F F |
| THE CHERYL D DUFFIELD TRUST UAD 09/12/96 CHERYL D DUFFIELD TTEE | 1.207 | F F F F F |
| THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 25.982 | F F F F F |
| LGT SELECT EQUITY GLOBAL | 1.096.632 | F F F F F |
| MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL CONVERTIBLE FUND | 120.039 | F F F F F |
| MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL LISTED INFRASTRU | 1.229.309 | F F F F F |
| PEGASUS-UI-FONDS | 25.000 | F F F F F |
| VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE | 103.691 | F F F F F |
| MACT - SIF | 16.867 | F F F F F |
| GBPO - QCF - GLOBAL BALANCED POOL | 5.997 | F F F F F |
| UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO | 183.243 | F F F F F |
| RIVERFIELD SICAV - RIVERFIELD ALLROUNDER | 14.000 | A F A A A |
| RIVERFIELD SICAV - RIVERFIELD EQUITIES | 36.826 | A F A A A |
| CDIL WHITEHELM CAP LS CR INFS FD | 1.078.824 | F F F F F |
| CMLA INDEXED GLOBAL SHARE FUND | 7.056 | F F F F F |
| JOHN HANCOCK FUNDS III GLOBAL SHAREHOLDER YIELD FUND | 2.947.350 | F F F F F |
| JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. | 68.097 | F F F F F |
| AXA OR ET MATIERES PREMIERES | 54.767 | F F F F F |
| PRUDENTIAL ASSURANCE COMPANY SINGAPORE (PTE) LTD | 391.460 | F F F F F |
| SCHWAB INTERNATIONAL INDEX FUND | 1.162.786 | F F F F F |
| SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX FUND | 235.198 | F F F F F |
| TIMOTHY PLAN MARKET NEUTRAL ETF | 43.011 | F F F F F |
| COLONIAL FIRST STATE INVESTMENT FUND 50. | 29.053 | F F F F F |
| COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 110.842 | F F F F F |
| COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 6. | 988.762 | F F F F F |
| COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES FUND1 | 1.317.314 | F F F F F |
| COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 7 | 1.159.045 | F F F F F |
| WM POOL - EQUITIES TRUST NO. 31 - ROBECO | 2.508 | F F F F F |
| FCP FCE PLCT INTERNATIONAL ESG PLUS | 508.071 | C F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| ONEMARKETS ITALY ICAV | 53.241 | F F F F F |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 18.670.981 | F F F F F |
| ILA-LA WORLD ESG SCREENED FUND | 15.566 | F F F F F |
| ILA - RAFIMF | 16.692 | F F F F F |
| ILA-A-ILSDMH | 372.296 | F F F F F |
| IRISH LIFE ASSURANCE. | 174.452 | F F F F F |
| ILA-ILSEAFE - SUSTAINABLE EAFE EQUITY | 99.192 | F F F F F |
| ILA - A-ILGLOEQN | 3.318 | F F F F F |
| ILA - A-ILDSCG | 9.927 | F F F F F |
| ILA - A-ILGLOEQG | 14.859 | F F F F F |
| HELABA INV KAPITALANL GES MBH HI AKTIENS | 295.800 | F F F F F |
| AXA AA DIVERSIFIE INDICIEL 1 | 155.992 | F F F F F |
| IRISH LIFE ASSURANCE PLC | 1.756.389 | F F F F F |
| ILA - A-ILEZEQG | 46.146 | F F F F F |
| ILA - A-ILHYEQG | 47.532 | F F F F F |
| AEGON CUSTODY B.V. | 609.460 | F F F F F |
| STICHTING PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES | 189.314 | F F F F C |
| STICHTING MN SERVICES | 633.669 | F F F F C |
| LARGE CAP INTL PORTFOLIO OF DFA INV | 381.578 | F F F F F |
| STICHTING MN SERVICES AANDELENFO ND | 118.691 | F F F F C |
| LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LTD PMC FTSE TPI GLOBAL (EX FOSSIL FUELS) EQUITY INDEX FUND |
29.573 | F F F F F |
| LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED | 327.393 | F F F F F |
| ARRCO QUANT 1 | 131.980 | F F F F F |
| LEGAL & GENERAL ASSURANCE SOCIETY LIMITED | 13.693 | F F F F F |
| TSGX SOLACT ESG TBACO EX UNHG(3387) | 8.468 | F F F F F |
| FUTURE WORLD DEVELOPED EQUITY INDEX FUND (3500) | 11.986 | F F F F F |
| L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 | 61.059 | F F F F F |
| L AND G ASSUR(PENS MGNT)LTD 1 RAFI FUNDAMENTAL GLOBAL EQUITY LOW CARBON TRANSITION INDEX FUND3495 |
109.336 | F F F F F |
| OETGEN COMMUNITY PROPERTY TRUST DTD 12/24/2008 AS AMENDED A | 6.124 | F F F F F |
| CFSIL RE CNEALTH GS FD 16 | 45.140 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC | 1.641.266 | F F F F F |
| MANULIFE GLOBAL FUND (SICA | 93.165 | F F F F F |
| CFSIL RE COMM GLB INFRA SEC FD 2 | 1.510.343 | F F F F F |
| MH AMUNDI ACTIONS EURO | 320.865 | F F F F F |
| NMTB/NIK KOKUSAI-NH 935026 | 91.120 | F F F F F |
| NMTB/NIK KOKUSAI-H 935034 | 7.266 | F F F F F |
| BERESFORD FUNDS ICAV | 8.326 | F F F F F |
| CFSIL-CFS GLOBAL SHARE FD 20 | 251.182 | F F F F F |
| COMMONWEALTH GLOBAL INFRASTRUCTURE FUND 3 | 604.081 | F F F F F |
| STICHTING PGGM DEPOSITARY | 1.205.227 | F F F F F |
| PGGM SPD (DMAEMFGL)PGGM SPD DMAE MULTIFACTOR GLOBAL | 1.384.441 | F F F F F |
| NATIONAL COUNCIL FOR SOCIAL SEC FUND | 39.645 | F F F F F |
| TWO SIGMA INTERNATIONAL CORE | 29 | F F F F F |
| BUREAU OF PUBLIC SERVICE PENSION FUND | 935.640 | F F F F F |
| CARDANO ESG TRANSITION ENHANCED INDEX EQUITY GLOBAL (I) | 174.844 | F F C F F |
| LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 6.086.133 | F F F F F |
| HUTCHISON PROVIDENT FUND. | 24.710 | F F F F F |
| VICTORY MARKET NEUTRAL INCOMEFUND | 1.870.673 | F F F F F |
| SAMSUNG GLOBAL CORE EQUITY FUND | 4.767 | F F F F F |
| VICTORY RS GLOBAL FUND | 1.040.398 | F F F F F |
| VICTORY RS INTERNATIONAL FUND | 839.745 | F F F F F |
| VICTORY RS INTERNATIONAL VIPSERIES | 249.165 | F F F F F |
| JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND | 349.211 | F F F F F |
| CITITRUST LIMITED | 58.878 | F F F F F |
| VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 20.034 | F F F F F |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF EPOTIF MASTERFONDS | 158.556 | F F F F F |
| VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 52.674 | F F F F F |
| CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND | 32.235 | F F F F F |
| VICTORYSHARES INTERNATIONAL HIGHDIV VOLATILITY WTD INDEX ETF | 47.766 | F F F F F |
| HOSTPLUS POOLED SUPERANNUATION TRUST | 196.122 | F F F F F |
| AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE FUND | 332.696 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| ABRDN OEIC IV-ABRDN EUROPEAN EQUITY TRACKER FUND | 116.717 | F F F F F |
| VICTORY CAPITAL GROWTH FUND | 338.435 | F F F F F |
| VICTORY INTERNATIONAL FUND | 2.863.409 | F F F F F |
| VICTORY SUSTAINABLE WORLD FUND | 959.373 | F F F F F |
| TIMOTHY PLAN INTERNATIONAL ETF. | 81.054 | F F F F F |
| HI-AKTIEN-AKTIV-VALUE-SFONDS | 761.585 | F F F F F |
| THE NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN | 7.941 | F F F F F |
| UAPF - BLACK ROCK PASSIVE EQUITY | 9.844 | F F F F F |
| UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 9.472 | F F F F F |
| MARSHALL WACE MASTER FUNDS SPC-SP ALPHA PLUS FUND | 22.692 | F F F F F |
| MAN INSIGHT LIMITED | 327 | F F F F F |
| MARSHALL WACE INVESTMENT STRATEGIES-WORLD TOPS ENVIRONMENTAL | 9.116 | F F F F F |
| MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED | 6.000 | F F F F F |
| VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND | 46.925 | F F F F F |
| VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND - CLASS N | 2.813 | F F F F F |
| NBIMC PUBLIC INFRASTRUCTURE (2017) FUND. | 44.745 | F F F F F |
| AXA PEA REGULARITE | 3.934.959 | F F F F F |
| MERCER PRIVATE WEALTH REAL ASSETS POOL | 37.816 | F F F F F |
| FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 138.219 | F F F F F |
| BIMCOR GLOBAL DIVIDEND YIELD POOLED FUND | 12.982 | F F F F F |
| NORTHWATER ENHANCED IMMUNIZATION TRUST II | 20.728 | F F F F F |
| BOMBARDIER TRUST (CANADA) REAL RETURN ASSETS FUND | 530.840 | F F F F F |
| LETKO BROSSEAU INFRASTRUCTURE EQUITY FUND | 49.825 | F F F F F |
| SUN LIFE REAL ASSETS PRIVATE POOL | 4.204.622 | F F F F F |
| DIVERSIFIED FUND OF CANADA - DFC QUALITY LOW VOLATILITY GLOB | 7.488 | F F F F F |
| NBIMC EAFE EQUITY INDEX FUND. | 27.586 | F F F F F |
| AMUNDI DIVIDENDO ITALIA | 870.000 | F F F F F |
| FRANCE PLACEMENT EURO ESG PLUS | 683.473 | C F F F F |
| AMUNDI ESG SELECTION BILANCIATO | 95.870 | F F F F F |
| AMUNDI ESG SELECTION DINAMICO | 51.763 | F F F F F |
| AMUNDI VALORE ITALIA PIR | 150.000 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| AMUNDI ESG SELECTION CONSERVATIVO | 39.600 | F F F F F |
| AMUNDI ACCUMULAZIONE INFRASTRUTTURE GLOBALI 2028 DUE | 32.775 | F F F F F |
| AMUNDI ACCUMULAZIONE INFRA GLOBALI 2028 | 43.527 | F F F F F |
| AMUNDI PROGETTO INCOME 2028 | 6.208 | F F F F F |
| AMUNDI PROGETTO INCOME REALE 2027 QUATTRO | 7.819 | F F F F F |
| AMUNDI PROGETTO INCOME REALE 2027 TRE | 8.031 | F F F F F |
| AMUNDI PROGETTO INCOME REALE 2027 DUE | 21.848 | F F F F F |
| HI-AKTIEN GLOBAL 2-FONDS | 580.000 | F F F F F |
| AMUNDI PROGETTO INCOME REALE 2027 | 37.754 | F F F F F |
| AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE | 110.890 | F F F F F |
| AMUNDI PROG INC REALE 2026 | 29.514 | F F F F F |
| AMUNDI PROGETTO INCOME AGOSTO 2026 | 23.729 | F F F F F |
| AMUNDI PROGETTO INCOME 2026 DUE 20121 | 29.456 | F F F F F |
| AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 | 193.674 | F F F F F |
| FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME 2026 | 16.657 | F F F F F |
| AMUNDI PRIVATE GLOBAL INFRASTRU 2024 | 90.876 | F F F F F |
| AMUNDI PROGETTO INCOME 2025 | 27.354 | F F F F F |
| CRELAN INVEST DYNAMIC | 36.712 | F F F F F |
| PHOSPHORE | 96.088 | F F F F F |
| CRELAN INVEST CONSERVATIVE | 9.854 | F F F F F |
| CRELAN INVEST BALANCED | 77.017 | F F F F F |
| ASR INSTITUT FONDSEN EUR AANDELEN | 276.053 | F F F F F |
| ING SELECT FUND - INKOMEN ZEER OFFENSIEF | 38.518 | F F F F F |
| ING SELECT FUND - INKOMEN OFFENSIEF | 71.115 | F F F F F |
| ING SELECT FUND - INKOMEN NEUTRAAL | 238.436 | F F F F F |
| ING SELECT FUND - INKOMEN ZEER DEFENSIEF | 3.464 | F F F F F |
| ING SELECT FUND - INKOMEN DEFENSIEF | 83.643 | F F F F F |
| ONDERLINGE S GRAVEN | 312.024 | F F F F F |
| BEVEILIGING MANDAAT SSGA RE AANDELEN | 81.581 | F F F F F |
| HELABA INVEST KAG MBH HI SZVA 10 SFONDS | 45.600 | F F F F F |
| LA FRANCAISE SYSTEMATIC GLOBAL LISTED INFRASTRUCTURE | 75.173 | C F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| SPA MANDATE BLACKROCK | 70.090 | F F F F F |
| ST PFD PMA MANDATE BLACKROCK | 26.825 | F F F F F |
| ST. PF VOOR DE ARCHITECTENBUREAUS-DME SS | 5.597 | F F F F F |
| CENTRAL BANK OF IRELAND | 16.367 | F F F F F |
| ONEMARKETS AMUNDI FLEXIBLE INCOME FUND | 235.729 | F F F F F |
| CANDRIAM GF AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE | 65.401 | F F F F F |
| CPR INVEST HYDROGEN | 1.734.994 | F F F F F |
| AMUNDI STOXX EUROPE 600 | 1.521.684 | F F F F F |
| AMUNDI MSCI EUROPE | 1.156.581 | F F F F F |
| ONEMARKETS PIMCO GLOBAL BALANCED ALLOC | 21.813 | F F F F F |
| ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 943.147 | F F C F F |
| AMUNDI FTSE MIB | 1.314.283 | F F F F F |
| STRUCTURA - DIVERSIF GROWTH FD-CSA AMUND | 4.834 | F F F F F |
| LUXCELLENCE-HELVETIA EUROP EQUITY | 24.600 | F F F F F |
| CPR INVEST - EUROPEAN STRATEGIC AUTONOMY | 281.513 | F F F F F |
| RCO LUX MONTJOLY INVEST POOL AMUNDI | 23.561 | F F F F F |
| AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 9.882 | F F F F F |
| AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 30.115 | F F F F F |
| AMUNDI FD EUROPEAN EQUITY ESG IMPROVERS | 2.431.059 | F F F F F |
| CLEOME INDEX - WORLD EQUITIES | 12.226 | F F F F F |
| AMUNDI FUNDS - EUROPEAN EQUITY CONSERVATIVE | 2.860.846 | F F F F F |
| ERAFP ACTIONS EURO IV | 1.099.451 | F F F C C |
| LO FUNDS - ALL ROADS | 285.488 | F F F F F |
| AMUNDI INDEX MSCI EUROPE | 797.057 | F F F F F |
| AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 2.793 | F F F F F |
| AMUNDI INDEX MSCI WORLD | 142.354 | F F F F F |
| AMUNDI FUNDS EQUITY EURO RISK PARITY | 382.304 | F F F F F |
| AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA | 1.917 | F F F F F |
| LO FUNDS - ALL ROADS CONSERVATIVE | 32.588 | F F F F F |
| LO FUNDS - ALL ROADS GROWTH | 193.435 | F F F F F |
| AMUNDI FUNDS MULTI ASSET CONSERVATIVE | 61.442 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY | 51.941 | F F F F F |
| FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 116.835 | C F F F F |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE | 16.430 | F F F F F |
| AMUNDI PRIME EUROZONE | 40.585 | F F F F F |
| AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL | 31.989 | F F F F F |
| AMUNDI FDS GLOBAL MULTI-ASSET TARGET INC | 180.459 | F F F F F |
| AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 108.684 | F F F F F |
| AMUNDI FUNDS REAL ASSETS TARGET INCOME | 250.000 | F F F F F |
| AMUNDI FUNDS GLOBAL MULTI-ASSET | 199.508 | F F F F F |
| AMUNDI FDS GLOB MULTI-ASSET CONSERVATIVE | 480.991 | F F F F F |
| AMUNDI FUNDS EURO MULTI-ASSET TARGET INC | 186.711 | F F F F F |
| CLEOME INDEX - EMU EQUITIES | 66.454 | F F F F F |
| AXA EURO DIVIDEND L | 24.370 | F F F F F |
| AMUNDI EURO STOXX SELECT DIVIDEND 30 | 451.795 | F F F F F |
| AMUNDI MSCI EMU ESG CTB NET ZERO AMBIT | 354.855 | F F F F F |
| EDMOND DE ROTHSCHILD FUND INCOME EUROPE | 332.910 | F F F F F |
| EDR FUND II - INCOME 2024 | 40.362 | F F F F F |
| NATWEST TDS DEP VT DWEUUNIN C | 340.780 | F F F F F |
| SB CIF - ECOFIN ADVISORS | 77.055 | F F F F F |
| SB CIF - MACQUARIE | 195.069 | F F F F F |
| AMUNDI DEUTSCHLAND GMBH - SUEDINVEST 43 | 12.000 | F F F F F |
| HI-LH FONDS | 13.004 | F F F F F |
| AMUNDI ETHIK PLUS | 215.833 | F F F F F |
| UI-GKR-FONDS | 43.827 | F F F F F |
| VPV-SPEZIAL AMUNDI | 24.669 | F F F F F |
| AMUNDI WELTPORTFOLIO | 2.842 | F F F F F |
| OSTRUM ASSET MANAGEMENT | 104.500 | F F F C F |
| JUNON ACTIONS OBLIGATIONS | 613.859 | F F F F F |
| PLURI-INVESTISSEMENTS | 6.925 | F F F F F |
| FCP ARRCO LONG TERME D | 786.758 | F F F F F |
| LBPAM 3 MOIS | 7.815.235 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 | |
| TONI ACTIONS ISR 100 | 65.997 | F F F F F | |
| FCP CARP - INDO | 722.315 | F F F F F | |
| FDRN AMUNDI | 272.843 | F F F F F | |
| STICHTING AHOLD DELHAIZE PENSIOEN | 143.447 | F F F F F | |
| CRN AMUNDI ACTIONS | 407.528 | F F F F F | |
| LBPAM ACTIONS DIVIDENDES EUROP | 267.634 | F F F F F | |
| ROPS EURO P | 260.142 | F F F F F | |
| INVESTISSEMENT N101 | 30.141 | F F F F F | |
| IRCEC CASSETTE DIVERSIFIE | 148.710 | F F F F F | |
| FGV ACTIONS EUROPE LM A | 82.079 | F F F F F | |
| CNP ACTIONS EUROPE AMUNDI | 393.161 | F F F F F | |
| DIEZE | 26.757 | F F F F F | |
| VILLIERS ALTO | 130.670 | F F F F F | |
| AA SSGA ACTIONS INDICE EURO | 573.535 | F F F F F | |
| ALLIANZGI S AKTIEN | 1.027.368 | F F F F F | |
| STAR PASTEUR | 71.494 | F F F F F | |
| CONTI GESTION | 82.569 | F F F F F | |
| SACD INVESTISSEMENT | 83.902 | F F F F F | |
| ALLOCATION INVEST EQUITY CORE | 227.044 | F F F F F | |
| IP ACTIONS EURO | 49.532 | F F F F F | |
| BEL EQUITY EUROPE ESG | 88.005 | F F F F F | |
| ALLOCATION INVEST EQUITY SATELLITE | 33.896 | F F F F F | |
| GROUPAMA SELECTION EURO DIVERSIFIE | 5.451 | F F F F F | |
| MICHELET TUNNEL | 100.062 | F F F F F | |
| GROUPAMA LOIRE BRETAGNE REGIONAL 1 | 18.726 | F F F F F | |
| AMUNDI STOXX EUROPE 600 ESG II UCITS ETF | 13.344 | F F F F F | |
| WORLD EQUITIES | 4.597 | F F F F F | |
| ARRCO QUANT 2 | 106.826 | F F F F F | |
| AP ACTIONS 1 EURO | 99.401 | F F F F F | |
| ALLOCATION ACTIONS SATELLITE | 3.193 | F F F F F | |
| ROPS-SMART INDEX EURO | 1.132.228 | F F F F F | |
| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| AVENIR PROTECTION 90 | 109.245 | F F F C F | |||
| AA NATIXIS ACTIONS MIN VAR | 177.926 | F F F C F | |||
| EGEPARGNE 2 DIVERSIFIE | 37.734 | F F F C F | |||
| FCP PEA COURT TERME | 2.439.466 | F F F C F | |||
| BAD21 CAPITAL | 64.630 | F C F C C | |||
| DPCTA-MASTERFONDS | 9.852 | F F F F F | |||
| EMERAUDE | 32.258 | F C F C C | |||
| IRCEC BEAUMARCHAIS | 128.870 | F C C C C | |||
| DYNAMIS SOLIDAIRE ISR | 770.000 | F C C C C | |||
| AMUNDI STRATEGIES ACTIONS EURO OPTIM DIV HR | 151.278 | F F F F F | |||
| AMUNDI STRATEGIES ACTIONS EURO CORE + | 73.248 | F F F F F | |||
| LCL ACTIONS MONDE HORS EUROPE EURO | 128.035 | F F F F F | |||
| AMUNDI RENDEMENT PLUS | 56.237 | F F F F F | |||
| COVEA OBLIGATIONS CONVERTIBLES | 439.065 | F F F F F | |||
| COVEA ACTIONS RENDEMENT | 1.425.806 | F F F F F | |||
| ASSURDIX | 179.592 | F F F F F | |||
| HELABA INV KAPITALANL GES MBH HI BGHM AR | 236.137 | F F F F F | |||
| ERAFP ACTIONS EURO II | 5.253.528 | F F F C C | |||
| LCL ACTIONS FRANCE CORE PLUS | 9.470 | F F F F F | |||
| CPR EURO HIGH DIVIDEND | 264.761 | F F F F F | |||
| AMUNDI ACTIONS FRANCE ISR | 1.025.761 | F F F F F | |||
| AMUNDI ESG IMPROVERS EURO | 2.831.253 | F F F F F | |||
| AMUNDI EUROPE MONDE | 181.770 | F F F F F | |||
| AMUNDI ACTIONS EURO ISR | 393.583 | F F F F F | |||
| LCL ACTIONS EURO CORE+ | 47.736 | F F F F F | |||
| ATOUT FRANCE CORE | 36.620 | F F F F F | |||
| AMUNDI STRATEGIES ACTIONS EUROPE CORE + | 33.215 | F F F F F | |||
| AMUNDI STRATEGIES ACTIONS EUROPE OPTIM DIV HR | 85.017 | F F F F F | |||
| HI-AKTIEN EUROPA 1-FONDS | 26.816 | F F F F F | |||
| COLOMBES 6 | 112.000 | F F F F F | |||
| AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 7.314 | F F F F F | |||
| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| GROUPAMA EURO EQUITIES | 17.157 | F F F F F | |||
| AMUNDI PATRIMOINE PEA | 220.972 | F F F F F | |||
| COVEA PATRIMOINE | 105.000 | F F F F F | |||
| AMUNDI EQUITY EURO CONSERVATIV | 1.492.676 | F F F F F | |||
| CPR EUROLAND PREMIUM ESG | 30.093 | F F F F F | |||
| FINALTIS EFFICIENT BETA EURO | 56.506 | F F F F F | |||
| STRATEGIE EURO ISR | 60.231 | F F F F F | |||
| COVEA SOLIS | 1.647.050 | F F F F F | |||
| ATCP-UI-FONDS | 7.725 | F F F F F | |||
| LBPAM ISR ACTIONS EURO MIN VOL | 14.194 | F F F F F | |||
| BETAMAX GLOBAL SMART FOR CLIMATE | 8.310 | F F F F F | |||
| FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 161.411 | F F F F F | |||
| GLOBAL MULTI-FACTOR EQUITY FUND | 22.052 | F F F F F | |||
| AMUNDI ETF PEA S P 500 UCITS E | 5.200.000 | F F F F F | |||
| TOCQUEVILLE DIVIDENDE ISR | 750.000 | F F F F F | |||
| ALLOCATION PROTECTION 80 | 1.950.000 | F F F C F | |||
| REAUMUR ACTIONS | 2.510.423 | F F F C F | |||
| OSTRUM SRI EURO MINVOL EQUITY | 83.027 | F F F C F | |||
| VEGA EURO RENDEMENT ISR | 1.630.725 | F C F C C | |||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF DEBEKA-AKTIEN-EUROPA-DIVIDENDEN | 1.617.814 | F F F F F | |||
| POLARIS CONVICTIONS | 17.824 | F C F C C | |||
| VEGA EUROPE CONVICTIONS ISR | 1.174.069 | F C F C C | |||
| ECOFI ENJEUX FUTURS | 930.000 | F C C C C | |||
| GLOBAL ALLOCATION M | 14.089 | F C C C C | |||
| EDR SICAV - EQUITY EURO SOLVE | 210.230 | F F F F F | |||
| EDMOND DE ROTHSCHILD ASSET MANAGEMENT (EDRAM) | 9.829 | F F F F F | |||
| POLLUX | 29.050 | F F F F F | |||
| EDR SICAV - EUROPEAN IMPROVERS | 31.400 | F F F F F | |||
| CNP ASSUR EDRAM ACTIONS EUROPE | 618.640 | F F F F F | |||
| HELVETIA I EUROPA | 160.890 | F F F F F | |||
| ALLIANZGI-FONDS GANO 2 | 20.669 | F F F F F | |||

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| ING DIRECT FONDO NARANJA CONSERVADOR FI | 5.264 | F F F F F |
| ING DIRECT FONDO NARANJA MODERADO FI | 32.463 | F F F F F |
| ING DIRECT FONDO NARANJA DINAMICO FI | 46.575 | F F F F F |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 6.700.000 | F F F F F |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.200.000 | F F F F F |
| ALLEANZA ASSICURAZIONI SPA | 895.060 | F F F F F |
| TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV | 147.765 | F F F F F |
| CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 1.889.963 | F F F F F |
| PEOPLE`S BANK OF CHINA | 1.415.189 | F F F F F |
| FLOURISH INVESTMENT CORPORATION | 163.170 | F F F F F |
| AXA EURO DIVIDEND K | 133.514 | F F F F F |
| INTERNATIONAL MONETARY FUND | 859.172 | F F F F F |
| ABN AMRO FUNDS | 45.833 | F F F F F |
| ISHARES EURO STOXX UCITS ETF (DE) | 780.555 | F F F F F |
| ISHARES EURO STOXX SELECT DIVIDEND 30 UCITS ETF (DE) | 3.733.991 | F F F F F |
| ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 693.503 | F F F F F |
| ISHARES STOXX EUROPE SELECT DIVIDEND 30 UCITS ETF (DE) | 2.006.668 | F F F F F |
| ISHARES STOXX GLOBAL SELECT DIVI100 UCITS ETF DE | 4.784.255 | F F F F F |
| ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 1.250.680 | F F F F F |
| ISHARES STOXX EUROPE 600 OIL GAS UCITS ETF DE | 2.258.767 | F F F F F |
| GENERAL CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS | 264.201 | F F F F F |
| ALLIANZGI-FONDS TSF | 4.013 | F F F F F |
| PACE INTERNATIONAL EQUITY INVESTMENTS | 1.569.809 | F F F F F |
| COLLEGE RETIREMENT EQUITIES FUND | 69.008 | F F F F F |
| TIAACREF INTERNATIONAL EQUITY INDEX FUND | 2.883.365 | F F F F F |
| BON SECOURS MERCY HEALTH | 450.049 | F F F F F |
| DESJARDINS GLOBAL DIVIDEND FUND | 4.932.045 | F F F F F |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 803.152 | F F F F F |
| BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 112.553 | F F F F F |
| VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 217.192 | F F F F F |
| STATE OF MINNESOTA | 868.764 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 |
| JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 119.526 | F F F F F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB-UNIVERSAL-FONDS | 3.354 | F F F F F | |
| RUSSELL INVESTMENT COMPANY PLC | 41.532 | F F F F F | |
| SPDR MSCI ACWI EXUS ETF | 166.424 | F F F F F | |
| SPDR S&P INTERNATIONAL DIVIDENDETF | 1.429.658 | F F F F F | |
| SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 1.818.382 | F F F F F | |
| MORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL INFRASTRUCTURE PORTFOLIO | 111.523 | F F F F F | |
| MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO | 9.588 | F F F F F | |
| MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO | 608 | F F F F F | |
| PRINCIPAL DIVERSIFIED REAL ASSET CIT | 1.889.666 | F F F F F | |
| CALIFORNIA STATE TEACHERS` RETIREMENT SYSTEM | 11.778.868 | F F F F F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 2.829 | F F F F F | |
| MEAG PREMIUM | 2.185.247 | F C F C C | |
| MERCY HEALTH RETIREMENT TRUST | 1.413 | F F F F F | |
| SPDR PORTFOLIO EUROPE ETF | 45.871 | F F F F F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 8.710.704 | F F F F F | |
| SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 1.506.028 | F F F F F | |
| TEACHERS` RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 257.390 | F F F F F | |
| M INTERNATIONAL EQUITY FUND | 9.035 | F F F F F | |
| FRANK RUSSELL INVESTMENT CO II PLC | 9.667 | F F F F F | |
| IBM 401(K) PLUS PLAN TRUST | 325.042 | F F F F F | |
| THE MONETARY AUTHORITY OF SINGAPORE | 49.998 | F F F F F | |
| MANAGED PENSION FUNDS LIMITED | 541.379 | F F F F F | |
| FCP SODIUM I | 84.719 | F F F F F | |
| SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND | 8.196 | F F F F F | |
| SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND | 311.917 | F F F F F | |
| EURIZON FUND | 3.174.290 | F F F F F | |
| INSTITUTIONAL SOLUTIONS FUND FCP-SIF | 724.685 | F F F F F | |
| STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 7.415 | F F F F F | |
| THE MONETARY AUTHORITY OF SINGAPORE MAS | 3.472 | F F F F F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY INDEX |
81.652 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 17.428 | F F F F F | |||
| ISHARES II PUBLIC LIMITED COMPANY | 4.390.658 | F F F F F | |||
| ISHARES V PUBLIC LIMITED COMPANY | 11.483 | F F F F F | |||
| KAPITALANL GES MBH HI BGHM AR26 SFONDS | 155.394 | F F F F F | |||
| AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 16.549 | F F F F F | |||
| ISHARES III PUBLIC LIMITED COMPANY | 979 | F F F F F | |||
| ISHARES VI PUBLIC LIMITED COMPANY | 200 | F F F F F | |||
| ISHARES IV PUBLIC LIMITED COMPANY | 4.380.835 | F F F F F | |||
| ARGO GLOBAL LISTED INFRASTRUCTURE LIMITED | 561.032 | F F F F F | |||
| AUSTRALIAN RETIREMENT TRUST | 1.556.200 | F F F F F | |||
| RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 29.333 | F F F F F | |||
| RUSSELL INVESTMENTS GLOBAL SHARES INDEX FUND LEVEL 28 | 26.092 | F F F F F | |||
| EMERGENCY SERVICES SUPERANNUATION SCHEME | 5.806 | F F F F F | |||
| AWARE SUPER | 8.769 | F F F F F | |||
| VANECK VECTORS FTSE GLOBAL INFRASTRUCTURE (HEDGED) ETF GOLD FIELD HOUSE | 455.604 | F F F F F | |||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY | 5.954 | F F F F F | |||
| RUSSELL INVESTMENTS GLOBAL LISTED INFRASTUCTURE FUND HEDGED | 56.408 | F F F F F | |||
| LAZARD GLOBAL LISTED INFRASTRUCTURE FUND | 13.848.447 | F F F F F | |||
| LAZARD GLOBAL EQUITY FRANCHISE FUND (HEDGED) | 396.377 | F F F F F | |||
| LAZARD GLOBAL EQUITY FRANCHISE FUND | 1.703.657 | F F F F F | |||
| RETAIL EMPLOYEES SUPERANNUATIONTRUST | 292.898 | F F F F F | |||
| INTERNATIONAL EQUITIES SECTOR TRUST | 1.311 | F F F F F | |||
| GMO MULTI-ASSET TRUST | 41.357 | F F F F F | |||
| NEW AIRWAYS PENSION SCHEME | 5.813 | F F F F F | |||
| FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU | 47.582 | F F F F F | |||
| EURIZON PIR ITALIA AZIONI | 85.705 | F F F F F | |||
| AXA VERSICHERUNGEN AG | 1.092.532 | F F F F F | |||
| EURIZON CAP SGR-RENDITA | 8.336 | F F F F F | |||
| EURIZON AZIONI ITALIA | 3.063.937 | F F F F F | |||
| EURIZON PROGETTO ITALIA 40 | 351.592 | F F F F F | |||
| EURIZON PROGETTO ITALIA 70 | 480.133 | F F F F F | |||

| RISULTATI ALLE VOTAZIONI | |||
|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
Ordinaria 1 2 3 4 5 |
|
| ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 1.188.259 | F F F F F | |
| ISHARES MSCI ACWI ETF | 578.941 | F F F F F | |
| ISHARES MSCI ACWI EX U.S. ETF | 362.897 | F F F F F | |
| ISHARES GLOBAL UTILITIES ETF | 165.558 | F F F F F | |
| ISHARES MSCI EUROZONE ETF | 2.736.314 | F F F F F | |
| ISHARES EUROPE ETF | 326.366 | F F F F F | |
| MERCER WHOLESALE FUNDS | 7.003 | F F F F F | |
| ISHARES MSCI EAFE ETF | 6.354.405 | F F F F F | |
| ISHARES MSCI EAFE VALUE ETF | 4.201.907 | F F F F F | |
| ISHARES MSCI KOKUSAI ETF | 6.301 | F F F F F | |
| ISHARES MSCI ITALY ETF | 2.631.595 | F F F F F | |
| ISHARES INTERNATIONAL SELECT DIVIDEND ETF | 9.295.330 | F F F F F | |
| ISHARES MSCI EAFE MIN VOL FACTOR ETF | 6.662.963 | F F F F F | |
| ISHARES CORE MSCI EUROPE ETF | 761.870 | F F F F F | |
| ISHARES INTERNATIONAL EQUITY FACTOR ETF | 394.415 | F F F F F | |
| ISHARES MSCI GLOBAL MULTIFACTORETF | 39.180 | F F F F F | |
| ISHARES MSCI ACWI LOW CARBON TARGET ETF | 167.543 | F F F F F | |
| FONECONOMISTES, FONS DE PENSIONS | 1.993 | F F F F F | |
| ISHARES MSCI INTL SIZE FACTOR ETF | 1.176 | F F F F F | |
| ISHARES MSCI WORLD ETF | 101.998 | F F F F F | |
| ISHARES CORE MSCI EAFE ETF | 11.752.759 | F F F F F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 2.384.742 | F F F F F | |
| ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 1.223.036 | F F F F F | |
| ISHARES CORE MSCI GLOBAL QUALITY DIVIDEND INDEX ETF | 39.535 | F F F F F | |
| ISHARES CORE MSCI EAFE IMI INDEX ETF | 564.712 | F F F F F | |
| ISHARES MSCI EUROPE IMI INDEX ETF | 39.227 | F F F F F | |
| ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 13.283 | F F F F F | |
| ISHARES GLOBAL MONTHLY DIVIDENDINDEX ETF (CAD-HEDGED) | 66.319 | F F F F F | |
| MIR | 290.534 | F F F F F | |
| ACOMEA PMITALIA ESG | 421.800 | F F F F F | |
| EPSILON ASSOCIATI SGR - EPSILONSGR QVALUE | 7.792 | F F F F F | |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| EPSILON ASSOCIATI SGR - EPSILONSGR QRETURN | 21.501 | F F F F F |
| EPSILON ASSOCIATI SGR - EPSILONSGR DLONGRUN | 814 | F F F F F |
| ACOMEA PATRIMONIO ESENTE | 30.000 | F F F F F |
| DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 18.056 | F F F F F |
| STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 552.170 | F F F F F |
| BLACKROCK STRATEGIC FUNDS | 100 | F F F F F |
| BLACKROCK GLOBAL INDEX FUNDS | 200 | F F F F F |
| COHEN AND STEERS SICAV | 260.087 | F F F F F |
| MERCER INVESTMENT FUNDS | 654.763 | F F F F F |
| XTRACKERS | 3.152.311 | F F F F F |
| DWS MULTI ASSET PIR FUND | 215.000 | F F F F F |
| DWS INVEST | 7.560.627 | F F F F F |
| GOLDMAN SACHS FUNDS | 103.794 | F F F F F |
| EPSILON FUND | 370.479 | F F F F F |
| EURIZON INVESTMENT SICAV | 23.412 | F F F F F |
| EURIZON NEXT 2.0 | 48.890 | F F F F F |
| OSSIAM LUX | 54.825 | F F F F F |
| EURIZON AM SICAV | 6.589 | F F F F F |
| ARERO - DER WELTFONDS - ESG | 40.331 | F F F F F |
| GLOBAL EQUITIES ENHANCED INDEX FUND | 252.564 | F F F F F |
| UBS LUX FUND SOLUTIONS | 2.436.922 | F F F F F |
| AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO | 100 | F F F F F |
| AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 21.938 | F F F F F |
| AB GLOBAL RISK ALLOCATION FUND INC | 22.765 | F F F F F |
| THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 45.108 | F F F F F |
| COMMONFUND STRATEGIC SOLUTIONS GLOBAL EQUITY, LLC | 21.642 | F F F F F |
| VPV ALLGEMEINE VERSICHERUNGSAG | 70.000 | F F F F F |
| INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST | 1.048.454 | F F F F F |
| UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS | 74.982 | F F F F F |
| COHEN & STEERS REAL ASSETS FUND, INC | 398.760 | F F F F F |
| FERROATLANTICA 92 FP | 1.877 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| COHEN AND STEERS GLOBAL REALTY FOCUS FUND | 246.723 | F F F F F |
| COHEN & STEERS INFRASTRUCTURE FUND, INC. | 3.661.538 | F F F F F |
| JOHN HANCOCK TAX-ADVANTAGED GLOBAL SHAREHOLDER YIELD FUND | 143.000 | F F F F F |
| JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST | 271.252 | F F F F F |
| JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 116.641 | F F F F F |
| JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 82.599 | F F F F F |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 193.817 | F F F F F |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 116.754 | F F F F F |
| HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO | 104.597 | F F F F F |
| JOHN HANCOCK FUNDS II INCOME ALLOCATION FUND | 45.818 | F F F F F |
| JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND | 3.940 | F F F F F |
| SCHWAB INTERNATIONAL EQUITY ETF | 4.165.807 | F F F F F |
| SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX ETF | 1.162.996 | F F F F F |
| FCA US LLC MASTER RETIREMENT TRUST | 611.709 | F F F F F |
| KAISER FOUNDATION HOSPITALS | 27.152 | F F F F F |
| KAISER PERMANENTE GROUP TRUST | 26.384 | F F F F F |
| HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL | 82.141 | F F F F F |
| HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO | 7.012 | F F F F F |
| HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO | 1.265 | F F F F F |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND | 66.552 | F F F F F |
| STATE STREET TOTAL RETURN VIS FUND | 18.214 | F F F F F |
| HELABA INVEST KAG MBH HI PENS TRUST RH D | 144.185 | F F F F F |
| BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 29.548 | F F F F F |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST | 355.095 | F F F F F |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 1.305.558 | F F F F F |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 18.898.040 | F F F F F |
| INVESCO INCOME ADVANTAGE INTERNATIONAL FUND | 2.274 | F F F F F |
| ZURICH INVEST ICAV | 150.523 | F F F F F |
| SSB FTSE RAFI DEVELOPED 1000 INDEX NONLENDING COMMON TRUST FUND | 10.500 | F F F F F |
| STATE STREET FACTORBASED NONLENDING COMMON TRUST FUND | 9.801 | F F F F F |
| SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND | 22.978 | F F F F F |

| Parziale Totale DELEGANTI E RAPPRESENTATI 1 2 3 4 5 PENSIOENFONDS METAAL OFP 330.632 F F F F F FCA CANADA INC. ELECTED MASTER TRUST 170.589 F F F F F AMP GLOBAL LISTED INFRASTRUCTURE INDEX FUND HEDGED 406.962 F F F F F NEW YORK STATE TEACHERS RETIREMENT SYSTEM 577.935 F F F F F EMPOWER ANNUITY INSURANCE COMPANY 82.371 F F F F F 77.565 MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND F F F F F UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUNDS - ZIF 85.409 F F F F F GREEN WISDOMTREE INTERNATIONAL EQUITYFUND 7.077 F F F F F WISDOMTREE GLOBAL HIGH DIVIDENDFUND 395 F F F F F WISDOMTREE INTERNATIONAL DIVIDEND EX-FINANCIALS FUND 70.587 F F F F F WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND 153.521 F F F F F WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND 493 F F F F F WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND 69.066 F F F F F IPAC SPECIALIST INVESTMENT STRATEGIES - LISTED GLO 90.622 F F F F F VANGUARD FTSE DEVELOPED EX NORTH AMERICA HIGH DIVIDEND YIELD IND 28.374 F F F F F WISDOMTREE ISSUER ICAV 44.019 F F F F F WASHINGTON STATE INVESTMENT BOARD 823.057 F F F F F WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND 94.150 F F F F F UBS (IRL) ETF PLC 729.814 F F F F F DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ 51.024 F F F F F AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - GLOBAL EQUITY CHF 67.678 F F F F F DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 23.155 F F F F F 24.423 VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF F F F F F VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF 337.143 F F F F F AZ FUND 1 AZ EQUITY GLOBAL INFRASTRUCTURE 75.226 F F F F F ASIAN DEVELOPMENT BANK 1.102.876 F F F F F 77.204 UNITED INCOME FOCUS TRUST F F F F F TENNESSEE CONSOLIDATED RETIREMENT SYSTEM 5.440.588 F F F F F PUBLIC EMPLOYEES` LONG-TERM CARE FUND 12.192.303 F F F F F ALBERTA INVESTMENT MANAGEMENT CORPORATION 2.674.753 F F F F F STATE STREET CCF 29.042 F F F F F |
RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE | ||||

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| INTEL RETIREMENT PLANS COLLECTIVE INVESTMENT TRUST | 103.315 | F F F F F |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 409.231 | F F F F F |
| SIR DAVID TRENCH FUND FOR RECREATION | 2.586 | F F F F F |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR SRV100 | 10.504 | F F F F F |
| FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY | 14.674 | F F F F F |
| STATE STREET IRELAND UNIT TRUST | 85.182 | F F F F F |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 975.128 | F F F F F |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 409.946 | F F F F F |
| STICHTING PENSIOENFONDS TANDARTSEN EN TANDARTS-SPECIALISTEN | 6.791 | F F F F F |
| DESJARDINS INTERNATIONAL EQUITYIND EX ETF | 15.663 | F F F F F |
| SCOTIA INTERNATIONAL EQUITY INDEX FUND | 3.823 | F F F F F |
| SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 11.017 | F F F F F |
| THE BANK OF KOREA | 8.612 | F F F F F |
| SELFFINANCING POSTSECONDARY EDUCATION FUND | 1.351 | F F F F F |
| GOVERNMENT PENSION INVESTMENT FUND | 11.713.378 | F F F F F |
| AXA LEBEN AG | 138.196 | F F F F F |
| RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 6.760 | F F F F F |
| RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 3.202 | F F F F F |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT | 57.662 | F F F F F |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E PLUS FUND | 202.308 | F F F F F |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC GLOBAL LISTED INFRA | 194.868 | F F F F F |
| RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET I-ASSET GROWTH FUND | 27.488 | F F F F F |
| THE INCUBATION FUND LTD | 592 | F F F F F |
| DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 7.867 | F F F F F |
| DEAM-FONDS CPT | 27.115 | F F F F F |
| THRIVENT INTERNATIONAL INDEX PORTFOLIO | 23.752 | F F F F F |
| CASTELLANA PENSIONES FP | 1.905 | F F F F F |
| RUSSELL INVESTMENTS GLOBAL INFRASTRUCTURE POOL | 951.895 | F F F F F |
| RUSSELL OVERSEAS EQUITY POOL . | 31.149 | F F F F F |
| STATE OF NEW JERSEY COMMON PENSION FUND D | 688.338 | F F F F F |
| CITY OF NEW YORK GROUP TRUST | 705.702 | A F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO | 78.165 | F F F F F |
| JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 2.700 | F F F F F |
| RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 352.625 | F F F F F |
| IBM RETIREMENT PLAN | 6.974 | F F F F F |
| MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 | 1.414.825 | F C F C C |
| MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ATLAS | 546.310 | F C F C C |
| BUSS (QUEENSLAND) POOLED SUPERANNUATION TRUST | 888 | F F F F F |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 8.000 | F F F F F |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR DEBEKAAKTIENEUROPAESG | 1.108.300 | F F F F F |
| GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND | 152.813 | F F F F F |
| GOLDMAN SACHS MULTIMANAGER REALASSETS STRATEGY FND | 852.132 | F F F F F |
| GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND | 13.345 | F F F F F |
| RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 148.126 | F F F F F |
| ALLIANCEBERNSTEIN LP | 10.417 | F F F F F |
| LAZARD EQUITY FRANCHISE PORTFOLIO | 1.582.400 | F F F F F |
| LAZARD ESC GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 165.709 | F F F F F |
| DEKA INVESTMENT GMBH FOR KDF 3 | 84.054 | F F F F F |
| AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 116.000 | F F F F F |
| LAZARD GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 90.149.645 | F F F F F |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR ARBOR I UI | 18.641 | F F F F F |
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 61.500 | F F F F F |
| MERCER QIF COMMON CONTRACTUAL FUND | 482.752 | F F F F F |
| MARIGOLD TACTICAL STRATEGIES LTD | 9.105 | F F F F F |
| MERCER UCITS COMMON CONTRACTUALFUND | 1.347.204 | F F F F F |
| RHUMBLINE LOW CARBON INDEX FUNDLLC | 71.647 | F F F F F |
| MDPIM INTERNATIONAL EQUITY INDEX POOL | 95.115 | F F F F F |
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 71.455 | F F F F F |
| MGI FUNDS PLC | 120.963 | F F F F F |
| INVESTITORI FLESSIBILE | 250.000 | F F F C A |
| MORG STI INSTITUTIONAL FUND GLOBAL INFRASTRUCTURE PORTFOLIO | 445.637 | F F F F F |
| SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF | 34.427 | F F F F F |

| RISULTATI ALLE VOTAZIONI | ||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
Ordinaria 1 2 3 4 5 |
| SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 35.510 | F F F F F |
| SPDR MSCI EAFE STRATEGICFACTORSETF | 289.382 | F F F F F |
| LAZARD GLOBAL ACTIVE FUNDS PLC | 22.936.814 | F F F F F |
| RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 59.240 | F F F F F |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 3.711.715 | F F F F F |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES | 297.487 | F F F F F |
| LVIP BLACKROCK GLOBAL ALLOCATION FUND | 50.339 | F F F F F |
| LVIP MONDRIAN INTERNATIONAL VALUE FUND | 6.668.345 | F F F F F |
| HELABA INV KAPITALANL GES MBH HI SZVA 2 | 63.000 | F F F F F |
| INVESTITORI PIAZZA AFFARI | 124.600 | F F F C A |
| LVIP SSGA INTERNATIONAL INDEX FUND | 277.650 | F F F F F |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 23.121 | F F F F F |
| INSTITUTIONAL RETIREMENT TRUST | 35.339 | F F F F F |
| CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 11.344 | F F F F F |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 455.368 | F F F F F |
| STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 379.104 | F F F F F |
| LACERA MASTER OPEB TRUST | 42.685 | F F F F F |
| SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 4.424 | F F F F F |
| SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF | 11.123 | F F F F F |
| SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT | 18.644 | F F F F F |
| RUSSELL INVESTMENTS GLOBAL LISTED INFRASTRUCTURE FUND | 59.144 | F F F F F |
| SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO | 88.412 | F F F F F |
| OPENWORLD PUBLIC LIMITED COMPANY | 352.486 | F F F F F |
| LAZARD GLOBAL LISTED INFRASTRUCTURE (CANADA) FUND | 5.277.566 | F F F F F |
| LAZARD GLOBAL EQUITY FRANCHISE (CANADA) FUND | 1.543.012 | F F F F F |
| TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 17.239 | F F F F F |
| TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 10.221 | F F F F F |
| JNL/MELLON MSCI WORLD INDEX FUND | 13.874 | F F F F F |
| JNL/JPMORGAN GLOBAL ALLOCATION FUND | 2.579 | F F F F F |
| JNL/DFA INTERNATIONAL CORE EQUITY FUND | 9.377 | F F F F F |
| TANGERINE DIVIDEND PORTFOLIO | 47.160 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| GENERALI ITALIA SPA | 610.026 | F F F F F | |||
| TANGERINE BALANCED INCOME PORTFOLIO | 2.734 | F F F F F | |||
| TANGERINE BALANCED PORTFOLIO | 24.218 | F F F F F | |||
| TANGERINE BALANCED GROWTH PORTFOLIO | 32.133 | F F F F F | |||
| TANGERINE EQUITY GROWTH PORTFOLIO | 41.213 | F F F F F | |||
| FIRST CHURCH OF CHRIST SCIENTIST | 6.811 | F F F F F | |||
| PRESIMA GLOBAL REAL ESTATE SECURITIES ENHANCED YIELD FUND (TAXABLE) | 86.400 | F F F F F | |||
| RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND | 30.484 | F F F F F | |||
| SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 28.817 | F F F F F | |||
| LAZARD GLOBAL LISTED INFRASTRUCTURE TRUST | 2.956.945 | F F F F F | |||
| FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 1.757 | F F F F F | |||
| ALLIANZGI-FONDS PF1 SEGMENT PF1-AA2-E_EUA | 785.480 | F F F F F | |||
| RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND | 409.057 | F F F F F | |||
| RUSSELL INVESTMENT COMPANY GLOBAL INFRASTRUCTURE FUND | 340.057 | F F F F F | |||
| RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 5.071 | F F F F F | |||
| RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND | 22.279 | F F F F F | |||
| FRANKLIN TEMPLETON ICAV | 374.490 | F F F F F | |||
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF | 14.040 | F F F F F | |||
| FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT`L EQUITY HEDG | 297.104 | F F F F F | |||
| FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 21.840 | F F F F F | |||
| FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROZONE ETF | 8.084 | F F F F F | |||
| VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK | 279.780 | F F F F F | |||
| ALLIANZGI-H SEGMENT EFK | 41.230 | F F F F F | |||
| MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 2.236.549 | F F F F F | |||
| EPOCH INVESTMENT FUNDS PUBLIC LIMITED COMPANY | 126.428 | F F F F F | |||
| AEON GLOBAL EQUITY SHAREHOLDER YIELD FUND | 118.899 | F F F F F | |||
| CUSTODY BANK OF JAPAN LTD ASTRUSTEE FOR SUMITOMOMITSUI TRUST BANK LIMITED ASTRUSTEE FOR ANCHORMF |
1.525.423 | F F F F F | |||
| EATON VANCE TAXMANAGED GLOBAL BUYWRITE OPPORTUNITIES FUND | 152.501 | F F F F F | |||
| PARAMETRIC INTERNATIONAL EQUITYFUND | 62.700 | F F F F F | |||
| CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 122.821 | F F F F F | |||
| CALVERT IMPACT FUND INC CALVERT GLOBAL ENERGY SOLUTIONS FUND | 182.139 | F F F F F |

| Parziale Totale DELEGANTI E RAPPRESENTATI 1 2 3 4 5 CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO 18.440 F F F F F XTRACKERS (IE) PUBLIC LIMITED COMPANY 990.266 F F F F F UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VSTBH-UNIVERSAL-FONDS 9.262 F F F F F DESJARDINS SECURITE FINANCIERE COMPAGNIE D ASSURANCE VIE<br>7.155<br>F F F F F<br>REGIME DE RENTES DU MOUVEMENT DESJARDINS<br>11.199<br>F F F F F<br>33.400<br>REGIME DE RETRAITE DE LA CONFEDERATION DES SYNDICATS NATIONAUX<br>F F F F F<br>CAISSE DE DEPOT ET PLACEMENT DUQUEBEC<br>60.129<br>F F F F F<br>CITY UNIVERSITY OF NEW YORK<br>2.473<br>F F F F F<br>TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO<br>79.569<br>F F F F F<br>275.550<br>BMO INTERNATIONAL DIVIDEND ETF<br>F F F F F<br>BMO LOW VOLATILITY INTERNATIONALEQUITY ETF<br>567.199<br>F F F F F<br>CAPULA TAIL RISK MASTER FUND LIMITED<br>12.096<br>F F F F F<br>CARDANO COMMON CONTRACTUAL FUND<br>38.777<br>F F C F F<br>AXA EURO DIVIDEND DBVL<br>279.866<br>F F F F F<br>CENTRAL PROVIDENT FUND BOARD<br>7.398<br>F F F F F<br>AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF<br>384.018<br>F F F F F<br>AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND<br>28.121<br>F F F F F<br>MATB MSCI KOKUSAI INDEX MOTHER FUND<br>25.768<br>F F F F F<br>AMERICAN BUREAU OF SHIPPING<br>2.090<br>F F F F F<br>RTX SAVINGS PLAN MASTER TRUST<br>558.757<br>F F F F F<br>THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST<br>59.041<br>F F F F F<br>BMO MSCI EAFE INDEX ETF<br>601.938<br>F F F F F<br>BRUNEL LOW VOLATILITY GLOBAL EQUITY FUND<br>466.472<br>F F F F F<br>PUBLIC AUTHORITY FOR SOCIAL INSURANCE<br>15.041<br>F F F F F<br>MASTERFONDS HTPT<br>105.482<br>F F F F F<br>HSBC BANK PLC AS TRUSTEE OF STATE STREET AUT EUROPE EX UK S CREENED INDEX EQUITY FUND<br>1.877.301<br>F F F F F<br>NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMESS PLACE STRATEGIC43.497 F F F F F MANAGE FAMILY INVESTMENTS CHILD TRUST FUND 47.362 F F F F F FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND 38.776 F F F F F NATIONAL EMPLOYMENT SAVINGS TRUST 3.497.717 F F F F F SUN CHEMICAL LIMITED PENSION SCHEME 34.556 F F F F F |
RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE | ||||

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY INDEX FUND | 696.587 | F F F F F | |||
| VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND | 1.272.645 | F F F F F | |||
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 135.821 | F F F F F | |||
| SCOTTISH WIDOWS INV.SOLUTIONS FUNDS ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND | 167.906 | F F F F F | |||
| HI-AKTIEN GLOBAL-FONDS | 190.000 | F F F F F | |||
| MULTI STYLE MULTI MANAGER FUNDSPLC | 97.622 | F F F F F | |||
| DWS RREEF COLLECTIVE INVESTMENT TRUST | 178.390 | F F F F F | |||
| DYNAMIC INFRASTRUCTURE SECURITIES FUND LP | 4.370 | F F F F F | |||
| DWS RREEF REAL ASSETS FUND | 2.695.800 | F F F F F | |||
| MERCER UCITS COMMON CONTRACTUALFUND | 265.465 | F F F C C | |||
| MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 55.915 | F F F F F | |||
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 89.044 | F F F F F | |||
| RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 5.024 | F F F F F | |||
| NUVEEN REAL ASSET INCOME FUND | 1.997.825 | F F F F F | |||
| FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 183.901 | F F F F F | |||
| BANSABADELL 36, F.P. | 6.786 | F F F F F | |||
| POLICE AND FIREMEN`S RETIREMENTSYSTEM OF NEW JERSEY | 315.128 | F F F F F | |||
| PROCTER AND GAMBLE BELGIUM PENSION FUND | 5.128 | F F F F F | |||
| PRUDENTIAL HONG KONG LIMITED | 1.626.494 | F F F F F | |||
| PACIFIC SELECT FUND -PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO | 90.751 | F F F F F | |||
| PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 20.616 | F F F F F | |||
| NUVEEN MULTI-ASSET INCOME FUND | 139.528 | F F F F F | |||
| NUVEEN REAL ASSET INCOME & GROWTH FUND | 977.152 | F F F F F | |||
| NUVEEN INTERNATIONAL DIVIDEND GROWTH FUND | 27.926 | F F F F F | |||
| TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 18.477 | F F F F F | |||
| NORTHROP GRUMMAN PENSION MASTERTRUST | 45.189 | F F F F F | |||
| MASTERINVEST KAPITALANLAGE GMBH | 150.451 | F F F F F | |||
| SABADELL PLANIFICACION 25, FI | 25.145 | F F F F F | |||
| THE BARCLAYS BANK UK RETIREMENTFUND | 27.368 | F F F F F | |||
| GOLDMAN SACHS UK RETIREMENT PLAN | 97.433 | F F F F F | |||
| STICHTING PHILIPS PENSIOENFONDS | 23.133 | F F F F F | |||

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| NOW PENSIONS TRUST | 43.699 | F F C F F |
| COHEN & STEERS GLOBAL INFRASTRUCTURE FUND, INC. | 1.591.087 | F F F F F |
| COHEN & STEERS, INC. | 5.135 | F F F F F |
| COHEN + STEERS FUTURE OF ENERGYFUND, INC. | 247.033 | F F F F F |
| INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 898.801 | F F F F F |
| LAZARD REAL ASSETS PORTFOLIO | 7.622 | F F F F F |
| MERCER PROPERTY AND INFRASTRUCTURE TRUST | 591.339 | F F F C C |
| AMP GLOBAL LISTED INFRASTRUCTURE MARKET INDEX FUND | 586.034 | F F F F F |
| MERCER UNHEDGED OVERSEAS SHARES TRUST | 75.429 | F F F F F |
| INVERSABADELL 25, FI | 85.852 | F F F F F |
| RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | 8.436 | F F F F F |
| FONDO PENSIONE COMETA | 350.765 | F F F F F |
| ENHANCED INDEX INTERNATIONAL SHARE FUND | 46.773 | F F F F F |
| CONSERVATION INTERNATIONAL FOUNDATION, INC. | 545 | F F F F F |
| FRONTIER MFG CORE INFRASTRUCTURE FUND | 1.981.741 | F F F F F |
| DEKA INVESTMENT GMBH GLOBALE AKTIEN | 25.957 | F F F F F |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 8.000 | F F F F F |
| BS PREVISION EMPRESAS EPSV DE EMPLEO | 4.103 | F F F F F |
| SABADELL EUROPA BOLSA ESG, FI | 1.118.807 | F F F F F |
| INVERSABADELL 50, FI | 59.021 | F F F F F |
| KAIROS INTERNATIONAL SICAV-ITALIA | 407.065 | F F F F F |
| AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 495.000 | F F F F F |
| AMP SUPER FUND | 584.750 | F F F F F |
| INVERSABADELL 70, FI | 20.850 | F F F F F |
| RLA LISTED REAL ASSETS FUND | 1.906.639 | F F F F F |
| AMERICAN HEART ASSOCIATION, INC. | 4.809 | F F F F F |
| UNIVERSAL INVESTMENT GMBH | 76.498 | F F F F F |
| DEKA INVESTMENT GMBH SAS FONDS U02 | 6.480 | F F F F F |
| AZ FUND 1 AZ ALTERNATIVE SMART RISK PREMIA | 40.200 | F F F F F |
| AZ FUND 1-AZ ALLOCATION-STRATEGICBALANCED CATHOLIC VALUES | 1.200 | F F F F F |
| AMP INTERNATIONAL EQUITY INDEX FUND | 122.386 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| PHILADELPHIA GAS WORKS PENSION PLAN | 3.174 | F F F F F | |||
| FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES | 149 | F F F F F | |||
| BNPP DUBLIN/SCHRODER STABLE GROWTH FUND MELLON | 10.381 | F F F C C | |||
| AXA INSURANCE DESIGNATED ACTIVITY COMPANY | 41.023 | F F F F F | |||
| KAIROS INTERNATIONAL SICAV-KEY | 730.000 | F F F F F | |||
| FONSOLBANK FP | 17.555 | F F F F F | |||
| BANSABADELL 2000 FP | 1.343 | F F F F F | |||
| DEKA INVESTMENT GMBH BV PAR FONDS | 13.000 | F F F F F | |||
| UNISUPER | 28.510 | F F F F F | |||
| AAM S&P DEVELOPED MARKETS HIGH DIVIDEND VALUE ETF | 7.282 | F F F F F | |||
| AXA-ARAG RECHTSSCHUTZ AG | 84.000 | F F F F F | |||
| PACER TRENDPILOT INTERNATIONAL ETF | 18.642 | F F F F F | |||
| PSVAG MASTERFONDS | 85.193 | F F F F F | |||
| SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND | 956.872 | F F F F F | |||
| SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 1.549.648 | F F F F F | |||
| CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) | 24.300 | F F F F F | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) |
195.612 | F F F F F | |||
| SIIT - WORLD SELECT EQUITY FUND | 3.202 | F F F F F | |||
| HELABA INV KAPITALANL GES MBH HI SLS MF2 | 47.606 | F F F F F | |||
| ING DIRECT SICAV | 105.087 | F F F F F | |||
| CREDIT SUISSE INDEX FUND (LUX) | 893.205 | F F F F F | |||
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 2.030.984 | F F F F F | |||
| THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND | 2.842 | F F F F F | |||
| MONDRIAN INTERNATIONAL VALUE EQUITY FUND | 5.142.429 | F F F F F | |||
| MONDRIAN GLOBAL EQUITY VALUE FUND | 687.733 | F F F F F | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 39.830 | F F F F F | |||
| FIDELITY RETIREE HEALTH REIMBURSEMENT PLAN | 34.720 | F F F F F | |||
| VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF | 123.028 | F F F F F | |||
| FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 29.636 | F F F F F | |||
| DEKA INVESTMENT GMBH NECKAR FUNDMASTER 1 | 413.754 | F F F F F | |||
| FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL QUALITY INDEX FUND | 625.297 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||||
|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 | ||
| MONDRIAN ALL COUNTRIES WORLD EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST | 2.665.063 | F F F F F | ||
| NUVEEN TIAA INTERNATIONAL EQUITY INDEX FUND | 92.560 | F F F F F | ||
| THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND | 209.409 | F F F F F | ||
| HESTA | 575.226 | F F F F F | ||
| EPOCH GLOBAL EQUITY SHAREHOLDER YIELD CIT | 167.713 | F F F F F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: TMA GLOBAL EQUITY INDEX MOTHER FUND | 50.123 | F F F F F | ||
| FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND | 50.074 | F F F F F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MORGAN STANLEY INFRASTRUCTURE STOCKS MOTHER FUND | 69.108 | F F F F F | ||
| DEMOCRACY INTERNATIONAL FUND | 1.697 | F F F F F | ||
| DEKA INVESTMENT GMBH DEKA VALUE EXTRA SE | 82.340 | F F F F F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 8.502 | F F F F F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND | 975 | F F F F F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 139.777 | F F F F F | ||
| FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 10.874 | F F F F F | ||
| MONDRIAN GLOBAL LISTED INFRASTRUCTURE FUND | 10.742 | F F F F F | ||
| FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND | 301.264 | F F F F F | ||
| THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 368.704 | F F F F F | ||
| MONDRIAN INTERNATIONAL EQUITY COLLECTIVE INVESTMENT TRUST | 841.633 | F F F F F | ||
| FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND | 2.853.140 | F F F F F | ||
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD | 39.882 | F F F F F | ||
| HELABA INVEST KAG MBH HI KAPPA 10 SFONDS | 51.300 | F F F F F | ||
| VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD | 47.440 | F F F F F | ||
| VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FTSE DEV EUR EX UK CCF | 52.238 | F F F F F | ||
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 2.853.905 | F F F F F | ||
| VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED EUROPE II CCF | 52.069 | F F F F F | ||
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND | 785.916 | F F F F F | ||
| VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO | 41.217 | F F F F F | ||
| FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 751.618 | F F F F F | ||
| NATIXIS AM FUNDS | 628.496 | F F F C F | ||
| BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND | 3.737.541 | F F F F F | ||
| MACQUARIE GLOBAL LISTED INFRASTRUCTURE CIT | 47.345 | F F F F F | ||

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale | Totale | 1 2 3 4 5 | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 46.478 | F F F C C | ||
| SCHRODER INTERNATIONAL SELECTION FUND | 204.510 | F F F C C | ||
| NUVEEN GLOBAL INFRASTRUCTURE FUND | 1.782.007 | F F F F F | ||
| BLACKROCK INDEX SELECTION FUND | 965.147 | F F F F F | ||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO | 36.477 | F F F F F | ||
| ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND | 2.476 | F F F F F | ||
| FUNDACAO CALOUSTE GULBENKIAN | 1.452 | F F F F F | ||
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 124.878 | F F F F F | ||
| UNICARE SAVINGS PLAN | 106.269 | F F F F F | ||
| DWS RREEF GLOBAL INFRASTRUCTURE FUND | 2.100.630 | F F F F F | ||
| VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF | 56.714 | F F F F F | ||
| HMT HANSEMERKUR AKTIEN INVEST | 1.499 | F F F F F | ||
| SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND | 6.697 | F F F F F | ||
| STATE OF WYOMING | 129.598 | F F F F F | ||
| BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 48.561 | F F F F F | ||
| BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 12.759.955 | F F F F F | ||
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 17.627.736 | F F F F F | ||
| CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND - HEDGED | 5.369.428 | F F F F F | ||
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II |
15.192.572 | F F F F F | ||
| MSCI EQUITY INDEX FUND B - ITALY (MSITB) | 730.417 | F F F F F | ||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND V | 2.765 | F F F F F | ||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND I | 750 | F F F F F | ||
| BFS NACHHALTIGKEITSFONDS AKTIEN I | 63.620 | F F F F F | ||
| ROBECO CAPITAL GROWTH FUNDS | 2.698.623 | F F F F F | ||
| T. ROWE PRICE FUNDS SICAV | 70 | F F F F F | ||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND III | 8.850 | F F F F F | ||
| PROSHARES DJ BROOKFIELD GLOBAL INFRASTRUCTURE ETF | 240.649 | F F F F F | ||
| MI-FONDS F47 | 22.089 | F F F F F | ||
| MAIN I - UNIVERSAL - FONDS | 30.781 | F F F F F | ||
| MOMENTUM GLOBAL FUNDS | 79.775 | F F F F F | ||
| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | |||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400021974 |
25.906 | 1 2 3 4 5 F F F F F |
|||
| FLEXSHARES DEVELOPED MARKETS EX - US QUALITY LOW VOLATILITY INDEX FUND | 35.730 | F F F F F | |||
| SAS TRUSTEE CORPORATION POOLED FUND | 33.498 | F F F F F | |||
| BFS NACHHALTIGKEITSFONDS AKTIEN II | 181.890 | F F F F F | |||
| BLACKROCK FUNDS I ICAV | 24.051 | F F F F F | |||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO | 17.085 | F F F F F | |||
| STICHTING PENSIOENFONDS ABP | 4.466.476 | F F F C F | |||
| GERANA SICAV-SIF, S.A. | 1.166.214 | F F F F F | |||
| HC RENTE | 10.686 | F F F F F | |||
| SCHRODER GLOBAL DIVERSIFIED INCOME FUND | 22.659 | F F F C C | |||
| LVUI EQUITY EUROPE | 135.000 | F F F F F | |||
| BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 47.547 | F F F F F | |||
| CDN MSCI WORLD EX-CANADA MINIMUM VOLATILITY INDEX FUND | 52.643 | F F F F F | |||
| MINE SUPERANNUATION FUND | 48.436 | F F F F F | |||
| HELABA INV KAPITALANL GES MBH HI Z AKTIE | 502.027 | F F F F F | |||
| TIMM INVEST EUROPA PLUS | 2.401 | F F F F F | |||
| SBC MASTER PENSION TRUST | 293.247 | F F F F F | |||
| MACQUARIE GLOBAL LISTED INFRASTRUCTURE ETF | 48.957 | F F F F F | |||
| CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 5.902.236 | F F F F F | |||
| CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 39.595 | F F F F F | |||
| BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 328.296 | F F F F F | |||
| TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND | 1.235.111 | F F F F F | |||
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND IV | 7.109 | F F F F F | |||
| EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO | 23.055 | F F F F F | |||
| EARNEST INSTITUTIONAL LLC | 442 | F F F F F | |||
| BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 3.637.917 | F F F F F | |||
| BASTI 1 METZLER | 13.200 | F F F F F | |||
| JEFFREY LLC | 14.254 | F F F F F | |||
| NFS LIMITED | 468.427 | F F F F F | |||
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 4.881 | F F F F F | |||
| THRIFT SAVINGS PLAN | 9.510.996 | F F F F F | |||

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 |
| UBS ASSET MANAGEMENT LIFE LTD | 573.875 | F F F F F | |
| TEACHERS` RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 136.005 | A F F F F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 225.637 | F F F F F | |
| FRANKLIN CLEARBRIDGE SUSTAINABLE GLOBAL INFRASTRUCTURE INCOME FUND | 426.667 | F F F F F | |
| BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 8.457 | F F F F F | |
| TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 13.651 | F F F F F | |
| GLOBAL ETHICAL VALUES SELECT FUND | 37.540 | F F F F F | |
| ROBECO UMBRELLA FUND I N.V. | 392.086 | F F F F F | |
| BLACKROCK CDN GLOBAL INFRASTRUCTURE EQUITY INDEX FUND | 3.775.970 | F F F F F | |
| JNL INTERNATIONAL INDEX FUND | 289.549 | F F F F F | |
| BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 383.497 | F F F F F | |
| AVIVA LIFE & PENSIONS UK LIMITED | 287.910 | F F F F F | |
| MINISTRY OF ECONOMY AND FINANCE | 648.095 | F F F F F | |
| AVIVA LIFE & PENSIONS IRELAND DAC | 113.839 | F F F F F | |
| AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND II | 4.937 | F F F F F | |
| ROBECO GLOBAL DEVELOPED MARKETS EQUITIES CIT | 32.377 | F F F F F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 76.834 | F F F F F | |
| CNP LBPAM GLOBAL CONVERTIBLES | 52.000 | F F F F F | |
| PCFG EQUITY FUND LTD | 14.542 | F F F F F | |
| QANTAS SUPERANNUATION LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN | 1.466 | F F F F F | |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 230.945 | F F F F F | |
| MAINSTAY EPOCH GLOBAL EQUITY YIELD FUND | 1.104.910 | F F F F F | |
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI |
12.735 | F F F F F | |
| EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 31.418 | F F F F F | |
| MAINSTAY VP INCOME BUILDER PORTFOLIO | 437.751 | F F F F F | |
| KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 267.088 | F F F F F | |
| UBS FTSE RAFI DEVELOPED 1000 INDEX FUND | 33.883 | F F F F F | |
| VERDIPAPIRFONDET STOREBRAND GLOBAL MULTIFACTOR | 308.704 | F F F F F | |
| ECOFI CONVERTIBLES EURO | 125.200 | F F F F F | |
| VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 80.786 | F F F F F | |
| BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 25.938 | F F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale | Totale | 1 2 3 4 5 | |
| MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 136.571 | F F F F F | ||
| NORDEA GLOBAL PASSIVE FUND | 80.868 | F F F F F | ||
| INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC | 13.371 | F F F F F | ||
| FORD PENSION UNIVERSAL | 7.355 | F F F F F | ||
| DEKA VALUE PLUS | 585.459 | F F F F F | ||
| INTECH INTERNATIONAL LARGE CAP CORE FUND LLC | 13.582 | F F F F F | ||
| MAGELLAN WHOLESALE PLUS INFRASTRUCTURE FUND | 226.843 | F F F F F | ||
| UBS MSCI WORLD MINIMUM VOLATILITY INDEX FUND | 81.081 | F F F F F | ||
| SWISS NATIONAL BANK | 5.099.090 | F F F F F | ||
| AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND | 32.830 | F F F F F | ||
| FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND | 1.626.300 | F F F F F | ||
| ISHARES WORLD EQUITY FACTOR ETF | 29.310 | F F F F F | ||
| FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 11.280 | F F F F F | ||
| SANTANDER SICAV | 28.782 | F F F F F | ||
| AUSTRALIANSUPER | 1.635.509 | F F F F F | ||
| THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT TRUST | 1.902.448 | F F F F F | ||
| UNIVERSITIES SUPERANNUATION SCHEME | 987.034 | C F F F F | ||
| STELLAR INSURANCE, LTD. | 80.119 | F F F F F | ||
| MAIN VI-UNIVERSAL-FONDS | 3.778 | F F F F F | ||
| NMM5-WIEQ-CNS ACCOUNT | 20.641 | F F F F F | ||
| MAINSTAY INCOME BUILDER FUND | 901.153 | F F F F F | ||
| ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 9.781 | F F F F F | ||
| BLACKROCK CDN WORLD INDEX FUND | 174.598 | F F F F F | ||
| VGV POOLFONDS PA1 | 55.486 | F F F F F | ||
| THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400025501 |
26.645 | F F F F F | ||
| VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 46.169 | F F F F F | ||
| FOVERUKA PENSION UNIVERSAL | 31.756 | F F F F F | ||
| VERDIPAPIRFONDET EQUINOR AKSJER EUROPA | 109.500 | F F F F F | ||
| INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS - AKKUMULERENDE KL | 47.447 | F F F F F | ||
| KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA PENSION - AKTIER | 2.147.265 | F F F F F | ||
| NMM5 GIEP BRI ACCOUNT | 26.709 | F F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| SIEMENS-FONDS SIEMENS-RENTE | 220.991 | F F F F F |
| INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE KL | 470.020 | F F F F F |
| SCHRODER PENSION MANAGEMENT LIMITED | 93.298 | F F F C C |
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND | 311.724 | F F F F F |
| DANSKE INVEST SICAV | 490.167 | F F F F F |
| NEW YORK STATE COMMON RETIREMENT FUND | 13.300.786 | F F F F F |
| MI-FONDS 384 | 26.576 | F F F F F |
| MACQUARIE TRUE INDEX GLOBAL INFRASTRUCTURE SECURITIES FUND | 1.435.611 | F F F F F |
| NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 151.529 | F F F F F |
| STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS | 31.728 | F F F F F |
| NCF-GBL INFRAST STOCK FD | 2.046.400 | F F F F F |
| JPMORGAN INVESTMENT FUNDS | 825.313 | F F F F F |
| JPMORGAN CHASE RETIREMENT PLAN | 620.138 | F F F F F |
| BOOKOUT INTERESTS LTD E LB HOLDINGS 1 LLC | 2.454 | F F F F F |
| ISHARES CORE FTSE GLOBAL INFRASTRUCTURE (AUD HEDGED) ETF | 305.744 | F F F F F |
| BIL-UNIVERSAL-FONDS | 184.294 | F F F F F |
| INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKUMULERENDE KL | 330.459 | F F F F F |
| INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL | 15.696 | F F F F F |
| OB 2 | 12.796 | F F F F F |
| CHURCH COMMISSIONERS FOR ENGLAND | 22.585 | F F C F F |
| BLACKROCK GLOBAL ALLOCATION V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC | 111.077 | F F F F F |
| WIF-GBL UNCONS INFRA EQTY | 698.430 | F F F F F |
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 | 8.186 | F F F F F |
| SCHRODER MANAGED BALANCED FUND | 37.301 | F F F C C |
| TRINITY COLLEGE CAMBRIDGE | 36.735 | F F F F F |
| EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO | 50.504 | F F F F F |
| TELSTRA SUPERANNUATION SCHEME | 1.258.851 | F F F F F |
| NATIONWIDE INTERNATIONAL INDEX FUND | 113.356 | F F F F F |
| VANGUARD INTERNATIONAL SHARES INDEX FUND | 751.456 | F F F F F |
| EMBO-FONDS | 53.071 | F F F F F |
| IRR K LLC | 19.778 | F F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| EPOCH GLOBAL EQUITY SHAREHOLDER YIELD (UNHEDGED) FUND | 1.883.522 | F F F F F |
| HELABA INV KAPITALANL.GES.MBH HI-KAPPA-2 | 22.800 | F F F F F |
| QUANTUM LEBEN AG | 15.000 | F F F F F |
| STRATEGIC INFRASTRUCTURE FUND | 221.547 | F F F F F |
| VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 209.073 | F F F F F |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUND | 881.368 | F F F F F |
| VANGUARD GLOBAL INFRASTRUCTURE INDEX FUND | 1.150.249 | F F F F F |
| BLACKROCK GLOBAL ALLOCATION FUND (AUST) | 5.587 | F F F F F |
| EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO | 136.252 | F F F F F |
| EPS | 28.530 | F F F F F |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO | 73.519 | F F F F F |
| BLACKROCK GLOBAL ALLOCATION PORTFOLIO OF BLACKROCK SERIES FUND, INC. | 3.584 | F F F F F |
| STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER TRUST | 95.607 | F F F F F |
| TOMASSI MARINANGELI GIULIANO GREGORIO | 2.500 | F F F F F |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND | 32.042 | F F F F F |
| T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 107.394 | F F F F F |
| 1934 GLOBAL INVESTMENT FUND LP | 68.504 | F F F F F |
| F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC | 5.802 | F F F F F |
| TEACHERS RETIREMENT SYSTEM OF GEORGIA | 14.924.710 | F F F F F |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND | 117.338 | F F F F F |
| CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 13.160 | F F F F F |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY MINIMUM VOLATILITY POOL | 1.570.384 | F F F C F |
| EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO | 209.139 | F F F F F |
| GOVERNMENT INSTITUTIONS PENSION FUND | 604.310 | F F F F F |
| NMM5 GIEP DWS ACCOUNT | 33.400 | - - - - - |
| SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 307 | F F F F F |
| COHEN & STEERS REAL ASSETS MULTI-STRATEGY FUND | 101.492 | F F F F F |
| FISHER INSTITUTIONAL INTERNATIONAL EQUITY FUND | 902.337 | F F F F F |
| DANSKE INVEST EUROPE HIGH DIVIDEND FUND | 109.297 | F F F F F |
| BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 178.596 | F F F F F |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG ETF | 41.686 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 1.950.351 | F F F F F | |||
| SIJOITUSRAHASTO UB INFRA | 201.000 | F F F F F | |||
| CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND UNHEDGED | 531.320 | F F F F F | |||
| KATHERINE C MOORE CHARITABLE LEAD ANNUIT | 1.914 | F F F F F | |||
| WIF-LAZ GBL PFD LIS INFRA | 3.447.345 | F F F F F | |||
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
2.150.013 | F F F F F | |||
| LVUI EQUITY WORLD EX EUROPE | 6.758 | F F F F F | |||
| KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED | 553.068 | F F F F F | |||
| BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 61.898 | F F F F F | |||
| TF-EQUITY | 207.203 | F F F F F | |||
| DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 5.875 | F F F F F | |||
| MACQUARIE MULTI-FACTOR FUND | 23.521 | F F F F F | |||
| FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND | 187.648 | F F F F F | |||
| BRUNEI SHELL RETIREMENT BENEFIT FUND | 1.967 | F F F F F | |||
| MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND (UNHEDGED) | 875.358 | F F F F F | |||
| WIF-C&S GBL LISTED INFRA | 275.933 | F F F F F | |||
| EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 12.357 | F F F F F | |||
| MACQUARIE INTERNATIONAL EQUITIES FUND | 48.533 | F F F F F | |||
| INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS BNP KL | 23.521 | F F F F F | |||
| INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS KL | 65.509 | F F F F F | |||
| VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 104.851 | F F F F F | |||
| CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE |
317.518 | F F F F F | |||
| FORSTA AP - FONDEN | 563.024 | F F F F F | |||
| EQUINOR PENSJON | 100.000 | F F F F F | |||
| JNL/BLACKROCK GLOBAL ALLOCATION FUND | 71.024 | F F F F F | |||
| WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 3.516 | F F F F F | |||
| PICTET - EUROPE INDEX | 191.151 | F F F F F | |||
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 31.377.565 | F F F F F | |||
| STRATEGIC INTERNATIONAL EQUITY FUND | 33.929 | F F F F F | |||
| KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER | 84.740 | F F F F F | |||

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| SAMPENSION LIVSFORSIKRING A/S | 1.039.130 | F F F F F |
| SCHRODER SUSTAINABLE FUTURE MULTI-ASSET FUND | 56.299 | F F F C C |
| INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS KL | 136.958 | F F F F F |
| ALASKA COMMON TRUST FUND | 68.653 | F F F F F |
| VERDIPAPIRFONDET KRON INDEKS GLOBAL | 46.466 | F F F F F |
| MORGAN STANLEY INVESTMENT FUNDS | 1.349.039 | F F F F F |
| CARE SUPER | 32.739 | F F F F F |
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER | 51.777 | F F F F F |
| FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE INDEX FUND | 483 | F F F F F |
| ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 247.348 | F F F F F |
| NORDEA EUROPEAN PASSIVE FUND | 35.233 | F F F F F |
| INVESTERINGSFORENINGEN BANKINVEST, BIX GLOBALE AKTIER ESG UNIVERSAL KL | 55.843 | F F F F F |
| UI-FONDS BAV RBI AKTIEN | 246.373 | F F F F F |
| NVIT INTERNATIONAL INDEX FUND | 171.556 | F F F F F |
| SALT SUSTAINABLE GLOBAL LISTED INFRASTRUCTURE FUND | 59.250 | F F F F F |
| EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 2.843.412 | F F F F F |
| FOREIGN STOCK INDEX MOTHER FUND | 108.265 | F F F F F |
| FUJIFILM BUSINESS INNOVATION CORP. | 402.100 | F F F F F |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER | 87.797 | F F F F F |
| COHEN & STEERS GLOBAL LISTED INFRASTRUCTURE FUND | 668.603 | F F F F F |
| ISHARES CORE MSCI WORLD EX AUSTRALIA ESG (AUD HEDGED) ETF | 17.730 | F F F F F |
| FINREON WORLD EQUITY MULTI PREMIA DEFENSIVE PENSION CREDIT SUISSE FUNDS AG | 26.676 | F F F F F |
| PK CSG WORLD EQUITY CREDIT SUISSE FUNDS AG | 63.497 | F F F F F |
| AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS CREDIT SUISSE FUNDS AG | 1.342.740 | F F F F F |
| BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND CREDIT SUISSE FUNDS AG | 183.310 | F C F F F |
| CSIF CH EQUITY EUROPE EX CH BLUE CREDIT SUISSE FUNDS AG | 33.034 | F F F F F |
| AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS AG | 654.090 | F F F F F |
| IPAC INCOME GENERATOR | 10.346 | F F F F F |
| JPMORGAN ETFS (IRELAND) ICAV - CARBON TRANSITION GLOBAL EQUITY (CTB) UCITS ETF | 169.664 | F F F F F |
| PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE | 8.455 | F F F F F |
| RLA INTERNATIONAL EQUITIES FUND | 59.483 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| GIM SPECIALIST INVESTMENT FUNDS - GIM GL RESEARCH ENHNCD INX MIN VLTY EQTY FD | 37.976 | F F F F F |
| JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 518.097 | F F F F F |
| JPMORGAN INCOME BUILDER FUND | 490.122 | F F F F F |
| JPMORGAN GLOBAL CORE REAL ASSETS LIMITED | 23.789 | F F F F F |
| JPMORGAN FUND ICVC - JPM EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND | 14.411 | F F F F F |
| JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY PREMIUM INCOME UCITS ETF | 11.997 | F F F F F |
| ONEPATH GLOBAL SHARES - GLOBAL INFRASTRUCTURE (HEDGED) INDEX POOL | 243.846 | F F F F F |
| JPMORGAN BETABUILDERS EUROPE ETF | 1.538.646 | F F F F F |
| JPMORGAN GLOBAL ALLOCATION FUND | 7.252 | F F F F F |
| PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL | 66.179 | F F F F F |
| THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400031129 | 8.233 | F F F F F |
| ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL | 178.956 | F F F F F |
| JPMORGAN FUND ICVC - JPM MULTI-ASSET INCOME FUND | 15.923 | F F F F F |
| JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY MULTI-FACTOR UCITS ETF | 67.477 | F F F F F |
| COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. | 1.045.237 | F F F F F |
| AQR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL TRADING | 81.753 | F F F F F |
| CSIF 2 C SUISSE LUX THEMATIC OPPORTUNITIES EQUITY FUND | 198.805 | F F F F F |
| CSIF2 CS LUX ENERGY EVOLUTION EQUITY FUND | 72.000 | F F F F F |
| BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND PENSION CREDIT SUISSE FUNDS AG | 33.514 | F C F F F |
| CSIF4 CREDIT SUISSE LUX GLOBAL HIGH INCOME FUND USD | 50.280 | F F F F F |
| HELABA INV KAPITALANL GES MBH HI WIVK 21 | 29.484 | F F F F F |
| PICTET - QUEST AL-DRIVEN GLOBAL EQUITIES | 1.118 | F F F F F |
| CSIF CH III EQUITY WORLD EX CH CLIMATE CHANGE BLUE PENSION FUND PLUS CREDIT SUISSE FUNDS AG | 232 | F F F F F |
| FINREON WORLD EQUITY ECONOMIC EXPOSURE PENSION CREDIT SUISSE FUNDS AG | 24.991 | F F F F F |
| CSIF CH III EQUITY WORLD EX CH VALUE WEIGHTED PENSION FUND CREDIT SUISSE FUNDS AG | 6.578 | F F F F F |
| PROFOND UMBRELLA AKTIEN AUSLAND MINIMUM VOLATILITY CREDIT SUISSE FUNDS AG | 78.480 | F F F F F |
| CSIF CH III EQUITY WORLD EX CH MINIMUM VOLATILITY PF CREDIT SUISSE FUNDS AG | 121.468 | F F F F F |
| CSIF CH EQUITY EMU CREDIT SUISSE FUNDS AG | 79.349 | F F F F F |
| AMUNDI HK PORTFOLIOS | 267.461 | F F F F F |
| HELSANA AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL DUEBENDORF | 7.888 | F F F F F |
| BEST INVESTMENT CORPORATION | 573.094 | F F F F F |
| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| HELSANA UNFALL AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF |
5.505 | F F F F F | |||
| CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES RENDEMENT ABSOLU | 56.999 | F C F F F | |||
| AMUNDI HK - GREEN PLANET FUND | 155.632 | F F F F F | |||
| THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED DAILY RATED EMPLOYEES RETIREMENT FUND SCHEME |
14.468 | F F F F F | |||
| HELSANA VERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF |
5.980 | F F F F F | |||
| VITASOY INTERNATIONAL HOLDINGS LIMITED DEFINED BENEFIT SCHEME | 2.277 | F F F F F | |||
| HELSANA ZUSATZVERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF |
12.305 | F F F F F | |||
| JPM MULTI INCOME FUND | 320.628 | F F F F F | |||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 10 | 80.006 | F F F F F | |||
| HSBC POOLED INVESTMENT FUND - HSBC POOLED GLOBAL EQUITY FUND | 244.688 | F F F F F | |||
| TAIPEI FUBON COMERCIAL BANK LTD | 230.000 | F F F F F | |||
| JPMORGAN MULTI BALANCED FUND | 13.700 | F F F F F | |||
| RP - FONDS INSTITUTIONNEL - ACTIONS MARCHES DEVELOPPES LARGE CAP | 59.707 | F C F F F | |||
| MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 376.525 | F F F F F | |||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 | 6.628 | F F F F F | |||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 | 11.945 | F F F F F | |||
| SCHRODER INSTITUTIONAL POOLED FUNDS | 38.200 | F F F C C | |||
| AVIVA LIFE AND PENSIONS UK LIMITED | 20.588 | F F F F F | |||
| CIVIL SERVICE EMPLOYEES PENSION FUND | 23.014 | F F F F F | |||
| AXA INSURANCE UK PLC | 63.030 | F F F F F | |||
| HSBC POOLED INVESTMENT FUND | 25.743 | F F F F F | |||
| HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX FUND | 147.872 | F F F F F | |||
| AIA GLOBAL MULTI-FACTOR EQUITY FUND | 20.478 | F F F F F | |||
| QUAERO CAPITAL FUNDS (LUX) - ACCESSIBLE CLEAN ENERGY | 654.079 | F F F F F | |||
| TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 | 132.696 | F F F F F | |||
| AVIVA INVESTORS FUNDS ACS - AI BALANCED PENSION FUND | 110.641 | F F F C C | |||
| REASSURE LIMITED | 638.648 | F F F F F | |||
| HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND | 67.363 | F F F F F | |||
| AVIVA INVESTORS FUNDS ACS - AI CAUTIOUS PENSION FUND | 1.591 | F F F C C | |||
| AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND | 255.852 | F F F F F | |||

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| AMUNDI ETF ICAV | 58.597 | F F F F F |
| WESLEYAN AUTHORISED UNIT TRUST - WESLEYAN LOW RISK/REWARD GROWTH FUND | 48.071 | F F F F F |
| AVIVA INVESTORS FUNDS ACS - AI BALANCED LIFE FUND | 6.177 | F F F C C |
| AVIVA INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL EUROPEAN EQUITY INDEX FUND | 276.472 | F F F F F |
| PICTET-EUROLAND INDEX | 126.419 | F F F F F |
| LAZARD FRERES BANQUE SA | 268.170 | F F F F F |
| AVIVA INVESTORS PASSIVE FUNDS ACS - AI 30:70 GLOBAL EQUITY (CURRENCY HEDGED) INDEX FUND | 21.168 | F F F F F |
| AVIVA INVESTORS PASSIVE FUNDS ACS - AI 60:40 GLOBAL EQUITY INDEX FUND | 67.755 | F F F F F |
| AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED WORLD EX UK EQUITY INDEX FUND | 11.621 | F F F F F |
| AVIVA INVESTORS PASSIVE FUNDS ACS - AI 50:50 GLOBAL EQUITY INDEX FUND | 207.334 | F F F F F |
| ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND | 200.616 | F F F F F |
| INVESTMENT FUND SERVICES LIMITED | 10.711 | F F F F F |
| AMUNDI ETF ICAV - AMUNDI S&P GLOBAL UTILITIES ESG UCITS ETF | 164.696 | F F F F F |
| AVIVA INVESTORS UK FUND SERVICES LIMITED | 223.329 | F F F F F |
| AMUNDI ETF ICAV - AMUNDI SANDP 500 EQUAL WEIGHT ESG LEADERS UCITS ETF | 8.916 | F F F F F |
| AEIS INSTITUTIONAL FUND - AKTIEN GLOBAL | 60.416 | F C F F F |
| HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND | 1.340.862 | F F F F F |
| AXA PPP HEALTHCARE LIMITED | 27.810 | F F F F F |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 431.477 | F F F F F |
| THE PRUDENTIAL ASSURANCE COMPANY LIMITED | 2.022 | F F F F F |
| RATHBONE ACTIVE INCOME AND GROWTH FUND | 270.209 | F F F F F |
| MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 453.777 | F C F C C |
| HSBC GLOBAL INVESTMENT FUNDS | 65.689 | F F F F F |
| HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD UCITS ETF | 352.337 | F F F F F |
| HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF | 35.794 | F F F F F |
| INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 626.959 | F F F F F |
| PICTET CH - GLOBAL EQUITIES | 15.637 | F F F F F |
| SCHWEIZERISCHE MOBILIAR ASSET MANAGEMENT AG | 350.500 | F F F F F |
| BLKB EQUITY SWITZERLAND FOCUS | 1.458.437 | F F F F F |
| AMUNDI DEUTSCHLAND GMBH | 215.011 | F F F F F |
| HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH | 248.639 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| IF IST - GLOBE INDEX | 70.420 | F F F F F | |||
| IF IST - AKTIEN WELT | 63.086 | F F F F F | |||
| VERTI VERSICHERUNG AG | 173.608 | F F F F F | |||
| VERTI ASSICURAZIONI SPA | 101.033 | F F F F F | |||
| ERAFP ACTIONS EURO I | 9.526.910 | F C F C C | |||
| CERVURITEINTERNATIONALLLC | 20.155 | F F F F F | |||
| PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL | 24.445 | F F F F F | |||
| UNIGEST, S.G.I.I.C., S.A.U. | 167.601 | F F F F F | |||
| NANCY AND CLARKGIBBS LIVINGTRUST | 91 | F F F F F | |||
| VIDACAIXA, S.A. | 831.838 | F F F F F | |||
| INVESTERINGSFORENINGEN BANKINVEST BORSNOTEREDE ALTERNATIVER | 32.143 | F F F F F | |||
| BBVA RETAIL | 5.260 | A A A A A | |||
| HYDRO ONE PENSION PLAN | 1.252.700 | F F F F F | |||
| BMO CANADA PENSION PLAN | 731.034 | F F F F F | |||
| IMCO GLOBAL PUBLIC EQUITY LP | 3.621.929 | F F F F F | |||
| STATE OF WISCONSIN INVESTMENT BOARD | 8.436 | F F F F F | |||
| AUTORIDADE MONETARIA DE MACAU | 37.052 | F F F F F | |||
| PICTET - MULTI ASSET GLOBAL OPPORTUNITIES | 29.673 | F F F F F | |||
| SUBSIDIZED SCHOOLS PROVIDENT FUND | 94.146 | F F F F F | |||
| WILLIS TOWERS WATSON GROUP TRUST | 37.204 | F F F F F | |||
| CARGILL INC AND ASSOCIATED COMPANIES MASTER PENSION TRUST | 117.840 | F F F F F | |||
| KAPITALFORENINGEN INVESTIN PRO LOW RISK EQUITIES II | 19.689 | F F F F F | |||
| KAPITALFORENINGEN INVESTIN PRO ACADIAN GLOBAL VALUE | 56.718 | F F F F F | |||
| NATWEST TDS DEP BNYM RM GLO EQ FUND | 23.775 | F F F C C | |||
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 85.883 | F F F F F | |||
| NEUALT LLC | 108.312 | F F F F F | |||
| INVESCO MARKETS II PLC | 64.769 | F F F F F | |||
| LEGAL AND GENERAL UCITS ETF PLC | 80.623 | F F F F F | |||
| WORLD TRADE ORGANIZATION PENSION PLAN | 18.370 | F F F F F | |||
| MACQUARIE MANAGEMENT HOLDINGS INC | 16.237 | F F F F F | |||
| KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 121.443 | F F F F F | |||

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
||||
|---|---|---|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale | Totale | 1 2 3 4 5 | ||
| VANGUARD FTSE ALL WORLD EX US INDEX FUND | 4.555.689 | F F F F F | |||
| VANGUARD EUROPEAN STOCK INDEX FUND | 4.682.570 | F F F F F | |||
| GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA TOTAL INTERNATIONAL EQUITY ETF | 34.275 | F F F F F | |||
| CENTRAL PENSION FUND OF THE INT UNION OF OPERATING ENGINEERS AND PARTICIPATING EMPLOYERS | 201.970 | F F F F F | |||
| RIVER PARTNERS GLOBAL EQUITY LLC | 2.349 | F F F F F | |||
| MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 22.097 | F F F F F | |||
| MCGILL UNIVERSITY PENSION PLAN | 9.239 | F F F F F | |||
| TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 9.781 | F F F F F | |||
| HELABA INVEST KAG MBH FOR HI-AKTIEN LOW | 236.231 | F F F F F | |||
| CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES | 16.015 | F C F F F | |||
| VOYA VACS INDEX SERIES I PORTFOLIO | 189.877 | F F F F F | |||
| PURPOSE INTERNATIONAL DIVIDEND FUND | 41.248 | F F F F F | |||
| DANMARKS GRUNDFORSKNINGFOND | 5.850 | F F F F F | |||
| CONSOLIDATED EDISON RETIREMENT PLAN | 43.841 | F F F F F | |||
| HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 15.440 | F F F F F | |||
| ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 13.414 | F F F F F | |||
| BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 30.975 | F F F F F | |||
| GENERAL MILLS GROUP TRUST | 168.471 | F F F F F | |||
| WILSHIRE SOLUTIONS FUNDS TRUST | 20.789 | F F F F F | |||
| POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 2.622 | F F F F F | |||
| DEKA INVESTMENT GMBH W/DEKA EURO STOXX SEL.DIV.30UC.ETF | 1.157.990 | F F F F F | |||
| CERVURITE INTERNATIONAL LLC | 41.669 | F F F F F | |||
| MASTERS I LLC | 8.221 | F F F F F | |||
| DEUTSCHE DCG EQ | 7.555 | F F F F F | |||
| NORTH CAROLINA SUPPLEMENTAL RETIREMENT PLANS GROUP TRUST | 5.950.778 | F F F F F | |||
| DREXEL UNIVERSITY | 50.616 | F F F F F | |||
| THE ACADEMY OF NATURAL SCIENCES OF PHILADELPHIA | 4.986 | F F F F F | |||
| MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 51.264 | F F F F F | |||
| CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATING | 46.102 | F F F F F | |||
| THE COMMONWEALTH FUND | 2.171 | F F F F F | |||
| CITW FUND LP | 2.384 | F F F F F | |||

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| DEKA INTERNATIONAL S.A. W/DEKA-EUROPA AKTIEN SPEZIAL | 519.847 | F F F F F |
| THE BANK OF NEW YORK MELLON INTERNATIONAL | 33.460 | F F F F F |
| MOTHER CABRINI HEALTH FOUNDATION INC | 91.901 | F F F F F |
| FLORIDA GLOBAL EQUITY FUND LLC | 27.258 | F F F F F |
| GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO | 40.289 | F F F F F |
| WILMINGTON GLOBAL ALPHA EQUITIES FUND | 14.677 | F F F F F |
| TEXAS UTILITIES QUAL NDT PARTNERSHIP | 9.239 | F F F F F |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS ZDV EVO | 6.757 | F F F F F |
| TD EMERALD LOW CARBON GLOBAL EQUITY INDEX POOLED FUND TRUST | 15.934 | F F F F F |
| THE PENSION FUND SOCIETY OF THE TORONTO DOMINIONBANK | 215.272 | F F F F F |
| TD PENSION PLAN CANADA | 98.968 | F F F F F |
| DEKA INVESTMENT GMBH W/A-DOR-FONDS W/U21 | 83.845 | F F F F F |
| TD INTERNATIONAL EQUITY INDEX ETF | 132.440 | F F F F F |
| TD Q INTERNATIONAL LOW VOLATILITY ETF | 10.670 | F F F F F |
| TD EUROPEAN INDEX FUND | 12.227 | F F F F F |
| TD GLOBAL LOW VOLATILITY FUND | 183.501 | F F F F F |
| TD GLOBAL SHAREHOLDER YIELD FUND | 871.910 | F F F F F |
| TD EMERALD LOW CARBON LOW VOLATILITY GLOBALEQUITY PFT | 4.010 | F F F F F |
| TD EMERALD INTERNATIONAL EQUITY INDEX FUND | 392.433 | F F F F F |
| TD EMERALD LOW VOLATILITY GLOBAL EQUITY POOLEDFUND TRUST | 51.770 | F F F F F |
| TD EMERALD GLOBAL EQUITY SHARE HOLDER YIELD POOLEDFUND TRUST | 707.488 | F F F F F |
| TD EMERALD LOW VOLATILITY GLBL EQTY NON-TAXABLEINVESTOR PFT | 135.222 | F F F F F |
| DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT | 1.520.176 | F F F F F |
| MARGUERITE CASEY FOUNDATION | 1.859 | F F F F F |
| WINDWISE MSCI EAFE INDEX NON LENDING | 55.608 | F F F F F |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 412.804 | F F F F F |
| THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN | 942.248 | F F F F F |
| BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 159.896 | F F F F F |
| BLACKROCK FUND MANAGERS LTD | 1.441.616 | F F F F F |
| NATIONAL BANK FINANCIAL INC | 1.378.632 | F F F F F |
| PUBLIC SERVICE ELECTRIC AND GAS NON QUALIFIED TRUST | 631.763 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| KAPITALFORENINGEN INVESTIN PRO VELLIV WORLD EQUITY INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS |
1.399.893 | F F F F F |
| THE GOLDMAN SACHS FOUNDATION | 61.690 | F F F F F |
| ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWLCO-AKTIEN | 16.999 | F F F F F |
| THE UNIVERSITY COURT OF THE UNIVERSITY OF GLASGOW | 15.568 | F F F F F |
| TEXAS PERMANENT SCHOOL FUND CORP | 207.300 | F F F F F |
| BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 14.577 | F F F C C |
| ARIZONA STATE RETIREMENT SYSTEM | 598.766 | F F F F F |
| 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 2.009 | F F F F F |
| RICHARD KING MELLON FDN | 538.369 | F F F F F |
| R K MELLON INTERNATIONAL FUND | 310.659 | F F F F F |
| SANTA BARBARA COUNTY EMPLOYEES RETIREMENT SYSTEM | 104.852 | F F F F F |
| RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST | 3.481.252 | F F F F F |
| COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS | 14.344 | F F F F F |
| DEKA INVESTMENT GMBH W/SVAM-FONDS | 63.134 | F F F F F |
| IMPERIAL INTERNATIONAL EQUITY POOL | 72.512 | F F F F F |
| CIBC INTERNATIONAL EQUITY INDEX ETF | 4.000 | F F F F F |
| CIBC QX INTERNATIONAL LOW VOLATILITY DIVIDEND ETF | 3.211 | F F F F F |
| CIBC INTERNATIONAL INDEX FUND | 97.414 | F F F F F |
| CIBC EUROPEAN INDEX FUND | 9.701 | F F F F F |
| CIBC INTERNATIONAL EQUITY INDEX POOL | 3.041 | F F F F F |
| BNY MELLON INTERNATIONAL EQUITY ETF | 63.464 | F F F F F |
| XTRACKERS MSCI KOKUSAI EQUITY ETF | 18.569 | F F F F F |
| PITTSBURGH THEOLOGICAL SEMINARY OF THE PRESBYTERIAN CHURCH | 11.756 | F F F F F |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 571.934 | F F F F F |
| DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT 90 | 59.882 | F F F F F |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA VALUE KL | 33.176 | F F F F F |
| INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL | 54.341 | F F F F F |
| THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 163.084 | F F F F F |
| THE ESB PENSION FUND | 201.462 | F F F F F |
| FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD | 9.729.162 | F F F F F |
| XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 11.803 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| AIB GROUP IRISH PENSION SCHEME | 107.477 | F F F F F | |||
| BANK OF KOREA | 5 | F F F F F | |||
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 948 | F F F F F | |||
| SIEMENS EMU EQUITIES | 195.880 | F F F F F | |||
| DEKA INTERNATIONAL S.A. W/DEKA-EUROLAND AKT.LOWRISK | 492.425 | F F F F F | |||
| KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 30.417 | F F F F F | |||
| THE GREAT EASTERN LIFE ASSURANCE COMPANY LIMITED | 8.770 | F F F F F | |||
| RARE GLOBAL INFRASTRUCTURE VALUE FUND | 734.247 | F F F F F | |||
| INVESTERINGSFORENINGEN NYKREDIT INVEST GLOBALE AKTIER BASIS | 16.527 | F F F F F | |||
| INVESCO MARKETS III PLC | 2.133 | F F F F F | |||
| INVESCO FTSE RAFI EMERGING MARKETS UCITS ETF | 118.547 | F F F F F | |||
| INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 230.957 | F F F F F | |||
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 40.625 | F F F F F | |||
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHILDERS AFW ERKINGS ENGLASZETBEDRIJF | 13.611 | F F F F F | |||
| BLACKROCK LIFE LIMITED | 13.202 | F F F F F | |||
| DEKA INVESTMENT GMBH W/DEKA MSCI EUROPE UCITS ETF | 209.783 | F F F F F | |||
| FIRST TRUST STOXX EUROPEAN SELECT DIVIDEND INDEX FUND | 824.925 | F F F F F | |||
| PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST |
83.448 | F F F F F | |||
| GREAT WEST INTERNATIONAL INDEX FUND | 217.140 | F F F F F | |||
| MUNICIPAL EMPLOYEES PENSION PLAN | 140.556 | F F F F F | |||
| UNIVERSITY OF NOTRE DAME DU LAC | 45.412 | F F F F F | |||
| MACQUARIE FIRST TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID | 809.284 | F F F F F | |||
| ISHARES VII PUBLIC LIMITED COMPANY | 188.183 | F F F F F | |||
| PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 137.656 | F F F F F | |||
| THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 1.484.844 | F F F F F | |||
| INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 34.010 | F F F F F | |||
| HELABA INV KAPITALANL GES MBH HI PENS TR | 23.603 | F F F F F | |||
| DEKA INVESTMENT GMBH W/BIA-STRATEGIEFONDS NR. 5 | 42.300 | F F F F F | |||
| LF MACQUARIE GLOBAL INFRASTRUCTURE SECURITIES FUND | 972.410 | F F F F F | |||
| PRINCIPAL FUNDS INC OVERSEAS FUND | 62.336 | F F F F F | |||
| STANLIB FUNDS LIMITED | 904 | F F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale | Totale | 1 2 3 4 5 |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 87.467 | F F F F F | |
| TEXAS PERMANENT SCHOOL FUND CORPORATION | 642.892 | F F F F F | |
| ABB PENSION FUND | 1.772 | F F F F F | |
| INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 3.203 | F F F F F | |
| MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND | 254.669 | F F F F F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 240.655 | F F F F F | |
| IMPERIAL GLOBAL EQUITY INCOME POOL | 50.306 | F F F F F | |
| DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT KOMMUNAL | 201.017 | F F F F F | |
| IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 83.081 | F F F F F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 342.040 | F F F F F | |
| GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | 1.646 | F F F F F | |
| BLACKROCK GLOBAL FUNDS | 630.583 | F F F F F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 12.693 | F F F F F | |
| CANADA LIFE DIVERSIFIED REAL ASSETS FUND | 35.307 | F F F F F | |
| EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 2.611 | F F F F F | |
| VOYA INTERNATIONAL INDEX PORTFOLIO | 136.776 | F F F F F | |
| COUNSEL DEFENSIVE GLOBAL EQUITY | 3.192 | F F F F F | |
| NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POWER PLANT |
3.546 | F F F F F | |
| DEKA INVESTMENT GMBH W/DONAU-MULTI-ASSET-FUNDMASTER U01 AKTIEN | 275.275 | F F F F F | |
| ARIZONA PSPRS TRUST | 279.283 | F F F F F | |
| DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 272.518 | F F F F F | |
| SEMPRA ENERGY PENSION MASTER TRUST | 18.098 | F F F F F | |
| DELAWARE GLOBAL LISTED REAL ASSETS FUND | 219.123 | F F F F F | |
| KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFOELJE ADMINISTRATION AS |
10.488 | F F F F F | |
| BLACKROCK LIFE LTD | 551.132 | F F F F F | |
| PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 3.724.077 | F F F F F | |
| XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 96.239 | F F F F F | |
| THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 2.588.006 | F F F F F | |
| STANDARD BANK OF SOUTH AFRICA LTD | 25.687 | F F F F F | |
| DEKA INTERNATIONAL S.A. W/DEKA-GLOB.AKT.LOWRISK | 1.053.135 | F F F F F | |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 |
| FARMERS GROUP INC 401 K SAVINGS PLAN | 1.281.614 | F F F F F |
| XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 665.720 | F F F F F |
| MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 74.878 | F F F F F |
| XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 9.785 | F F F F F |
| MACK EAFE EQUITY POOL | 51.638 | F F F F F |
| PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 123.074 | F F F F F |
| FEDERATED HERMES INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND | 3.703.925 | F F F F F |
| FEDERATED HERMES INTERNATIONAL DIVIDEND STRATEGY PORTFOLIO | 818.200 | F F F F F |
| FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 5.832.158 | F F F F F |
| CITIGROUP PENSION PLAN | 194.371 | F F F F F |
| DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT MULTI ASSET | 152.550 | F F F F F |
| BNY MELLON INTERNATIONAL STOCK INDEX FUND | 40.181 | F F F F F |
| MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 7.869 | F F F F F |
| GLOBAL X MSCI SUPERDIVIDEND EAFE ETF | 38.560 | F F F F F |
| GLOBAL X SANDP CATHOLIC VALUES DEVELOPED EX US ETF | 2.487 | F F F F F |
| UPSTREAMCO PENSION TRUST | 53.720 | F F F F F |
| ALTE LEIPZIGER TRUST INVESTMENT | 94.275 | F F F F F |
| ALTE LEIPZIGER TRUST INVESTMENT GMBH | 59.049 | F F F F F |
| INVESCO S AND P INTERNATIONAL DEVELOPED LOW VOLATILITY ETF | 415.026 | F F F F F |
| FIRST TRUST HORIZON MANAGED VOLATILITY DEVELOPED INTERNATIONAL ETF | 26.340 | F F F F F |
| VIRTUS WMC INTERNATIONAL DIVIDEND ETF | 5.802 | F F F F F |
| DEKA INVESTMENT GMBH W/A-VSA-FONDS W/SONSTIGES | 78.007 | F F F F F |
| TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 15.059.413 | F F F F F |
| FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 26.052 | F F F F F |
| DIOCESE OF VENICE PENSION PLAN AND TRUST | 906 | F F F F F |
| PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 2.541.261 | F F F F F |
| MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF OMAN | 80.350 | F F F F F |
| STICHTING PENSIOENFONDS UWV | 148.374 | F F F F F |
| NATIONAL TREASURY MANAGEMENT AGCY | 68.686 | F F F F F |
| NSP MONTICELLO MINNESOTA RETAIL | 19.314 | F F F F F |
| NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 6.330 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||
|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 |
| NSP MINNESEOTA RETAIL PRAIRIE II | 13.281 | F F F F F | |
| DEKA INVESTMENT GMBH W/MAINFRANKEN STRATEGIEKONZEPT | 360.397 | F F F F F | |
| INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING FOR ACCOUNT OF BPT | 21.382 | F F F F F | |
| VANGUARD INTL HIGH DIV YLD INDEX FD | 1.365.146 | F F F F F | |
| GOLDMAN SACHS GLOBAL INFRASTRUCTURE FUND | 523.532 | F F F F F | |
| PGE CORPORATION RETIREMENT MASTER TRUST | 306.616 | F F F F F | |
| PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO | 292.613 | F F F F F | |
| KOOKMIN BANK ACTING AS TRUSTEE OF HANA ALTERNATIVE ASSET DWS GLOBAL LISTED INFRASTRUCTURE QUALIFIED |
144.930 | F F F F F | |
| STICHTING PENSIOENFONDS HOOGOVENS | 94.533 | F F F F F | |
| DEAM FONDS ZDV | 17.644 | F F F F F | |
| FIDELITY SAI INTERNATIONAL INDEX FUND | 801.674 | F F F F F | |
| SHELL CANADA 2007 PENSION PLAN | 1.754 | F F F F F | |
| DEKA INVESTMENT GMBH W/WELTINVEST NACHHALTIGKEIT | 99.300 | F F F F F | |
| AURION GLOBAL EQUITY FUND | 7.302 | F F F F F | |
| AZL INTERNATIONAL INDEX FUND | 153.285 | F F F F F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 15.113 | F F F F F | |
| AGF SYSTEMATIC GLOBAL INFRASTRUCTURE ETF | 619.547 | F F F F F | |
| XTRACKERS MSCI ALL WORLD EX US HIGH DIVIDEND YIELD EQUITY E | 5.349 | F F F F F | |
| XTRACKERS MSCI EAFE HIGH DIVIDEND YIELD EQUITY ETF | 1.140.106 | F F F F F | |
| COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 742.002 | F F F F F | |
| EMPLOYEES RETIREMENT SYSTEM OF THE STATE OF HAWAII | 848.815 | F F F F F | |
| LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST |
290.738 | F F F F F | |
| SIEMENS BALANCED | 42.573 | F F F F F | |
| DEKA INVESTMENT GMBH W/APOFONDS-KIEL | 191.538 | F F F F F | |
| SISTERS OF CHARITY OF LEAVENWORTH HEALTH SYSTEM MASTER TRUST | 117.893 | F F F F F | |
| ISHARES PUBLIC LIMITED COMPANY | 749.843 | F F F F F | |
| ALASKA PERMANENT FUND CORPORATION | 2.491.542 | F F F F F | |
| GENERAL SYNOD PENSION PLAN | 62.824 | F F F F F | |
| PMPT INKA FONDS | 105.701 | F F F F F | |
| INKA PBEAKK | 832.929 | F F F F F | |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||||
|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | |
| COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR | 323.267 | F F F F F | ||
| MICROSOFT CORPORATION | 13.830 | F F F F F | ||
| IVY APOLLO MULTI ASSET INCOME FUND | 85.717 | F F F F F | ||
| LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 2.627.978 | F F F F F | ||
| HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-LCR-FONDS | 9.241 | F F F F F | ||
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 931.725 | F F F F F | ||
| RETIREMENT BENEFITS INVESTMENT FUND | 16.418 | F F F F F | ||
| CITY OF AUSTIN EMPLOYEES RETIREMENT SYSTEM | 120.596 | F F C F F | ||
| POOL REINSURANCE CO LTD | 13.584 | F F F F F | ||
| PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 9.464 | F F F F F | ||
| HEALTHCARE EMPLOYEES PENSION PLAN MANITOBA | 880.819 | F F F F F | ||
| LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL |
1.872.859 | F F F F F | ||
| FLORIDA RETIREMENT SYSTEM TRUST FUND | 77 | F F F F F | ||
| PENSION RESERVES INVESTMENT TRUST FUND | 4.350.853 | F F F F F | ||
| HIGHMARK INC | 188.400 | F F F F F | ||
| HELABA INV. KAPITALANL.GES.MBH HI-HML-AK | 3.852 | F F F F F | ||
| DEKA INVESTMENT GMBH W/DK.MSCI EURO.CL.CH.ESG UCITS ETF | 23.713 | F F F F F | ||
| SOUTH DAKOTA RETIREMENT SYSTEM | 96.400 | F F F F F | ||
| THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 1.127 | F F F F F | ||
| DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 69.015 | F F F F F | ||
| QUALITY EDUCATION FUND | 3.990 | F F F F F | ||
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 197.900 | F F F F F | ||
| ADVANCE PLANNING LIMITED | 5.210 | F F F F F | ||
| DIGNITY PRE ARRANGEMENT LIMITED | 7.377 | F F F F F | ||
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 53.397 | F F F F F | ||
| BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA | 46.837 | F F F F F | ||
| HSBC GLOBAL EQUITY VOLATILITY FOCUSED FUND | 75.593 | F F F F F | ||
| DEKA INTERNATIONAL S.A. W/WFL INVEST FCP-FIS | 23.465 | F F F F F | ||
| HSBC INTERNATIONAL EQUITY INDEX FUND | 26.935 | F F F F F | ||
| SOUTH CAROLINA RETIREMENT SYSTEMS GROUP TRUST | 247.270 | F F F F F | ||
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR | 5.136 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|
|---|---|
| 1 2 3 4 5 | |
| 5.972 | F F F F F |
| 6.716 | F F F F F |
| 10.266 | F F F F F |
| 9.984 | F F F F F |
| 80.366 | F F F F F |
| 101.216 | F F F F F |
| 4.357 | F F F F F |
| 74.453 | F F F F F |
| 110.361 | F F F F F |
| 150.645 | F F F C F |
| 5.185 | F F F F F |
| 182.193 | F F F F F |
| 11.840 | F F F F F |
| 66.834 | F C C C C |
| 66.354 | F C C C C |
| 12.792 | F F F F F |
| 10.238 | F F F F F |
| 1.968.642 | F F F F F |
| 62.000 | F F F F F |
| 148.347 | F F F F F |
| 74.385 | F F F F F |
| 77.606 | F F F F F |
| 62.014 | F F F F F |
| 298.065 | F C C C C |
| 12.677 | F F F F F |
| 114.629 | F F F F F |
| 166.453 | F F F F F |
| 119.505 | F F F F F |
| 55.707 | F F F F F |
| 83.270 | F F F F F |
| 24.303 | F F F F F |
| Parziale Totale |

| RISULTATI ALLE VOTAZIONI Ordinaria |
||||
|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 | ||
| ASI - PROGETTO SVILUPPO GLOBAL | 382.754 | F F F F F | ||
| PSSF-PROGETTO AZIONE SOSTENIBI | 3.806 | F F F F F | ||
| ASI - PROGETTO AZIONE SOSTENIB | 5.045 | F F F F F | ||
| AMIF - EMU EQUITY | 137.392 | F F F F F | ||
| AMIF - EUROPEAN EQUITY | 183.689 | F F F F F | ||
| AIF- TACTICAL PORTFOLIO INCOME | 51.772 | F F F F F | ||
| AMUNDI TOTAL RETURN | 61.771 | F F F F F | ||
| ASI - BILANCIATO PERCORSO ATTI | 71.511 | F F F F F | ||
| ASI BIL PER ATTIVO III | 50.265 | F F F F F | ||
| DEKA INVESTMENT GMBH W/PENSIONSFONDS MAINZ1 | 24.463 | F F F F F | ||
| MULTI UNITS LUX AM STX EU 600 | 2.011.991 | F F F F F | ||
| AIF-MULTI-ASSET TEODORICO | 79.782 | F F F F F | ||
| AMUNDI SGR SPA/SECONDAPENSIONE FONDO PENSIONE APERTO | 2.048.222 | F F F F F | ||
| AMUNDI SGR SPA / AMUNDI RISPARMIO ITALIA | 826.883 | F F F F F | ||
| AMUNDI SGR SPA/AMUNDI SVILUPPO ATTIVO ITALIA | 1.775.000 | F F F F F | ||
| AMUNDI SGR SPA/CORE PENSION FONDO PENSIONE APERTO | 877.050 | F F F F F | ||
| AMUNDI SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE | 584.657 | F F F F F | ||
| AMUNDI SGR SPA / AMUNDI BILANCIATO PIU` | 358.368 | F F F F F | ||
| AMUNDI SGR SPA / OBBLIGAZIONARIO PIU` A DIS TRIBUZIONE | 288.533 | F F F F F | ||
| CHERRY TREE FUND A SERIES TRUS | 1.271.825 | F F F F F | ||
| DEKA INVESTMENT GMBH W/DEKA-MULTI ASSET INCOME | 90.000 | F F F F F | ||
| SEI GLOBAL MASTER FUND PLC THE | 16.433 | F F F F F | ||
| AB SICAV III - DYNAMIC ALL MAR | 5.132 | F F F F F | ||
| KOKUSAI EQUITY INDEX FUND, A S | 46.838 | F F F F F | ||
| MORGAN STANLEY PATHWAY FUNDS - | 58.564 | F F F F F | ||
| CNS GLOBAL LIST INFRASTRUCTURE | 348.484 | F F F F F | ||
| CUSTODY BANK OF JAPAN, LTD. RE | 946.408 | F F F F F | ||
| NORTHERN LIGHTS FUND TRUST IV | 58.760 | F F F F F | ||
| BRIDGE BUILDER INTERNATIONAL E | 33.092.791 | F F F F F | ||
| INSPIRE INTERNATIONAL ETF | 302.830 | F F F F F | ||
| BLK MAGI FUND A SERIES TRUST O | 410 | F F F F F | ||

| RISULTATI ALLE VOTAZIONI Ordinaria |
||||
|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 | ||
| DEKA INVESTMENT GMBH W/DDF 7 | 102.188 | F F F F F | ||
| BRIDGE BUILDER TAX MANAGED | 18.398 | F F F F F | ||
| DESTINATIONS INTERNATIONAL EQU | 51.082 | F F F F F | ||
| BLACKROCK GLOBAL ALLOCATION FU | 448.635 | F F F F F | ||
| AB CAYMAN MASTER TRUST - GLOBA | 75.731 | F F F F F | ||
| AMUNDI AUSTRIA | 47.082 | F F F F F | ||
| MLC INVESTMENTS MLC LIMITED | 182.241 | F F F F F | ||
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II | 805.669 | F F F F F | ||
| UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE | 269.492 | F F F F F | ||
| MIGROS BANK (LUX) FONDS 30 | 3.200 | F F F F F | ||
| MIGROS BANK (LUX) FONDS 40 (EUR) | 3.280 | F F F F F | ||
| DEKA INVESTMENT GMBH W/DK.MSCI WOR.CL.CH.ESG UCITS ETF | 6.008 | F F F F F | ||
| MIGROS BANK (LUX) FONDS 50 | 4.600 | F F F F F | ||
| MIGROS BANK (LUX) FONDS INTERSTOCK | 6.200 | F F F F F | ||
| UBS (LUX) SICAV 1 | 7.257 | F F F F F | ||
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) | 2.203 | F F F F F | ||
| UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) | 9.802 | F F F F F | ||
| UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) | 8.330 | F F F F F | ||
| STRATEGY SICAV | 10.846 | F F F F F | ||
| UBS FUND MANAGEMENT(LUXEMBOURG) SA | 289.990 | F F F F F | ||
| UBS (LUX) EQUITY SICAV - EUROPEAN - HIGH DIVIDEND (EUR) | 362.788 | F F F F F | ||
| UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 3.951 | F F F F F | ||
| DEKA INVESTMENT GMBH W/SSH-FONDS W/U04 | 31.200 | F F F F F | ||
| UBS (LUX) EQUITY SICAV - EURO COUNTRIES INCOME | 681.914 | F F F F F | ||
| LGIASUPER | 129.085 | F F F F F | ||
| PRIME SUPER | 3.141 | F F F F F | ||
| GENERATION LIFE LIMITED | 138.074 | F F F F F | ||
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 413.448 | F F F F F | ||
| STIHL INTERNATIONAL GMBH | 780.849 | F F F F F | ||
| NORGES BANK | 19.171.615 | F F F F F | ||
| AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 2.776 | F F F F F | ||

| RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale Totale |
1 2 3 4 5 |
| FONDS DE PLACEMENT PROMUTUEL GROUPE PROMUTUEL FEDERATION DE SOCIETES MUTUELLES DASSURANCE GENERALE |
91.715 | F F F F F |
| ASSET MANAGEMENT EXCHANGE UCITS CCF. | 1.536.625 | F F F F F |
| HELABA INV KAPITALANL GES MBH HI WORMS M | 24.927 | F F F F F |
| DEKA INVESTMENT GMBH W/DEKA MSCI EMU CL.C.ESG UCITS ETF | 22.731 | F F F F F |
| ASSET MANAGEMENT EXCHANGE UCITS CCF. | 2.162.834 | F F F C C |
| LGIM MANAGERS (EUROPE) LIMITED | 1.272.267 | F F F F F |
| GENERAL ORGANISATION FOR SOCIAL INSURANCE. | 1.616.406 | F F F F F |
| INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 440.640 | F F F F F |
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT | 31.366 | F F F F F |
| INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN | 205.880 | F F F F F |
| WHEELS COMMON INVESTMENT FUND. | 3.585 | F F F F F |
| CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS. | 17.657 | F F C F F |
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 207.035 | F F F F F |
| LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 35.491 | F F F F F |
| DEKA INVESTMENT GMBH W/HD-PHILOSOPHENWEG | 5.540 | F F F F F |
| LEGAL & GENERAL GLOBAL INFRASTRUCTURE INDEX FUND | 1.806.933 | F F F F F |
| LEGAL & GENERAL FUTURE WORLD CLIMATE CHANGE EQUITY FACTORS I | 5.969 | F F F F F |
| LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 74.003 | F F F F F |
| LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 31.528 | F F F F F |
| LEGAL & GENERAL EUROPEAN INDEX TRUST | 1.201.772 | F F F F F |
| LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 241.405 | F F F F F |
| GARD UNIT TRUST | 33.808 | F F F F F |
| MONDRIAN FUNDS PLC | 111.898 | F F F F F |
| ATLAS GLOBAL INFRASTRUCTURE UCITS ICAV | 18.118.323 | F F F C C |
| BARINGS INTERNATIONAL UMBRELLA FUND | 144.748 | F F F F F |
| DEKA INVESTMENT GMBH W/SK RHEIN NECKAR NORD NACHHALTIGKEIT INVEST | 27.343 | F F F F F |
| STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 13.024 | F F F F F |
| MFG INVESTMENT FUND PLC | 229.958 | F F F F F |
| OSMOSIS ICAV | 15.780 | F F F F F |
| LEGAL & GENERAL ICAV. | 873 | F F F F F |
| NORTHERN TRUST UCITS FGR FUND | 318.021 | F F F F F |

| NOMINATIVO PARTECIPANTE | RISULTATI ALLE VOTAZIONI Ordinaria |
||
|---|---|---|---|
| DELEGANTI E RAPPRESENTATI | Parziale Totale |
1 2 3 4 5 | |
| SCHLUMBERGER INTERNATIONAL STAFF RETIREMENT FUND FCP-SIF. | 9.119 | F F F F F | |
| VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS. | 95.336 | F F F F F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEKS | 354.942 | F F F F F | |
| PUBLIC SECTOR PENSION INVESTMENT BOARD. | 11.020 | F F F F F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 2.166.601 | F F F F F | |
| DEKA INVESTMENT GMBH W/DEKA STARKENBURG U03 AKTIEN LOWRISK | 96.354 | F F F F F | |
| TRUST FOR RETIREE MEDICAL DENTAL AND LIFE INSURANCE OF THE | 70.132 | F F F F F | |
| THE RETIREMENT ANNUITY PLAN FOR EMPLOYEES OF THE ARMY AND AI | 156.921 | F F F F F | |
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 935.515 | F F C F F | |
| CSAA INSURANCE EXCHANGE | 12.833 | F F F F F | |
| NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING | 98.840 | F F F F F | |
| SCHLUMBERGER GROUP TRUST AGREEMENT | 48.715 | F F F F F | |
| MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT PLANS | 14.272 | F F F F F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX-US F | 114.460 | F F F F F | |
| GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 14.190 | F F F F F | |
| RETURN TO WORK CORPORATION OF SOUTH AUSTRALIA | 817.839 | F F F F F | |
| DEKA INVESTMENT GMBH W/DEKA-EURO-IST. EX FIN DI.+UC.ETF | 1.600.550 | F F F F F | |
| THE MINDEROO FOUNDATION TRUST | 11.576 | F F F F F | |
| EQUIPSUPER | 46.730 | F F F F F | |
| STICHTING PENSIOENFONDS SAGITTARIUS | 46.247 | F F F F F | |
| STICHTING HEINEKEN PENSIOENFONDS | 25.192 | F F F F F | |
| STICHTING PENSIOENFONDS APF. | 244.201 | F F F F F | |
| STICHTING PME PENSIOENFONDS | 280.987 | F F F F F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 9.516.731 | F F F F F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F | 347.915 | F F F F F | |
| FUTURE FUND INVESTMENT COMPANY NO.2 PTY LTD | 4.700.000 | F F F F F | |
| MRFF INVESTMENT COMPANY NO. 2 PTY LTD. | 575.546 | F F F F F | |
| DEKA INVESTMENT GMBH W/NEBUS-MASTERFONDS W/AKTIEN - U02 | 16.335 | F F F F F | |
| FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. | 81.261 | F F F F F | |
| NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 2.426.992 | F F F F F | |
| UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 12.116 | F F F F F | |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 19.687 | F F F F F | |||
| LAZARD GLOBAL EQUITY FRANCHISE CIT | 971.248 | F F F F F | |||
| FIDELITY INVESTMENTS CHARITABLE GIFT FUND DTD 8/18/2009 | 20.374 | F F F F F | |||
| STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 5.250 | F F F F F | |||
| EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 409.462 | F F F F F | |||
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | 96.190 | F F F F F | |||
| R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND. | 3.700 | F F F F F | |||
| DEKA INVESTMENT GMBH W/TREMONIUS-FONDS | 50.803 | F F F F F | |||
| RUTGERS THE STATE UNIVERSITY | 23.624 | F F F F F | |||
| PCA TAX SHELTERED ANNUITY PLAN | 10.740 | F F F F F | |||
| CSX CORP MASTER PENSION TRUST | 70.380 | F F F F F | |||
| CONSTELLATION FITZPATRICK QUALIFIED FUND | 9.186 | F F F F F | |||
| CONSUMERS ENERGY COMPANY NON-UNION WELFARE BENEFIT TRUST TO PROVIDE FOR RETIREE HEALTH CARE AND |
4.859 | F F F F F | |||
| MASTER TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL | 203.520 | F F F F F | |||
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT TWO QUALIFIED FUND | 4.800 | F F F F F | |||
| CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 200 | F F F F F | |||
| THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT | 41 | F F F F F | |||
| THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 31.443 | F F F F F | |||
| DEKA INVESTMENT GMBH W/S-MULTI ASSET ESG AUSGEWOGEN | 22.406 | F F F F F | |||
| ADVOCATE HEALTH AND HOSPITALS CORPORATION | 3.417.245 | F F F F F | |||
| JOSHUA GREEN CORPORATION | 11.829 | F F F F F | |||
| IBM PERSONAL PENSION PLAN TRUST | 5.206 | F F F F F | |||
| NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 21.500 | F F F F F | |||
| PFIZER INC. MASTER TRUST | 459.887 | F F F F F | |||
| MOZILLA CORPORATION | 3.285 | F F F F F | |||
| NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 305.710 | F F F F F | |||
| NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE O | 26.251 | F F F F F | |||
| WILSHIRE MULTI-MANAGER REAL ASSET FUND | 32.589 | F F F F F | |||
| UNITED SERVICES AUTOMOBILE ASSOCIATION | 39.608 | F F F F F | |||
| DEKA INVESTMENT GMBH W/DOHAMUN-FONDS | 8.689 | F F F F F | |||
| HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE | 1.191.901 | F F F F F |

| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
|---|---|---|---|---|---|
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 47.896 | F F F F F | |||
| THE BOARD OF MANAGEMENT OF THE CHINESE PERMANENT CEMETERIES | 8.923 | F F F F F | |||
| BEAT DRUGS FUND ASSOCIATION | 2.621 | F F F F F | |||
| CARNELIAN INVESTMENT MANAGEMENT LLC. | 17.110 | F F F F F | |||
| CARROLL AVENUE PARTNERS LLC. | 707 | F F F F F | |||
| EVA VALLEY MA1 LLC | 13.180 | F F F F F | |||
| FUNDO DE PENSOES | 20.946 | F F F F F | |||
| DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 11.468 | F F F F F | |||
| DFI LP EQUITY (PASSIVE | 1.373 | F F F F F | |||
| DEKA INVESTMENT GMBH W/SCHNOOR | 115.182 | F F F F F | |||
| DYNASTY INVEST LTD | 4.845 | F F F F F | |||
| ALICE L WALTON CHARITABLE LLC | 571.708 | F F F F F | |||
| FIDDLER PARTNERS LLC | 1.095 | F F F F F | |||
| FOURTH AVENUE INVESTMENT COMPANY LIMITED PARTNERSHIP | 28.854 | F F F F F | |||
| HAWTHORN DM LLC | 30.202 | F F F F F | |||
| INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 3.938 | F F F F F | |||
| PINK CALI LLC | 81 | F F F F F | |||
| OMEGA FFIP LIMITED PARTNERSHIP | 3.407 | F F F F F | |||
| HAWAII LLC | 14.549 | F F F F F | |||
| MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP. | 824.536 | F F F F F | |||
| 1.230.082.237 | |||||
| FIORENTINO ANNA MARIA | 7.387 | F F F F F | |||
| GRANDI ROI | 2.500 | 7.387 | F F F F F | ||
| 2.500 | |||||
| MAGNANI DUILIO | 100 | F F F F F | |||
| MAGNANI MARZIO | 0 | 100 | |||
| - PER DELEGA DI | |||||
| BALLABIO ALESSANDRA | 18.000 | 18.000 | F F F F C | ||
| MANUNTA DAVIDE - PER DELEGA DI |
0 | ||||
| CDP RETI SPA | 1.053.692.127 | F F F F F |
| ELENCO PARTECIPANTI | |||||
|---|---|---|---|---|---|
| RISULTATI ALLE VOTAZIONI Ordinaria |
|||||
| NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI |
Parziale | Totale | 1 2 3 4 5 | ||
| 1.053.692.127 | |||||
| OTTOLENGHI GUIDO - IN RAPPRESENTANZA DI |
0 | ||||
| ESTROSA SOCIETA` PER AZIONI | 120.000 | F F F F F | |||
| ZIPORA S.R.L. | 100.000 | F F F F F | |||
| LA PETROLIFERA ITALO RUMENA SPA | 850.000 | F F F F F | |||
| 1.070.000 | |||||
| PINTO DONATO | 4.000 | F F F F A | |||
| 4.000 | |||||
| RINAUDO MAURO | 3.000 | F F F F F | |||
| TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA` DI DELEGATO 135-UNDECIES TUF - PER DELEGA DI |
0 | 3.000 | |||
| GRANITIFIANDRE SOCIETA` PER AZIONI | 27.652.190 | F F F F F | |||
| DEVECCHI ORIANO | 500 | F F A A A | |||
| MINOZZI ROMANO | 126.807.958 | F F F F F | |||
| di cui 19.568.352 azioni in garanzia a :UNICREDIT S.P.A.; | |||||
| di cui 19.990.000 azioni in garanzia a :INTESA SANPAOLO PRIVATE BANKING; | |||||
| PREVEDI | 853 | F F F F F | |||
| IRIS CERAMICA GROUP SOCIETA` PER AZIONI | 84.890.583 | F F F F F | |||
| di cui 5.800.000 azioni in garanzia a :UNICREDIT S.P.A.; di cui 6.600.000 azioni in garanzia a :UNICREDIT S.P.A.; |
|||||
| FINANZIARIA CERAMICA CASTELLARANO S P A | 10.958.722 | F F F F F | |||
| FONDO GOMMA PLASTICA | 312.660 | F F F F F | |||
| FONDO SCUOLA ESPERO CRESCITA AZIONARIO | 2.761 | F F F F F | |||
| INARCASSA - CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA PER | 23.920.000 | F F F F F | |||
| LOMBARDI GIANFRANCO | 2.275 | F F F A A | |||
| 274.548.502 | |||||
| EMAR |
|---|
| ----------------------------------------------------------------------- |
| RISULTATI ALLE VOTAZIONI |
|---|
| Ordinaria |
NOMINATIVO PARTECIPANTE DELEGANTI E RAPPRESENTATI Parziale Totale 1 2 3 4 5

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 CONTRARI
Badge Ragione Sociale Proprio Delega Totale 10653 FERRERO ANDREA 0 0 0 **D FCP FCE PLCT INTERNATIONAL ESG PLUS 0 508.071 508.071 **D FRANCE PLACEMENT EURO ESG PLUS 0 683.473 683.473 **D LA FRANCAISE SYSTEMATIC GLOBAL LISTED INFRASTRUCTURE 0 75.173 75.173 **D FRANCE INVESTISSEMENT ACTIONS OPTIMISE 0 116.835 116.835 **D UNIVERSITIES SUPERANNUATION SCHEME 0 987.034 987.034
| Totale voti | 2.370.586 |
|---|---|
| Percentuale votanti % | 0,092622 |
| Percentuale Capitale % | 0,070535 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 ASTENUTI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 0 | 136.005 | 136.005 |
| **D | BBVA RETAIL | 0 | 5.260 | 5.260 |
| **D | WEST YORKSHIRE PENSION FUND | 0 | 1.003.311 | 1.003.311 |
| **D | RIVERFIELD SICAV - RIVERFIELD ALLROUNDER |
0 | 14.000 | 14.000 |
| **D | RIVERFIELD SICAV - RIVERFIELD EQUITIES |
0 | 36.826 | 36.826 |
| **D | CITY OF NEW YORK GROUP TRUST | 0 | 705.702 | 705.702 |
| Totale voti | 1.901.104 |
| Percentuale votanti % | 0,074278 |
|---|---|
| Percentuale Capitale % | 0,056566 |
| Azionisti: | 6 | Teste: | 1 |
|---|---|---|---|
| Azionisti in proprio: | 0 | Azionisti in delega: | 6 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 NON VOTANTI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 | |
| **D | NMM5 GIEP DWS ACCOUNT | 0 | 33.400 | 33.400 | |
| Totale voti Percentuale votanti % Percentuale Capitale % |
33.400 0,001305 0,000994 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | HELABA INV KAPITALANL GES MBH HI HERMES | 0 | 9.023 | 9.023 |
| **D | UNIVERSAL INVESTMENT GMBH | 0 | 76.498 | 76.498 |
| **D | HELABA INV KAPITALANL GES MBH HI Z AKTIE | 0 | 502.027 | 502.027 |
| **D | HELABA INV KAPITALANL.GES.MBH HI-KAPPA-2 | 0 | 22.800 | 22.800 |
| **D | HELABA INV KAPITALANL GES MBH HI WIVK 21 | 0 | 29.484 | 29.484 |
| **D | HELABA INVEST KAG MBH FOR HI-AKTIEN LOW | 0 | 236.231 | 236.231 |
| **D | HELABA INV KAPITALANL GES MBH HI PENS TR | 0 | 23.603 | 23.603 |
| **D | HELABA INV. KAPITALANL.GES.MBH HI-HML-AK | 0 | 3.852 | 3.852 |
| **D | HELABA INV KAPITALANL GES MBH HI WORMS M | 0 | 24.927 | 24.927 |
| **D | HELABA INVEST KAG MBH FOR HI-SPAVO-FONDS | 0 | 19.244 | 19.244 |
| **D | DEGUSSA BANK NACHHALTIGKEITSFONDS AKZENT | 0 | 110.020 | 110.020 |
| **D | HELABA INV KAPITALANL GES MBH HI AKTIENS | 0 | 295.800 | 295.800 |
| **D | HELABA INVEST KAG MBH HI SZVA 10 SFONDS | 0 | 45.600 | 45.600 |
| **D | HELABA INV KAPITALANL GES MBH HI BGHM AR | 0 | 236.137 | 236.137 |
| **D | KAPITALANL GES MBH HI BGHM AR26 SFONDS | 0 | 155.394 | 155.394 |
| **D | HELABA INVEST KAG MBH HI PENS TRUST RH D | 0 | 144.185 | 144.185 |
| **D | HELABA INV KAPITALANL GES MBH HI SZVA 2 | 0 | 63.000 | 63.000 |
| **D | MASTERINVEST KAPITALANLAGE GMBH | 0 | 150.451 | 150.451 |
| **D | DEKA INVESTMENT GMBH GLOBALE AKTIEN | 0 | 25.957 | 25.957 |
| **D | DEKA INVESTMENT GMBH SAS FONDS U02 | 0 | 6.480 | 6.480 |
| **D | DEKA INVESTMENT GMBH BV PAR FONDS | 0 | 13.000 | 13.000 |
| **D | HELABA INV KAPITALANL GES MBH HI SLS MF2 | 0 | 47.606 | 47.606 |
| **D | DEKA INVESTMENT GMBH NECKAR FUNDMASTER 1 | 0 | 413.754 | 413.754 |
| **D | DEKA INVESTMENT GMBH DEKA VALUE EXTRA SE | 0 | 82.340 | 82.340 |
| **D | HELABA INVEST KAG MBH HI KAPPA 10 SFONDS | 0 | 51.300 | 51.300 |
| **D | UNION INVESTMENT INSTITUTIONAL GMBH | 0 | 46.478 | 46.478 |
| **D | HMT HANSEMERKUR AKTIEN INVEST | 0 | 1.499 | 1.499 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN I | 0 | 63.620 | 63.620 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN II | 0 | 181.890 | 181.890 |
| **D | TIMM INVEST EUROPA PLUS | 0 | 2.401 | 2.401 |
| **D | BASTI 1 METZLER | 0 | 13.200 | 13.200 |
| **D | GLOBAL ETHICAL VALUES SELECT FUND | 0 | 37.540 | 37.540 |
| **D | CNP LBPAM GLOBAL CONVERTIBLES | 0 | 52.000 | 52.000 |
| **D | ECOFI CONVERTIBLES EURO | 0 | 125.200 | 125.200 |
| **D | SWISS NATIONAL BANK | 0 | 5.099.090 | 5.099.090 |
| **D | NMM5-WIEQ-CNS ACCOUNT | 0 | 20.641 | 20.641 |
| **D | NMM5 GIEP BRI ACCOUNT | 0 | 26.709 | 26.709 |
| **D | NCF-GBL INFRAST STOCK FD | 0 | 2.046.400 | 2.046.400 |
| **D | WIF-GBL UNCONS INFRA EQTY | 0 | 698.430 | 698.430 |
| **D | QUANTUM LEBEN AG | 0 | 15.000 | 15.000 |
| *** | TOMASSI MARINANGELI GIULIANO GREGORIO | 0 | 2.500 | 2.500 |
| **D | WIF-LAZ GBL PFD LIS INFRA | 0 | 3.447.345 | 3.447.345 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | WIF-C&S GBL LISTED INFRA | 0 | 275.933 | 275.933 |
| **D | PICTET - EUROPE INDEX |
0 | 191.151 | 191.151 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER |
0 | 51.777 | 51.777 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER |
0 | 87.797 | 87.797 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE |
0 | 8.455 | 8.455 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL |
0 | 66.179 | 66.179 |
| **D | PICTET - QUEST AL-DRIVEN GLOBAL EQUITIES |
0 | 1.118 | 1.118 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES RENDEMENT ABSOLU |
0 | 56.999 | 56.999 |
| **D | RP - FONDS INSTITUTIONNEL - ACTIONS MARCHES DEVELOPPES LARGE CAP |
0 | 59.707 | 59.707 |
| **D | QUAERO CAPITAL FUNDS (LUX) - ACCESSIBLE CLEAN ENERGY |
0 | 654.079 | 654.079 |
| **D | PICTET-EUROLAND INDEX | 0 | 126.419 | 126.419 |
| **D | AEIS INSTITUTIONAL FUND - AKTIEN GLOBAL |
0 | 60.416 | 60.416 |
| **D | PICTET CH - GLOBAL EQUITIES |
0 | 15.637 | 15.637 |
| **D | PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL | 0 | 24.445 | 24.445 |
| **D | PICTET - MULTI ASSET GLOBAL OPPORTUNITIES |
0 | 29.673 | 29.673 |
| **D | WORLD TRADE ORGANIZATION PENSION PLAN | 0 | 18.370 | 18.370 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES |
0 | 16.015 | 16.015 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX SEL.DIV.30UC.ETF | 0 | 1.157.990 | 1.157.990 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPA AKTIEN SPEZIAL | 0 | 519.847 | 519.847 |
| **D | DEKA INVESTMENT GMBH W/A-DOR-FONDS W/U21 | 0 | 83.845 | 83.845 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT | 0 | 1.520.176 | 1.520.176 |
| **D | ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWLCO-AKTIEN | 0 | 16.999 | 16.999 |
| **D | DEKA INVESTMENT GMBH W/SVAM-FONDS | 0 | 63.134 | 63.134 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT 90 | 0 | 59.882 | 59.882 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROLAND AKT.LOWRISK | 0 | 492.425 | 492.425 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EUROPE UCITS ETF | 0 | 209.783 | 209.783 |
| **D | DEKA INVESTMENT GMBH W/BIA-STRATEGIEFONDS NR. 5 | 0 | 42.300 | 42.300 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT KOMMUNAL | 0 | 201.017 | 201.017 |
| **D | DEKA INVESTMENT GMBH W/DONAU-MULTI-ASSET-FUNDMASTER U01 AKTIEN | 0 | 275.275 | 275.275 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-GLOB.AKT.LOWRISK | 0 | 1.053.135 | 1.053.135 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT MULTI ASSET | 0 | 152.550 | 152.550 |
| **D | DEKA INVESTMENT GMBH W/A-VSA-FONDS W/SONSTIGES | 0 | 78.007 | 78.007 |
| **D | DEKA INVESTMENT GMBH W/MAINFRANKEN STRATEGIEKONZEPT | 0 | 360.397 | 360.397 |
| **D | DEKA INVESTMENT GMBH W/WELTINVEST NACHHALTIGKEIT | 0 | 99.300 | 99.300 |
| **D | DEKA INVESTMENT GMBH W/APOFONDS-KIEL | 0 | 191.538 | 191.538 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-LCR-FONDS | 0 | 9.241 | 9.241 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI EURO.CL.CH.ESG UCITS ETF | 0 | 23.713 | 23.713 |
| **D | DEKA INTERNATIONAL S.A. W/WFL INVEST FCP-FIS | 0 | 23.465 | 23.465 |
| **D | DEKA INVESTMENT GMBH W/SE-RENDITE SEGMENT 3 | 0 | 74.453 | 74.453 |
| **D | DEKA INVESTMENT GMBH W/DEKA-PRIVATVORSORGE AS | 0 | 62.000 | 62.000 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI WORLD UCITS ETF | 0 | 83.270 | 83.270 |
| **D | DEKA INVESTMENT GMBH W/PENSIONSFONDS MAINZ1 | 0 | 24.463 | 24.463 |
| **D | DEKA INVESTMENT GMBH W/DEKA-MULTI ASSET INCOME | 0 | 90.000 | 90.000 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DEKA INVESTMENT GMBH W/DDF 7 | 0 | 102.188 | 102.188 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI WOR.CL.CH.ESG UCITS ETF | 0 | 6.008 | 6.008 |
| **D | DEKA INVESTMENT GMBH W/SSH-FONDS W/U04 | 0 | 31.200 | 31.200 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EMU CL.C.ESG UCITS ETF | 0 | 22.731 | 22.731 |
| **D | DEKA INVESTMENT GMBH W/HD-PHILOSOPHENWEG | 0 | 5.540 | 5.540 |
| **D | DEKA INVESTMENT GMBH W/SK RHEIN NECKAR NORD NACHHALTIGKEIT INVEST | 0 | 27.343 | 27.343 |
| **D | DEKA INVESTMENT GMBH W/DEKA STARKENBURG U03 AKTIEN LOWRISK | 0 | 96.354 | 96.354 |
| **D | DEKA INVESTMENT GMBH W/DEKA-EURO-IST. EX FIN DI.+UC.ETF | 0 | 1.600.550 | 1.600.550 |
| **D | DEKA INVESTMENT GMBH W/NEBUS-MASTERFONDS W/AKTIEN - U02 |
0 | 16.335 | 16.335 |
| **D | DEKA INVESTMENT GMBH W/TREMONIUS-FONDS | 0 | 50.803 | 50.803 |
| **D | DEKA INVESTMENT GMBH W/S-MULTI ASSET ESG AUSGEWOGEN | 0 | 22.406 | 22.406 |
| **D | DEKA INVESTMENT GMBH W/DOHAMUN-FONDS | 0 | 8.689 | 8.689 |
| **D | DEKA INVESTMENT GMBH W/SCHNOOR | 0 | 115.182 | 115.182 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX 50 ESG UCITS ETF | 0 | 165.567 | 165.567 |
| **D | DEKA INVESTMENT GMBH W/MKG W/U2 MKG EUROLAND | 0 | 29.787 | 29.787 |
| **D | DEKA INVESTMENT GMBH W/A-HAM-FONDS W/U02 | 0 | 62.363 | 62.363 |
| **D | DEKA INVESTMENT GMBH W/DEKA BIV-B | 0 | 2.906 | 2.906 |
| **D | DEKA INVESTMENT GMBH W/VER 03-FONDS W/U1 | 0 | 21.960 | 21.960 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-BG ETEM A6-SFONDS | 0 | 48.536 | 48.536 |
| **D | MATIG ACT MONDE | 0 | 414.648 | 414.648 |
| **D | HI-172915-FONDS | 0 | 6.416 | 6.416 |
| **D | MATIGNON ACTIONS INTERNATIONALES | 0 | 395.045 | 395.045 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA | 0 | 343.495 | 343.495 |
| **D | HI MANPT FONDS | 0 | 116.436 | 116.436 |
| **D | HI PNWL DIVIDENDE PLUS FONDS | 0 | 2.865.071 | 2.865.071 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS | 0 | 46.855 | 46.855 |
| **D | ERI BAYERNINVEST FONDS AKTIEN EUROPA | 0 | 84.724 | 84.724 |
| **D | ARABELLE ROTHSCHILD | 0 | 11.245 | 11.245 |
| **D | ZWITSERLEVEN INSTITUTIONELE BELEGGINGSFONDSEN - ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA |
0 | 93.875 | 93.875 |
| **D | HI-PROVINZIAL-LOWRISK-DIVIDENDENSTRATEGIE-FONDS | 0 | 220.780 | 220.780 |
| **D | PEGASUS-UI-FONDS | 0 | 25.000 | 25.000 |
| **D | AXA OR ET MATIERES PREMIERES | 0 | 54.767 | 54.767 |
| **D | AXA AA DIVERSIFIE INDICIEL 1 | 0 | 155.992 | 155.992 |
| **D | ARRCO QUANT 1 | 0 | 131.980 | 131.980 |
| **D | MH AMUNDI ACTIONS EURO | 0 | 320.865 | 320.865 |
| **D | CARDANO ESG TRANSITION ENHANCED INDEX EQUITY GLOBAL (I) | 0 | 174.844 | 174.844 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF EPOTIF MASTERFONDS | 0 | 158.556 | 158.556 |
| **D | HI-AKTIEN-AKTIV-VALUE-SFONDS | 0 | 761.585 | 761.585 |
| **D | AXA PEA REGULARITE | 0 | 3.934.959 | 3.934.959 |
| **D | HI-AKTIEN GLOBAL 2-FONDS | 0 | 580.000 | 580.000 |
| **D | PHOSPHORE | 0 | 96.088 | 96.088 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 0 | 943.147 | 943.147 |
| **D | ERAFP ACTIONS EURO IV | 0 | 1.099.451 | 1.099.451 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Snam S.p.A. 07 maggio 2024 11.50.51
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AXA EURO DIVIDEND L | 0 | 24.370 | 24.370 |
| **D | UI-GKR-FONDS | 0 | 43.827 | 43.827 |
| **D | STICHTING AHOLD DELHAIZE PENSIOEN | 0 | 143.447 | 143.447 |
| **D | ALLIANZGI S AKTIEN | 0 | 1.027.368 | 1.027.368 |
| **D | AMUNDI STOXX EUROPE 600 ESG II UCITS ETF | 0 | 13.344 | 13.344 |
| **D | DPCTA-MASTERFONDS | 0 | 9.852 | 9.852 |
| **D | ERAFP ACTIONS EURO II | 0 | 5.253.528 | 5.253.528 |
| **D | HI-AKTIEN EUROPA 1-FONDS | 0 | 26.816 | 26.816 |
| **D | ATCP-UI-FONDS | 0 | 7.725 | 7.725 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF DEBEKA-AKTIEN-EUROPA-DIVIDENDEN | 0 | 1.617.814 | 1.617.814 |
| **D | ALLIANZGI-FONDS GANO 2 | 0 | 20.669 | 20.669 |
| **D | AXA EURO DIVIDEND K | 0 | 133.514 | 133.514 |
| **D | ALLIANZGI-FONDS TSF | 0 | 4.013 | 4.013 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB-UNIVERSAL-FONDS | 0 | 3.354 | 3.354 |
| **D | MEAG PREMIUM | 0 | 2.185.247 | 2.185.247 |
| **D | FCP SODIUM I | 0 | 84.719 | 84.719 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 0 | 16.549 | 16.549 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY | 0 | 5.954 | 5.954 |
| **D | AXA VERSICHERUNGEN AG | 0 | 1.092.532 | 1.092.532 |
| **D | MERCER WHOLESALE FUNDS | 0 | 7.003 | 7.003 |
| **D | FONECONOMISTES, FONS DE PENSIONS | 0 | 1.993 | 1.993 |
| **D | MIR | 0 | 290.534 | 290.534 |
| **D | MERCER INVESTMENT FUNDS | 0 | 654.763 | 654.763 |
| **D | GLOBAL EQUITIES ENHANCED INDEX FUND | 0 | 252.564 | 252.564 |
| **D | FERROATLANTICA 92 FP | 0 | 1.877 | 1.877 |
| **D | JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND | 0 | 3.940 | 3.940 |
| **D | BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 0 | 29.548 | 29.548 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE INDEX FUND HEDGED | 0 | 406.962 | 406.962 |
| **D | IPAC SPECIALIST INVESTMENT STRATEGIES - LISTED GLO |
0 | 90.622 | 90.622 |
| **D | AZ FUND 1 AZ EQUITY GLOBAL INFRASTRUCTURE | 0 | 75.226 | 75.226 |
| **D | FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY |
0 | 14.674 | 14.674 |
| **D | AXA LEBEN AG | 0 | 138.196 | 138.196 |
| **D | CASTELLANA PENSIONES FP | 0 | 1.905 | 1.905 |
| **D | BUSS (QUEENSLAND) POOLED SUPERANNUATION TRUST | 0 | 888 | 888 |
| **D | AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 0 | 116.000 | 116.000 |
| **D | INVESTITORI FLESSIBILE | 0 | 250.000 | 250.000 |
| **D | INVESTITORI PIAZZA AFFARI | 0 | 124.600 | 124.600 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.144 | 59.144 |
| **D | GENERALI ITALIA SPA | 0 | 610.026 | 610.026 |
| **D | ALLIANZGI-FONDS PF1 SEGMENT PF1-AA2-E_EUA | 0 | 785.480 | 785.480 |
| **D | ALLIANZGI-H SEGMENT EFK | 0 | 41.230 | 41.230 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VSTBH-UNIVERSAL-FONDS | 0 | 9.262 | 9.262 |
| **D | AXA EURO DIVIDEND DBVL | 0 | 279.866 | 279.866 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MASTERFONDS HTPT | 0 | 105.482 | 105.482 |
| **D | HI-AKTIEN GLOBAL-FONDS | 0 | 190.000 | 190.000 |
| **D | BANSABADELL 36, F.P. | 0 | 6.786 | 6.786 |
| **D | SABADELL PLANIFICACION 25, FI | 0 | 25.145 | 25.145 |
| **D | MERCER PROPERTY AND INFRASTRUCTURE TRUST | 0 | 591.339 | 591.339 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE MARKET INDEX FUND | 0 | 586.034 | 586.034 |
| **D | MERCER UNHEDGED OVERSEAS SHARES TRUST | 0 | 75.429 | 75.429 |
| **D | INVERSABADELL 25, FI | 0 | 85.852 | 85.852 |
| **D | RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | 0 | 8.436 | 8.436 |
| **D | FONDO PENSIONE COMETA | 0 | 350.765 | 350.765 |
| **D | ENHANCED INDEX INTERNATIONAL SHARE FUND | 0 | 46.773 | 46.773 |
| **D | CONSERVATION INTERNATIONAL FOUNDATION, INC. | 0 | 545 | 545 |
| **D | FRONTIER MFG CORE INFRASTRUCTURE FUND | 0 | 1.981.741 | 1.981.741 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 0 | 8.000 | 8.000 |
| **D | BS PREVISION EMPRESAS EPSV DE EMPLEO | 0 | 4.103 | 4.103 |
| **D | SABADELL EUROPA BOLSA ESG, FI | 0 | 1.118.807 | 1.118.807 |
| **D | INVERSABADELL 50, FI | 0 | 59.021 | 59.021 |
| **D | KAIROS INTERNATIONAL SICAV-ITALIA | 0 | 407.065 | 407.065 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 0 | 495.000 | 495.000 |
| **D | AMP SUPER FUND | 0 | 584.750 | 584.750 |
| **D | INVERSABADELL 70, FI | 0 | 20.850 | 20.850 |
| **D | RLA LISTED REAL ASSETS FUND | 0 | 1.906.639 | 1.906.639 |
| **D | AMERICAN HEART ASSOCIATION, INC. | 0 | 4.809 | 4.809 |
| **D | AZ FUND 1 AZ ALTERNATIVE SMART RISK PREMIA | 0 | 40.200 | 40.200 |
| **D | AZ FUND 1-AZ ALLOCATION-STRATEGICBALANCED CATHOLIC VALUES | 0 | 1.200 | 1.200 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND | 0 | 122.386 | 122.386 |
| **D | PHILADELPHIA GAS WORKS PENSION PLAN | 0 | 3.174 | 3.174 |
| **D | FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES |
0 | 149 | 149 |
| **D | BNPP DUBLIN/SCHRODER STABLE GROWTH FUND MELLON | 0 | 10.381 | 10.381 |
| **D | AXA INSURANCE DESIGNATED ACTIVITY COMPANY | 0 | 41.023 | 41.023 |
| **D | KAIROS INTERNATIONAL SICAV-KEY | 0 | 730.000 | 730.000 |
| **D | FONSOLBANK FP | 0 | 17.555 | 17.555 |
| **D | BANSABADELL 2000 FP | 0 | 1.343 | 1.343 |
| **D | UNISUPER | 0 | 28.510 | 28.510 |
| **D | AAM S&P DEVELOPED MARKETS HIGH DIVIDEND VALUE ETF | 0 | 7.282 | 7.282 |
| **D | AXA-ARAG RECHTSSCHUTZ AG | 0 | 84.000 | 84.000 |
| **D | PACER TRENDPILOT INTERNATIONAL ETF | 0 | 18.642 | 18.642 |
| **D | PSVAG MASTERFONDS | 0 | 85.193 | 85.193 |
| **D | SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND | 0 | 956.872 | 956.872 |
| **D | SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 0 | 1.549.648 | 1.549.648 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) | 0 | 24.300 | 24.300 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) 195.612 |
0 | 195.612 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SIIT - WORLD SELECT EQUITY FUND |
0 | 3.202 | 3.202 |
| **D | ING DIRECT SICAV | 0 | 105.087 | 105.087 |
| **D | CREDIT SUISSE INDEX FUND (LUX) | 0 | 893.205 | 893.205 |
| **D | VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 0 | 2.030.984 | 2.030.984 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND | 0 | 2.842 | 2.842 |
| **D | MONDRIAN INTERNATIONAL VALUE EQUITY FUND | 0 | 5.142.429 | 5.142.429 |
| **D | MONDRIAN GLOBAL EQUITY VALUE FUND | 0 | 687.733 | 687.733 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 0 | 39.830 | 39.830 |
| **D | FIDELITY RETIREE HEALTH REIMBURSEMENT PLAN | 0 | 34.720 | 34.720 |
| **D | VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF |
0 | 123.028 | 123.028 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 0 | 29.636 | 29.636 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL QUALITY INDEX FUND | 0 | 625.297 | 625.297 |
| **D | MONDRIAN ALL COUNTRIES WORLD EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 2.665.063 | 2.665.063 |
| **D | NUVEEN TIAA INTERNATIONAL EQUITY INDEX FUND | 0 | 92.560 | 92.560 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND | 0 | 209.409 | 209.409 |
| **D | HESTA | 0 | 575.226 | 575.226 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD CIT | 0 | 167.713 | 167.713 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: TMA GLOBAL EQUITY INDEX MOTHER FUND | 0 | 50.123 | 50.123 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND | 0 | 50.074 | 50.074 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MORGAN STANLEY INFRASTRUCTURE STOCKS MOTHER FUND | 0 | 69.108 | 69.108 |
| **D | DEMOCRACY INTERNATIONAL FUND | 0 | 1.697 | 1.697 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 0 | 8.502 | 8.502 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND | 0 | 975 | 975 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 0 | 139.777 | 139.777 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 0 | 10.874 | 10.874 |
| **D | MONDRIAN GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 10.742 | 10.742 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND | 0 | 301.264 | 301.264 |
| **D | THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 0 | 368.704 | 368.704 |
| **D | MONDRIAN INTERNATIONAL EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 841.633 | 841.633 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND | 0 | 2.853.140 | 2.853.140 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD | 0 | 39.882 | 39.882 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD | 0 | 47.440 | 47.440 |
| **D | VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FTSE DEV EUR EX UK CCF |
0 | 52.238 | 52.238 |
| **D | VANGUARD FUNDS PUBLIC LIMITED COMPANY | 0 | 2.853.905 | 2.853.905 |
| **D | VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED EUROPE II CCF | 0 | 52.069 | 52.069 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND | 0 | 785.916 | 785.916 |
| **D | VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO | 0 | 41.217 | 41.217 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 0 | 751.618 | 751.618 |
| **D | NATIXIS AM FUNDS | 0 | 628.496 | 628.496 |
| **D | BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND |
0 | 3.737.541 | 3.737.541 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE CIT | 0 | 47.345 | 47.345 |
| **D | SCHRODER INTERNATIONAL SELECTION FUND | 0 | 204.510 | 204.510 |
| **D | NUVEEN GLOBAL INFRASTRUCTURE FUND | 0 | 1.782.007 | 1.782.007 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK INDEX SELECTION FUND | 0 | 965.147 | 965.147 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
0 | 36.477 | 36.477 |
| **D | ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND |
0 | 2.476 | 2.476 |
| **D | FUNDACAO CALOUSTE GULBENKIAN | 0 | 1.452 | 1.452 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 0 | 124.878 | 124.878 |
| **D | UNICARE SAVINGS PLAN | 0 | 106.269 | 106.269 |
| **D | DWS RREEF GLOBAL INFRASTRUCTURE FUND | 0 | 2.100.630 | 2.100.630 |
| **D | VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF | 0 | 56.714 | 56.714 |
| **D | SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
0 | 6.697 | 6.697 |
| **D | STATE OF WYOMING | 0 | 129.598 | 129.598 |
| **D | BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 0 | 48.561 | 48.561 |
| **D | BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 0 | 12.759.955 | 12.759.955 |
| **D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 0 | 17.627.736 | 17.627.736 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND - HEDGED |
0 | 5.369.428 | 5.369.428 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II | 0 | 15.192.572 | 15.192.572 |
| **D | MSCI EQUITY INDEX FUND B - ITALY (MSITB) |
0 | 730.417 | 730.417 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND V | 0 | 2.765 | 2.765 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND I | 0 | 750 | 750 |
| **D | ROBECO CAPITAL GROWTH FUNDS | 0 | 2.698.623 | 2.698.623 |
| **D | T. ROWE PRICE FUNDS SICAV | 0 | 70 | 70 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND III | 0 | 8.850 | 8.850 |
| **D | PROSHARES DJ BROOKFIELD GLOBAL INFRASTRUCTURE ETF | 0 | 240.649 | 240.649 |
| **D | MI-FONDS F47 | 0 | 22.089 | 22.089 |
| **D | MAIN I - UNIVERSAL - FONDS |
0 | 30.781 | 30.781 |
| **D | MOMENTUM GLOBAL FUNDS | 0 | 79.775 | 79.775 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400021974 | 0 | ||
| 25.906 | 25.906 | |||
| **D | FLEXSHARES DEVELOPED MARKETS EX - US QUALITY LOW VOLATILITY INDEX FUND |
0 | 35.730 | 35.730 |
| **D | SAS TRUSTEE CORPORATION POOLED FUND | 0 | 33.498 | 33.498 |
| **D | BLACKROCK FUNDS I ICAV | 0 | 24.051 | 24.051 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
0 | 17.085 | 17.085 |
| **D | STICHTING PENSIOENFONDS ABP | 0 | 4.466.476 | 4.466.476 |
| **D | GERANA SICAV-SIF, S.A. | 0 | 1.166.214 | 1.166.214 |
| **D | HC RENTE | 0 | 10.686 | 10.686 |
| **D | SCHRODER GLOBAL DIVERSIFIED INCOME FUND | 0 | 22.659 | 22.659 |
| **D | LVUI EQUITY EUROPE | 0 | 135.000 | 135.000 |
| **D | BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 0 | 47.547 | 47.547 |
| **D | CDN MSCI WORLD EX-CANADA MINIMUM VOLATILITY INDEX FUND | 0 | 52.643 | 52.643 |
| **D | MINE SUPERANNUATION FUND | 0 | 48.436 | 48.436 |
| **D | SBC MASTER PENSION TRUST | 0 | 293.247 | 293.247 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE ETF | 0 | 48.957 | 48.957 |
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 0 | 5.902.236 | 5.902.236 |
| **D | CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 0 | 39.595 | 39.595 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 0 | 328.296 | 328.296 |
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
0 | 1.235.111 | 1.235.111 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND IV | 0 | 7.109 | 7.109 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO |
0 | 23.055 | 23.055 |
| **D | EARNEST INSTITUTIONAL LLC | 0 | 442 | 442 |
| **D | BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 0 | 3.637.917 | 3.637.917 |
| **D | JEFFREY LLC | 0 | 14.254 | 14.254 |
| **D | NFS LIMITED | 0 | 468.427 | 468.427 |
| **D | ISHARES ALL-COUNTRY EQUITY INDEX FUND | 0 | 4.881 | 4.881 |
| **D | THRIFT SAVINGS PLAN | 0 | 9.510.996 | 9.510.996 |
| **D | UBS ASSET MANAGEMENT LIFE LTD | 0 | 573.875 | 573.875 |
| **D | STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 0 | 225.637 | 225.637 |
| **D | FRANKLIN CLEARBRIDGE SUSTAINABLE GLOBAL INFRASTRUCTURE INCOME FUND | 0 | 426.667 | 426.667 |
| **D | BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 8.457 | 8.457 |
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 0 | 13.651 | 13.651 |
| **D | ROBECO UMBRELLA FUND I N.V. | 0 | 392.086 | 392.086 |
| **D | BLACKROCK CDN GLOBAL INFRASTRUCTURE EQUITY INDEX FUND | 0 | 3.775.970 | 3.775.970 |
| **D | JNL INTERNATIONAL INDEX FUND | 0 | 289.549 | 289.549 |
| **D | BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 0 | 383.497 | 383.497 |
| **D | AVIVA LIFE & PENSIONS UK LIMITED | 0 | 287.910 | 287.910 |
| **D | MINISTRY OF ECONOMY AND FINANCE | 0 | 648.095 | 648.095 |
| **D | AVIVA LIFE & PENSIONS IRELAND DAC | 0 | 113.839 | 113.839 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND II | 0 | 4.937 | 4.937 |
| **D | ROBECO GLOBAL DEVELOPED MARKETS EQUITIES CIT | 0 | 32.377 | 32.377 |
| **D | MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 0 | 76.834 | 76.834 |
| **D | PCFG EQUITY FUND LTD | 0 | 14.542 | 14.542 |
| **D | QANTAS SUPERANNUATION LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN | 0 | 1.466 | 1.466 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 0 | 230.945 | 230.945 |
| **D | MAINSTAY EPOCH GLOBAL EQUITY YIELD FUND | 0 | 1.104.910 | 1.104.910 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI | 0 | ||
| 12.735 | 12.735 | |||
| **D | EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 0 | 31.418 | 31.418 |
| **D | MAINSTAY VP INCOME BUILDER PORTFOLIO | 0 | 437.751 | 437.751 |
| **D | KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 0 | 267.088 | 267.088 |
| **D | UBS FTSE RAFI DEVELOPED 1000 INDEX FUND | 0 | 33.883 | 33.883 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL MULTIFACTOR | 0 | 308.704 | 308.704 |
| **D | VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 0 | 80.786 | 80.786 |
| **D | BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 25.938 | 25.938 |
| **D | MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 0 | 136.571 | 136.571 |
| **D | NORDEA GLOBAL PASSIVE FUND | 0 | 80.868 | 80.868 |
| **D | INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC | 0 | 13.371 | 13.371 |
| **D | FORD PENSION UNIVERSAL | 0 | 7.355 | 7.355 |
| **D | DEKA VALUE PLUS | 0 | 585.459 | 585.459 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | INTECH INTERNATIONAL LARGE CAP CORE FUND LLC | 0 | 13.582 | 13.582 |
| **D | MAGELLAN WHOLESALE PLUS INFRASTRUCTURE FUND | 0 | 226.843 | 226.843 |
| **D | UBS MSCI WORLD MINIMUM VOLATILITY INDEX FUND | 0 | 81.081 | 81.081 |
| **D | AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND | 0 | 32.830 | 32.830 |
| **D | FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND | 0 | 1.626.300 | 1.626.300 |
| **D | ISHARES WORLD EQUITY FACTOR ETF | 0 | 29.310 | 29.310 |
| **D | FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 0 | 11.280 | 11.280 |
| **D | SANTANDER SICAV | 0 | 28.782 | 28.782 |
| **D | AUSTRALIANSUPER | 0 | 1.635.509 | 1.635.509 |
| **D | THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT TRUST | 0 | 1.902.448 | 1.902.448 |
| **D | STELLAR INSURANCE, LTD. | 0 | 80.119 | 80.119 |
| **D | MAIN VI-UNIVERSAL-FONDS | 0 | 3.778 | 3.778 |
| **D | MAINSTAY INCOME BUILDER FUND | 0 | 901.153 | 901.153 |
| **D | ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 0 | 9.781 | 9.781 |
| **D | BLACKROCK CDN WORLD INDEX FUND | 0 | 174.598 | 174.598 |
| **D | VGV POOLFONDS PA1 | 0 | 55.486 | 55.486 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400025501 | 0 | ||
| 26.645 | 26.645 | |||
| **D | VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 0 | 46.169 | 46.169 |
| **D | FOVERUKA PENSION UNIVERSAL | 0 | 31.756 | 31.756 |
| **D | VERDIPAPIRFONDET EQUINOR AKSJER EUROPA | 0 | 109.500 | 109.500 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS - AKKUMULERENDE KL |
0 | 47.447 | 47.447 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA PENSION - AKTIER |
0 | 2.147.265 | 2.147.265 |
| **D | SIEMENS-FONDS SIEMENS-RENTE | 0 | 220.991 | 220.991 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE KL | 0 | 470.020 | 470.020 |
| **D | SCHRODER PENSION MANAGEMENT LIMITED | 0 | 93.298 | 93.298 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND |
0 | 311.724 | 311.724 |
| **D | DANSKE INVEST SICAV | 0 | 490.167 | 490.167 |
| **D | NEW YORK STATE COMMON RETIREMENT FUND | 0 | 13.300.786 | 13.300.786 |
| **D | MI-FONDS 384 | 0 | 26.576 | 26.576 |
| **D | MACQUARIE TRUE INDEX GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 1.435.611 | 1.435.611 |
| **D | NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 0 | 151.529 | 151.529 |
| **D | STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS | 0 | 31.728 | 31.728 |
| **D | JPMORGAN INVESTMENT FUNDS | 0 | 825.313 | 825.313 |
| **D | JPMORGAN CHASE RETIREMENT PLAN | 0 | 620.138 | 620.138 |
| **D | BOOKOUT INTERESTS LTD E LB HOLDINGS 1 LLC | 0 | 2.454 | 2.454 |
| **D | ISHARES CORE FTSE GLOBAL INFRASTRUCTURE (AUD HEDGED) ETF | 0 | 305.744 | 305.744 |
| **D | BIL-UNIVERSAL-FONDS | 0 | 184.294 | 184.294 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKUMULERENDE KL |
0 | 330.459 | 330.459 |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL | 0 | 15.696 | 15.696 |
| **D | OB 2 | 0 | 12.796 | 12.796 |
| **D | CHURCH COMMISSIONERS FOR ENGLAND | 0 | 22.585 | 22.585 |
| **D | BLACKROCK GLOBAL ALLOCATION V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC | 0 | 111.077 | 111.077 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 | 0 | 8.186 | 8.186 |
| **D | SCHRODER MANAGED BALANCED FUND | 0 | 37.301 | 37.301 |
| **D | TRINITY COLLEGE CAMBRIDGE | 0 | 36.735 | 36.735 |
| **D | EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
0 | 50.504 | 50.504 |
| **D | TELSTRA SUPERANNUATION SCHEME | 0 | 1.258.851 | 1.258.851 |
| **D | NATIONWIDE INTERNATIONAL INDEX FUND | 0 | 113.356 | 113.356 |
| **D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 0 | 751.456 | 751.456 |
| **D | EMBO-FONDS | 0 | 53.071 | 53.071 |
| **D | IRR K LLC | 0 | 19.778 | 19.778 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD (UNHEDGED) FUND | 0 | 1.883.522 | 1.883.522 |
| **D | STRATEGIC INFRASTRUCTURE FUND | 0 | 221.547 | 221.547 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 0 | 209.073 | 209.073 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUND | 0 | 881.368 | 881.368 |
| **D | VANGUARD GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.150.249 | 1.150.249 |
| **D | BLACKROCK GLOBAL ALLOCATION FUND (AUST) | 0 | 5.587 | 5.587 |
| **D | EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 136.252 | 136.252 |
| **D | EPS | 0 | 28.530 | 28.530 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
0 | 73.519 | 73.519 |
| **D | BLACKROCK GLOBAL ALLOCATION PORTFOLIO OF BLACKROCK SERIES FUND, INC. | 0 | 3.584 | 3.584 |
| **D | STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER TRUST | 0 | 95.607 | 95.607 |
| **D | FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND | 0 | 32.042 | 32.042 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 0 | 107.394 | 107.394 |
| **D | 1934 GLOBAL INVESTMENT FUND LP | 0 | 68.504 | 68.504 |
| **D | F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC | 0 | 5.802 | 5.802 |
| **D | TEACHERS RETIREMENT SYSTEM OF GEORGIA | 0 | 14.924.710 | 14.924.710 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND | 0 | 117.338 | 117.338 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 0 | 13.160 | 13.160 |
| **D | STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY MINIMUM VOLATILITY POOL | 0 | 1.570.384 | 1.570.384 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 209.139 | 209.139 |
| **D | GOVERNMENT INSTITUTIONS PENSION FUND | 0 | 604.310 | 604.310 |
| **D | SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 0 | 307 | 307 |
| **D | COHEN & STEERS REAL ASSETS MULTI-STRATEGY FUND | 0 | 101.492 | 101.492 |
| **D | FISHER INSTITUTIONAL INTERNATIONAL EQUITY FUND | 0 | 902.337 | 902.337 |
| **D | DANSKE INVEST EUROPE HIGH DIVIDEND FUND | 0 | 109.297 | 109.297 |
| **D | BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 0 | 178.596 | 178.596 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG ETF | 0 | 41.686 | 41.686 |
| **D | THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 0 | 1.950.351 | 1.950.351 |
| **D | SIJOITUSRAHASTO UB INFRA | 0 | 201.000 | 201.000 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND UNHEDGED | 0 | 531.320 | 531.320 |
| **D | KATHERINE C MOORE CHARITABLE LEAD ANNUIT | 0 | 1.914 | 1.914 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST | 0 | 2.150.013 | 2.150.013 |
| **D | LVUI EQUITY WORLD EX EUROPE | 0 | 6.758 | 6.758 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED | 0 | 553.068 | 553.068 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 0 | 61.898 | 61.898 |
| **D | TF-EQUITY | 0 | 207.203 | 207.203 |
| **D | DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 0 | 5.875 | 5.875 |
| **D | MACQUARIE MULTI-FACTOR FUND | 0 | 23.521 | 23.521 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND |
0 | 187.648 | 187.648 |
| **D | BRUNEI SHELL RETIREMENT BENEFIT FUND | 0 | 1.967 | 1.967 |
| **D | MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND (UNHEDGED) | 0 | 875.358 | 875.358 |
| **D | EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 0 | 12.357 | 12.357 |
| **D | MACQUARIE INTERNATIONAL EQUITIES FUND | 0 | 48.533 | 48.533 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS BNP KL | 0 | 23.521 | 23.521 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS KL | 0 | 65.509 | 65.509 |
| **D | VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 0 | 104.851 | 104.851 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE | 0 | ||
| 317.518 | 317.518 | |||
| **D | FORSTA AP - FONDEN |
0 | 563.024 | 563.024 |
| **D | EQUINOR PENSJON | 0 | 100.000 | 100.000 |
| **D | JNL/BLACKROCK GLOBAL ALLOCATION FUND | 0 | 71.024 | 71.024 |
| **D | WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 0 | 3.516 | 3.516 |
| **D | VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 0 | 31.377.565 | 31.377.565 |
| **D | STRATEGIC INTERNATIONAL EQUITY FUND | 0 | 33.929 | 33.929 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER |
0 | 84.740 | 84.740 |
| **D | SAMPENSION LIVSFORSIKRING A/S | 0 | 1.039.130 | 1.039.130 |
| **D | SCHRODER SUSTAINABLE FUTURE MULTI-ASSET FUND | 0 | 56.299 | 56.299 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS KL | 0 | 136.958 | 136.958 |
| **D | ALASKA COMMON TRUST FUND | 0 | 68.653 | 68.653 |
| **D | VERDIPAPIRFONDET KRON INDEKS GLOBAL | 0 | 46.466 | 46.466 |
| **D | MORGAN STANLEY INVESTMENT FUNDS | 0 | 1.349.039 | 1.349.039 |
| **D | CARE SUPER | 0 | 32.739 | 32.739 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE INDEX FUND | 0 | 483 | 483 |
| **D | ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 0 | 247.348 | 247.348 |
| **D | NORDEA EUROPEAN PASSIVE FUND | 0 | 35.233 | 35.233 |
| **D | INVESTERINGSFORENINGEN BANKINVEST, BIX GLOBALE AKTIER ESG UNIVERSAL KL | 0 | 55.843 | 55.843 |
| **D | UI-FONDS BAV RBI AKTIEN | 0 | 246.373 | 246.373 |
| **D | NVIT INTERNATIONAL INDEX FUND | 0 | 171.556 | 171.556 |
| **D | SALT SUSTAINABLE GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.250 | 59.250 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 0 | 2.843.412 | 2.843.412 |
| **D | FOREIGN STOCK INDEX MOTHER FUND | 0 | 108.265 | 108.265 |
| **D | FUJIFILM BUSINESS INNOVATION CORP. | 0 | 402.100 | 402.100 |
| **D | COHEN & STEERS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 668.603 | 668.603 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG (AUD HEDGED) ETF | 0 | 17.730 | 17.730 |
| **D | FINREON WORLD EQUITY MULTI PREMIA DEFENSIVE PENSION CREDIT SUISSE FUNDS AG | 0 | 26.676 | 26.676 |
| **D | PK CSG WORLD EQUITY CREDIT SUISSE FUNDS AG | 0 | 63.497 | 63.497 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS CREDIT SUISSE FUNDS AG | 0 | 1.342.740 | 1.342.740 |
| Pagina 14 | ||||
|---|---|---|---|---|
| Azionisti: | 1.817 | Teste: | 11 | |
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND CREDIT SUISSE FUNDS AG | 0 | 183.310 | 183.310 |
| **D | CSIF CH EQUITY EUROPE EX CH BLUE CREDIT SUISSE FUNDS AG | 0 | 33.034 | 33.034 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS AG | 0 | 654.090 | 654.090 |
| **D | IPAC INCOME GENERATOR | 0 | 10.346 | 10.346 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - CARBON TRANSITION GLOBAL EQUITY (CTB) UCITS ETF |
0 | 169.664 | 169.664 |
| **D | RLA INTERNATIONAL EQUITIES FUND | 0 | 59.483 | 59.483 |
| **D | GIM SPECIALIST INVESTMENT FUNDS - GIM GL RESEARCH ENHNCD INX MIN VLTY EQTY FD |
0 | 37.976 | 37.976 |
| **D | JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 0 | 518.097 | 518.097 |
| **D | JPMORGAN INCOME BUILDER FUND | 0 | 490.122 | 490.122 |
| **D | JPMORGAN GLOBAL CORE REAL ASSETS LIMITED | 0 | 23.789 | 23.789 |
| **D | JPMORGAN FUND ICVC - JPM EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND |
0 | 14.411 | 14.411 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY PREMIUM INCOME UCITS ETF |
0 | 11.997 | 11.997 |
| **D | ONEPATH GLOBAL SHARES - GLOBAL INFRASTRUCTURE (HEDGED) INDEX POOL |
0 | 243.846 | 243.846 |
| **D | JPMORGAN BETABUILDERS EUROPE ETF | 0 | 1.538.646 | 1.538.646 |
| **D | JPMORGAN GLOBAL ALLOCATION FUND | 0 | 7.252 | 7.252 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400031129 | 0 | 8.233 | 8.233 |
| **D | ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL |
0 | 178.956 | 178.956 |
| **D | JPMORGAN FUND ICVC - JPM MULTI-ASSET INCOME FUND |
0 | 15.923 | 15.923 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY MULTI-FACTOR UCITS ETF |
0 | 67.477 | 67.477 |
| **D | COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. | 0 | 1.045.237 | 1.045.237 |
| **D | AQR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL TRADING |
0 | 81.753 | 81.753 |
| **D | CSIF 2 C SUISSE LUX THEMATIC OPPORTUNITIES EQUITY FUND | 0 | 198.805 | 198.805 |
| **D | CSIF2 CS LUX ENERGY EVOLUTION EQUITY FUND | 0 | 72.000 | 72.000 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND PENSION CREDIT SUISSE FUNDS AG | 0 | 33.514 | 33.514 |
| **D | CSIF4 CREDIT SUISSE LUX GLOBAL HIGH INCOME FUND USD | 0 | 50.280 | 50.280 |
| **D | CSIF CH III EQUITY WORLD EX CH CLIMATE CHANGE BLUE PENSION FUND PLUS CREDIT SUISSE FUNDS AG | 0 | 232 | 232 |
| **D | FINREON WORLD EQUITY ECONOMIC EXPOSURE PENSION CREDIT SUISSE FUNDS AG | 0 | 24.991 | 24.991 |
| **D | CSIF CH III EQUITY WORLD EX CH VALUE WEIGHTED PENSION FUND CREDIT SUISSE FUNDS AG | 0 | 6.578 | 6.578 |
| **D | PROFOND UMBRELLA AKTIEN AUSLAND MINIMUM VOLATILITY CREDIT SUISSE FUNDS AG | 0 | 78.480 | 78.480 |
| **D | CSIF CH III EQUITY WORLD EX CH MINIMUM VOLATILITY PF CREDIT SUISSE FUNDS AG | 0 | 121.468 | 121.468 |
| **D | CSIF CH EQUITY EMU CREDIT SUISSE FUNDS AG | 0 | 79.349 | 79.349 |
| **D | AMUNDI HK PORTFOLIOS | 0 | 267.461 | 267.461 |
| **D | HELSANA AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL DUEBENDORF | 0 | 7.888 | 7.888 |
| **D | BEST INVESTMENT CORPORATION | 0 | 573.094 | 573.094 |
| **D | HELSANA UNFALL AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 5.505 | 5.505 |
| **D | AMUNDI HK - GREEN PLANET FUND |
0 | 155.632 | 155.632 |
| **D | THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED DAILY RATED EMPLOYEES RETIREMENT FUND SCHEME | 0 | 14.468 | 14.468 |
| **D | HELSANA VERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 5.980 | |
| 5.980 | ||||
| **D | VITASOY INTERNATIONAL HOLDINGS LIMITED DEFINED BENEFIT SCHEME | 0 | 2.277 | 2.277 |
| **D | HELSANA ZUSATZVERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 12.305 | |
| 12.305 | ||||
| **D | JPM MULTI INCOME FUND | 0 | 320.628 | 320.628 |
| Pagina 15 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 10 | 0 | 80.006 | 80.006 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED GLOBAL EQUITY FUND |
0 | 244.688 | 244.688 |
| **D | TAIPEI FUBON COMERCIAL BANK LTD | 0 | 230.000 | 230.000 |
| **D | JPMORGAN MULTI BALANCED FUND | 0 | 13.700 | 13.700 |
| **D | MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 0 | 376.525 | 376.525 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 | 0 | 6.628 | 6.628 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 | 0 | 11.945 | 11.945 |
| **D | SCHRODER INSTITUTIONAL POOLED FUNDS | 0 | 38.200 | 38.200 |
| **D | AVIVA LIFE AND PENSIONS UK LIMITED | 0 | 20.588 | 20.588 |
| **D | CIVIL SERVICE EMPLOYEES PENSION FUND | 0 | 23.014 | 23.014 |
| **D | AXA INSURANCE UK PLC | 0 | 63.030 | 63.030 |
| **D | HSBC POOLED INVESTMENT FUND | 0 | 25.743 | 25.743 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX FUND |
0 | 147.872 | 147.872 |
| **D | AIA GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 20.478 | 20.478 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 | 0 | 132.696 | 132.696 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED PENSION FUND |
0 | 110.641 | 110.641 |
| **D | REASSURE LIMITED | 0 | 638.648 | 638.648 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
0 | 67.363 | 67.363 |
| **D | AVIVA INVESTORS FUNDS ACS - AI CAUTIOUS PENSION FUND |
0 | 1.591 | 1.591 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND |
0 | 255.852 | 255.852 |
| **D | AMUNDI ETF ICAV | 0 | 58.597 | 58.597 |
| **D | WESLEYAN AUTHORISED UNIT TRUST - WESLEYAN LOW RISK/REWARD GROWTH FUND |
0 | 48.071 | 48.071 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED LIFE FUND |
0 | 6.177 | 6.177 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL EUROPEAN EQUITY INDEX FUND |
0 | 276.472 | 276.472 |
| **D | LAZARD FRERES BANQUE SA | 0 | 268.170 | 268.170 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 30:70 GLOBAL EQUITY (CURRENCY HEDGED) INDEX FUND |
0 | 21.168 | 21.168 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 60:40 GLOBAL EQUITY INDEX FUND |
0 | 67.755 | 67.755 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED WORLD EX UK EQUITY INDEX FUND |
0 | 11.621 | 11.621 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 50:50 GLOBAL EQUITY INDEX FUND |
0 | 207.334 | 207.334 |
| **D | ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
0 | 200.616 | 200.616 |
| **D | INVESTMENT FUND SERVICES LIMITED | 0 | 10.711 | 10.711 |
| **D | AMUNDI ETF ICAV - AMUNDI S&P GLOBAL UTILITIES ESG UCITS ETF |
0 | 164.696 | 164.696 |
| **D | AVIVA INVESTORS UK FUND SERVICES LIMITED | 0 | 223.329 | 223.329 |
| **D | AMUNDI ETF ICAV - AMUNDI SANDP 500 EQUAL WEIGHT ESG LEADERS UCITS ETF |
0 | 8.916 | 8.916 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND |
0 | 1.340.862 | 1.340.862 |
| **D | AXA PPP HEALTHCARE LIMITED | 0 | 27.810 | 27.810 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 0 | 431.477 | 431.477 |
| **D | THE PRUDENTIAL ASSURANCE COMPANY LIMITED | 0 | 2.022 | 2.022 |
| **D | RATHBONE ACTIVE INCOME AND GROWTH FUND | 0 | 270.209 | 270.209 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 0 | 453.777 | 453.777 |
| **D | HSBC GLOBAL INVESTMENT FUNDS | 0 | 65.689 | 65.689 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD UCITS ETF |
0 | 352.337 | 352.337 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF |
0 | 35.794 | 35.794 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 0 | 626.959 | 626.959 |
| **D | SCHWEIZERISCHE MOBILIAR ASSET MANAGEMENT AG | 0 | 350.500 | 350.500 |
| **D | BLKB EQUITY SWITZERLAND FOCUS | 0 | 1.458.437 | 1.458.437 |
| **D | AMUNDI DEUTSCHLAND GMBH | 0 | 215.011 | 215.011 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH | 0 | 248.639 | 248.639 |
| **D | IF IST - GLOBE INDEX |
0 | 70.420 | 70.420 |
| **D | IF IST - AKTIEN WELT |
0 | 63.086 | 63.086 |
| **D | VERTI VERSICHERUNG AG | 0 | 173.608 | 173.608 |
| **D | VERTI ASSICURAZIONI SPA | 0 | 101.033 | 101.033 |
| **D | ERAFP ACTIONS EURO I | 0 | 9.526.910 | 9.526.910 |
| **D | CERVURITEINTERNATIONALLLC | 0 | 20.155 | 20.155 |
| **D | UNIGEST, S.G.I.I.C., S.A.U. | 0 | 167.601 | 167.601 |
| **D | NANCY AND CLARKGIBBS LIVINGTRUST | 0 | 91 | 91 |
| **D | VIDACAIXA, S.A. | 0 | 831.838 | 831.838 |
| **D | INVESTERINGSFORENINGEN BANKINVEST BORSNOTEREDE ALTERNATIVER | 0 | 32.143 | 32.143 |
| **D | HYDRO ONE PENSION PLAN | 0 | 1.252.700 | 1.252.700 |
| **D | BMO CANADA PENSION PLAN | 0 | 731.034 | 731.034 |
| **D | IMCO GLOBAL PUBLIC EQUITY LP | 0 | 3.621.929 | 3.621.929 |
| **D | STATE OF WISCONSIN INVESTMENT BOARD | 0 | 8.436 | 8.436 |
| **D | AUTORIDADE MONETARIA DE MACAU | 0 | 37.052 | 37.052 |
| **D | SUBSIDIZED SCHOOLS PROVIDENT FUND | 0 | 94.146 | 94.146 |
| **D | WILLIS TOWERS WATSON GROUP TRUST | 0 | 37.204 | 37.204 |
| **D | CARGILL INC AND ASSOCIATED COMPANIES MASTER PENSION TRUST | 0 | 117.840 | 117.840 |
| **D | KAPITALFORENINGEN INVESTIN PRO LOW RISK EQUITIES II | 0 | 19.689 | 19.689 |
| **D | KAPITALFORENINGEN INVESTIN PRO ACADIAN GLOBAL VALUE | 0 | 56.718 | 56.718 |
| **D | NATWEST TDS DEP BNYM RM GLO EQ FUND | 0 | 23.775 | 23.775 |
| **D | BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 0 | 85.883 | 85.883 |
| **D | NEUALT LLC | 0 | 108.312 | 108.312 |
| **D | INVESCO MARKETS II PLC | 0 | 64.769 | 64.769 |
| **D | LEGAL AND GENERAL UCITS ETF PLC | 0 | 80.623 | 80.623 |
| **D | MACQUARIE MANAGEMENT HOLDINGS INC | 0 | 16.237 | 16.237 |
| **D | KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 0 | 121.443 | 121.443 |
| **D | VANGUARD FTSE ALL WORLD EX US INDEX FUND | 0 | 4.555.689 | 4.555.689 |
| **D | VANGUARD EUROPEAN STOCK INDEX FUND | 0 | 4.682.570 | 4.682.570 |
| **D | GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA TOTAL INTERNATIONAL EQUITY ETF | 0 | 34.275 | 34.275 |
| **D | CENTRAL PENSION FUND OF THE INT UNION OF OPERATING ENGINEERS AND PARTICIPATING EMPLOYERS | 0 | 201.970 | 201.970 |
| **D | RIVER PARTNERS GLOBAL EQUITY LLC | 0 | 2.349 | 2.349 |
| **D | MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 0 | 22.097 | 22.097 |
| **D | MCGILL UNIVERSITY PENSION PLAN | 0 | 9.239 | 9.239 |
| **D | TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 0 | 9.781 | 9.781 |
| **D | VOYA VACS INDEX SERIES I PORTFOLIO | 0 | 189.877 | 189.877 |
| **D | PURPOSE INTERNATIONAL DIVIDEND FUND | 0 | 41.248 | 41.248 |
| **D | DANMARKS GRUNDFORSKNINGFOND | 0 | 5.850 | 5.850 |
Pagina 17
Azionisti: 1.817 Teste: 11 Azionisti in proprio: 9 Azionisti in delega: 1.808
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CONSOLIDATED EDISON RETIREMENT PLAN | 0 | 43.841 | 43.841 |
| **D | HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 15.440 | 15.440 |
| **D | ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 13.414 | 13.414 |
| **D | BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 0 | 30.975 | 30.975 |
| **D | GENERAL MILLS GROUP TRUST | 0 | 168.471 | 168.471 |
| **D | WILSHIRE SOLUTIONS FUNDS TRUST | 0 | 20.789 | 20.789 |
| **D | POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 0 | 2.622 | 2.622 |
| **D | CERVURITE INTERNATIONAL LLC | 0 | 41.669 | 41.669 |
| **D | MASTERS I LLC | 0 | 8.221 | 8.221 |
| **D | DEUTSCHE DCG EQ | 0 | 7.555 | 7.555 |
| **D | NORTH CAROLINA SUPPLEMENTAL RETIREMENT PLANS GROUP TRUST | 0 | 5.950.778 | 5.950.778 |
| **D | DREXEL UNIVERSITY | 0 | 50.616 | 50.616 |
| **D | THE ACADEMY OF NATURAL SCIENCES OF PHILADELPHIA | 0 | 4.986 | 4.986 |
| **D | MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 0 | 51.264 | 51.264 |
| **D | CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATING | 0 | 46.102 | 46.102 |
| **D | THE COMMONWEALTH FUND | 0 | 2.171 | 2.171 |
| **D | CITW FUND LP | 0 | 2.384 | 2.384 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL | 0 | 33.460 | 33.460 |
| **D | MOTHER CABRINI HEALTH FOUNDATION INC | 0 | 91.901 | 91.901 |
| **D | FLORIDA GLOBAL EQUITY FUND LLC | 0 | 27.258 | 27.258 |
| **D | GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO | 0 | 40.289 | 40.289 |
| **D | WILMINGTON GLOBAL ALPHA EQUITIES FUND | 0 | 14.677 | 14.677 |
| **D | TEXAS UTILITIES QUAL NDT PARTNERSHIP | 0 | 9.239 | 9.239 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS ZDV EVO | 0 | 6.757 | 6.757 |
| **D | TD EMERALD LOW CARBON GLOBAL EQUITY INDEX POOLED FUND TRUST | 0 | 15.934 | 15.934 |
| **D | THE PENSION FUND SOCIETY OF THE TORONTO DOMINIONBANK | 0 | 215.272 | 215.272 |
| **D | TD PENSION PLAN CANADA | 0 | 98.968 | 98.968 |
| **D | TD INTERNATIONAL EQUITY INDEX ETF | 0 | 132.440 | 132.440 |
| **D | TD Q INTERNATIONAL LOW VOLATILITY ETF | 0 | 10.670 | 10.670 |
| **D | TD EUROPEAN INDEX FUND | 0 | 12.227 | 12.227 |
| **D | TD GLOBAL LOW VOLATILITY FUND | 0 | 183.501 | 183.501 |
| **D | TD GLOBAL SHAREHOLDER YIELD FUND | 0 | 871.910 | 871.910 |
| **D | TD EMERALD LOW CARBON LOW VOLATILITY GLOBALEQUITY PFT | 0 | 4.010 | 4.010 |
| **D | TD EMERALD INTERNATIONAL EQUITY INDEX FUND | 0 | 392.433 | 392.433 |
| **D | TD EMERALD LOW VOLATILITY GLOBAL EQUITY POOLEDFUND TRUST | 0 | 51.770 | 51.770 |
| **D | TD EMERALD GLOBAL EQUITY SHARE HOLDER YIELD POOLEDFUND TRUST | 0 | 707.488 | 707.488 |
| **D | TD EMERALD LOW VOLATILITY GLBL EQTY NON-TAXABLEINVESTOR PFT | 0 | 135.222 | 135.222 |
| **D | MARGUERITE CASEY FOUNDATION | 0 | 1.859 | 1.859 |
| **D | WINDWISE MSCI EAFE INDEX NON LENDING | 0 | 55.608 | 55.608 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 0 | 412.804 | 412.804 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN | 0 | 942.248 | 942.248 |
| **D | BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 0 | 159.896 | 159.896 |
| **D | BLACKROCK FUND MANAGERS LTD | 0 | 1.441.616 | 1.441.616 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | NATIONAL BANK FINANCIAL INC | 0 | 1.378.632 | 1.378.632 |
| **D | PUBLIC SERVICE ELECTRIC AND GAS NON QUALIFIED TRUST | 0 | 631.763 | 631.763 |
| **D | KAPITALFORENINGEN INVESTIN PRO VELLIV WORLD EQUITY INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS | 0 | 1.399.893 | 1.399.893 |
| **D | THE GOLDMAN SACHS FOUNDATION | 0 | 61.690 | 61.690 |
| **D | THE UNIVERSITY COURT OF THE UNIVERSITY OF GLASGOW | 0 | 15.568 | 15.568 |
| **D | TEXAS PERMANENT SCHOOL FUND CORP | 0 | 207.300 | 207.300 |
| **D | BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 0 | 14.577 | 14.577 |
| **D | ARIZONA STATE RETIREMENT SYSTEM | 0 | 598.766 | 598.766 |
| **D | 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 0 | 2.009 | 2.009 |
| **D | RICHARD KING MELLON FDN | 0 | 538.369 | 538.369 |
| **D | R K MELLON INTERNATIONAL FUND | 0 | 310.659 | 310.659 |
| **D | SANTA BARBARA COUNTY EMPLOYEES RETIREMENT SYSTEM | 0 | 104.852 | 104.852 |
| **D | RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST | 0 | 3.481.252 | 3.481.252 |
| **D | COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS | 0 | 14.344 | 14.344 |
| **D | IMPERIAL INTERNATIONAL EQUITY POOL | 0 | 72.512 | 72.512 |
| **D | CIBC INTERNATIONAL EQUITY INDEX ETF | 0 | 4.000 | 4.000 |
| **D | CIBC QX INTERNATIONAL LOW VOLATILITY DIVIDEND ETF | 0 | 3.211 | 3.211 |
| **D | CIBC INTERNATIONAL INDEX FUND | 0 | 97.414 | 97.414 |
| **D | CIBC EUROPEAN INDEX FUND | 0 | 9.701 | 9.701 |
| **D | CIBC INTERNATIONAL EQUITY INDEX POOL | 0 | 3.041 | 3.041 |
| **D | BNY MELLON INTERNATIONAL EQUITY ETF | 0 | 63.464 | 63.464 |
| **D | XTRACKERS MSCI KOKUSAI EQUITY ETF | 0 | 18.569 | 18.569 |
| **D | PITTSBURGH THEOLOGICAL SEMINARY OF THE PRESBYTERIAN CHURCH | 0 | 11.756 | 11.756 |
| **D | WELLS FARGO AND COMPANY CASH BALANCE PLAN | 0 | 571.934 | 571.934 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA VALUE KL | 0 | 33.176 | 33.176 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL | 0 | 54.341 | 54.341 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 0 | 163.084 | 163.084 |
| **D | THE ESB PENSION FUND | 0 | 201.462 | 201.462 |
| **D | FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD | 0 | 9.729.162 | 9.729.162 |
| **D | XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 0 | 11.803 | 11.803 |
| **D | AIB GROUP IRISH PENSION SCHEME | 0 | 107.477 | 107.477 |
| **D | BANK OF KOREA | 0 | 5 | 5 |
| **D | LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 0 | 948 | 948 |
| **D | SIEMENS EMU EQUITIES | 0 | 195.880 | 195.880 |
| **D | KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 0 | 30.417 | 30.417 |
| **D | THE GREAT EASTERN LIFE ASSURANCE COMPANY LIMITED | 0 | 8.770 | 8.770 |
| **D | RARE GLOBAL INFRASTRUCTURE VALUE FUND | 0 | 734.247 | 734.247 |
| **D | INVESTERINGSFORENINGEN NYKREDIT INVEST GLOBALE AKTIER BASIS | 0 | 16.527 | 16.527 |
| **D | INVESCO MARKETS III PLC | 0 | 2.133 | 2.133 |
| **D | INVESCO FTSE RAFI EMERGING MARKETS UCITS ETF | 0 | 118.547 | 118.547 |
| **D | INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 0 | 230.957 | 230.957 |
| **D | GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 0 | 40.625 | 40.625 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHILDERS AFW ERKINGS ENGLASZETBEDRIJF | 0 | 13.611 | 13.611 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale Proprio |
Delega | Totale | |
|---|---|---|---|---|
| **D | BLACKROCK LIFE LIMITED | 0 | 13.202 | 13.202 |
| **D | FIRST TRUST STOXX EUROPEAN SELECT DIVIDEND INDEX FUND | 0 | 824.925 | 824.925 |
| **D | PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST | 0 | 83.448 | 83.448 |
| **D | GREAT WEST INTERNATIONAL INDEX FUND | 0 | 217.140 | 217.140 |
| **D | MUNICIPAL EMPLOYEES PENSION PLAN | 0 | 140.556 | 140.556 |
| **D | UNIVERSITY OF NOTRE DAME DU LAC | 0 | 45.412 | 45.412 |
| **D | MACQUARIE FIRST TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID | 0 | 809.284 | 809.284 |
| **D | ISHARES VII PUBLIC LIMITED COMPANY | 0 | 188.183 | 188.183 |
| **D | PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 0 | 137.656 | 137.656 |
| **D | THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 0 | 1.484.844 | 1.484.844 |
| **D | INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 0 | 34.010 | 34.010 |
| **D | LF MACQUARIE GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 972.410 | 972.410 |
| **D | PRINCIPAL FUNDS INC OVERSEAS FUND | 0 | 62.336 | 62.336 |
| **D | STANLIB FUNDS LIMITED | 0 | 904 | 904 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 0 | 87.467 | 87.467 |
| **D | TEXAS PERMANENT SCHOOL FUND CORPORATION | 0 | 642.892 | 642.892 |
| **D | ABB PENSION FUND | 0 | 1.772 | 1.772 |
| **D | INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 0 | 3.203 | 3.203 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND | 0 | 254.669 | 254.669 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 0 | 240.655 | 240.655 |
| **D | IMPERIAL GLOBAL EQUITY INCOME POOL | 0 | 50.306 | 50.306 |
| **D | IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 0 | 83.081 | 83.081 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 0 | 342.040 | 342.040 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | 0 | 1.646 | 1.646 |
| **D | BLACKROCK GLOBAL FUNDS | 0 | 630.583 | 630.583 |
| **D | XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 0 | 12.693 | 12.693 |
| **D | CANADA LIFE DIVERSIFIED REAL ASSETS FUND | 0 | 35.307 | 35.307 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 0 | 2.611 | 2.611 |
| **D | VOYA INTERNATIONAL INDEX PORTFOLIO | 0 | 136.776 | 136.776 |
| **D | COUNSEL DEFENSIVE GLOBAL EQUITY | 0 | 3.192 | 3.192 |
| **D | NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POWER PLANT 3.546 |
0 | 3.546 | |
| **D | ARIZONA PSPRS TRUST | 0 | 279.283 | 279.283 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 0 | 272.518 | 272.518 |
| **D | SEMPRA ENERGY PENSION MASTER TRUST | 0 | 18.098 | 18.098 |
| **D | DELAWARE GLOBAL LISTED REAL ASSETS FUND | 0 | 219.123 | 219.123 |
| **D | KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 0 | 10.488 | 10.488 |
| **D | BLACKROCK LIFE LTD | 0 | 551.132 | 551.132 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 3.724.077 | 3.724.077 |
| **D | XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 0 | 96.239 | 96.239 |
| **D | THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 0 | 2.588.006 | 2.588.006 |
| **D | STANDARD BANK OF SOUTH AFRICA LTD | 0 | 25.687 | 25.687 |
| **D | FARMERS GROUP INC 401 K SAVINGS PLAN | 0 | 1.281.614 | 1.281.614 |
Pagina 20
Assemblea Ordinaria del 07 maggio 2024
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 0 | 665.720 | 665.720 |
| **D | MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 0 | 74.878 | 74.878 |
| **D | XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 0 | 9.785 | 9.785 |
| **D | MACK EAFE EQUITY POOL | 0 | 51.638 | 51.638 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 123.074 | 123.074 |
| **D | FEDERATED HERMES INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND | 0 | 3.703.925 | 3.703.925 |
| **D | FEDERATED HERMES INTERNATIONAL DIVIDEND STRATEGY PORTFOLIO | 0 | 818.200 | 818.200 |
| **D | FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 0 | 5.832.158 | 5.832.158 |
| **D | CITIGROUP PENSION PLAN | 0 | 194.371 | 194.371 |
| **D | BNY MELLON INTERNATIONAL STOCK INDEX FUND | 0 | 40.181 | 40.181 |
| **D | MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 0 | 7.869 | 7.869 |
| **D | GLOBAL X MSCI SUPERDIVIDEND EAFE ETF | 0 | 38.560 | 38.560 |
| **D | GLOBAL X SANDP CATHOLIC VALUES DEVELOPED EX US ETF | 0 | 2.487 | 2.487 |
| **D | UPSTREAMCO PENSION TRUST | 0 | 53.720 | 53.720 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT | 0 | 94.275 | 94.275 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT GMBH | 0 | 59.049 | 59.049 |
| **D | INVESCO S AND P INTERNATIONAL DEVELOPED LOW VOLATILITY ETF | 0 | 415.026 | 415.026 |
| **D | FIRST TRUST HORIZON MANAGED VOLATILITY DEVELOPED INTERNATIONAL ETF | 0 | 26.340 | 26.340 |
| **D | VIRTUS WMC INTERNATIONAL DIVIDEND ETF | 0 | 5.802 | 5.802 |
| **D | TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 0 | 15.059.413 | 15.059.413 |
| **D | FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 0 | 26.052 | 26.052 |
| **D | DIOCESE OF VENICE PENSION PLAN AND TRUST | 0 | 906 | 906 |
| **D | PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 0 | 2.541.261 | 2.541.261 |
| **D | MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF OMAN | 0 | 80.350 | 80.350 |
| **D | STICHTING PENSIOENFONDS UWV | 0 | 148.374 | 148.374 |
| **D | NATIONAL TREASURY MANAGEMENT AGCY | 0 | 68.686 | 68.686 |
| **D | NSP MONTICELLO MINNESOTA RETAIL | 0 | 19.314 | 19.314 |
| **D | NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 0 | 6.330 | 6.330 |
| **D | NSP MINNESEOTA RETAIL PRAIRIE II | 0 | 13.281 | 13.281 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING FOR ACCOUNT OF BPT | 0 | 21.382 | 21.382 |
| **D | VANGUARD INTL HIGH DIV YLD INDEX FD | 0 | 1.365.146 | 1.365.146 |
| **D | GOLDMAN SACHS GLOBAL INFRASTRUCTURE FUND | 0 | 523.532 | 523.532 |
| **D | PGE CORPORATION RETIREMENT MASTER TRUST | 0 | 306.616 | 306.616 |
| **D | PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO | 0 | 292.613 | 292.613 |
| **D | KOOKMIN BANK ACTING AS TRUSTEE OF HANA ALTERNATIVE ASSET DWS GLOBAL LISTED INFRASTRUCTURE QUALIFIED | 0 | 144.930 | |
| 144.930 | ||||
| **D | STICHTING PENSIOENFONDS HOOGOVENS | 0 | 94.533 | 94.533 |
| **D | DEAM FONDS ZDV | 0 | 17.644 | 17.644 |
| **D | FIDELITY SAI INTERNATIONAL INDEX FUND | 0 | 801.674 | 801.674 |
| **D | SHELL CANADA 2007 PENSION PLAN | 0 | 1.754 | 1.754 |
| **D | AURION GLOBAL EQUITY FUND | 0 | 7.302 | 7.302 |
| **D | AZL INTERNATIONAL INDEX FUND | 0 | 153.285 | 153.285 |
| **D | AZL DFA INTERNATIONAL CORE EQUITY FUND | 0 | 15.113 | 15.113 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AGF SYSTEMATIC GLOBAL INFRASTRUCTURE ETF | 0 | 619.547 | 619.547 |
| **D | XTRACKERS MSCI ALL WORLD EX US HIGH DIVIDEND YIELD EQUITY E | 0 | 5.349 | 5.349 |
| **D | XTRACKERS MSCI EAFE HIGH DIVIDEND YIELD EQUITY ETF | 0 | 1.140.106 | 1.140.106 |
| **D | COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 0 | 742.002 | 742.002 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE STATE OF HAWAII | 0 | 848.815 | 848.815 |
| **D | LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST 290.738 |
0 | 290.738 | |
| **D | SIEMENS BALANCED | 0 | 42.573 | 42.573 |
| **D | SISTERS OF CHARITY OF LEAVENWORTH HEALTH SYSTEM MASTER TRUST | 0 | 117.893 | 117.893 |
| **D | ISHARES PUBLIC LIMITED COMPANY | 0 | 749.843 | 749.843 |
| **D | ALASKA PERMANENT FUND CORPORATION | 0 | 2.491.542 | 2.491.542 |
| **D | GENERAL SYNOD PENSION PLAN | 0 | 62.824 | 62.824 |
| **D | PMPT INKA FONDS | 0 | 105.701 | 105.701 |
| **D | INKA PBEAKK | 0 | 832.929 | 832.929 |
| **D | COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR | 0 | 323.267 | 323.267 |
| **D | MICROSOFT CORPORATION | 0 | 13.830 | 13.830 |
| **D | IVY APOLLO MULTI ASSET INCOME FUND | 0 | 85.717 | 85.717 |
| **D | LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 0 | 2.627.978 | 2.627.978 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 0 | 931.725 | 931.725 |
| **D | RETIREMENT BENEFITS INVESTMENT FUND | 0 | 16.418 | 16.418 |
| **D | CITY OF AUSTIN EMPLOYEES RETIREMENT SYSTEM | 0 | 120.596 | 120.596 |
| **D | POOL REINSURANCE CO LTD | 0 | 13.584 | 13.584 |
| **D | PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 0 | 9.464 | 9.464 |
| **D | HEALTHCARE EMPLOYEES PENSION PLAN MANITOBA | 0 | 880.819 | 880.819 |
| **D | LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL | 0 | ||
| 1.872.859 | 1.872.859 | |||
| **D | FLORIDA RETIREMENT SYSTEM TRUST FUND | 0 | 77 | 77 |
| **D | PENSION RESERVES INVESTMENT TRUST FUND | 0 | 4.350.853 | 4.350.853 |
| **D | HIGHMARK INC | 0 | 188.400 | 188.400 |
| **D | SOUTH DAKOTA RETIREMENT SYSTEM | 0 | 96.400 | 96.400 |
| **D | THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 0 | 1.127 | 1.127 |
| **D | DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 0 | 69.015 | 69.015 |
| **D | QUALITY EDUCATION FUND | 0 | 3.990 | 3.990 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 0 | 197.900 | 197.900 |
| **D | ADVANCE PLANNING LIMITED | 0 | 5.210 | 5.210 |
| **D | DIGNITY PRE ARRANGEMENT LIMITED | 0 | 7.377 | 7.377 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 0 | 53.397 | 53.397 |
| **D | BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA | 0 | 46.837 | 46.837 |
| **D | HSBC GLOBAL EQUITY VOLATILITY FOCUSED FUND | 0 | 75.593 | 75.593 |
| **D | HSBC INTERNATIONAL EQUITY INDEX FUND | 0 | 26.935 | 26.935 |
| **D | SOUTH CAROLINA RETIREMENT SYSTEMS GROUP TRUST | 0 | 247.270 | 247.270 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR | 0 | 5.136 | 5.136 |
| **D | STICHTING BEDRIJFSPENSIOENFONDS VOOR HET | 0 | 5.972 | 5.972 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 0 | 6.716 | 6.716 |
| **D | ENERGY INSURANCE MUTUAL LIMITED | 0 | 10.266 | 10.266 |
| **D | MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 0 | 9.984 | 9.984 |
| **D | METROPOLITAN LIFE INSURANCE COMPANY | 0 | 80.366 | 80.366 |
| **D | IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 0 | 101.216 | 101.216 |
| **D | MET WAT REC DST RF NRN TRUST GLV 997261 | 0 | 4.357 | 4.357 |
| **D | BOCI PRUDENTIAL TRUSTEE LIMITED BOCPIFS EUIF | 0 | 110.361 | 110.361 |
| **D | SEEYOND | 0 | 150.645 | 150.645 |
| **D | ICP PLACEMENT | 0 | 5.185 | 5.185 |
| **D | SILVER AMUNDI EUROPE EQUITY CO | 0 | 182.193 | 182.193 |
| **D | PROCURA FONDS TAUBE BL ACCOUNT | 0 | 11.840 | 11.840 |
| **D | OFI INVEST DYNAMIQUE MONDE | 0 | 66.834 | 66.834 |
| **D | OFI INVEST EQUILIBRE MONDE | 0 | 66.354 | 66.354 |
| **D | AFS ICAV GLOBAL MULTI ASSET GR | 0 | 12.792 | 12.792 |
| **D | ECOFIN SUSTAINABLE LISTED INFR | 0 | 10.238 | 10.238 |
| **D | LYXOR FTSE MIB UCITS ETF | 0 | 1.968.642 | 1.968.642 |
| **D | LYXOR MSCI EUROPE UCITS ETF | 0 | 148.347 | 148.347 |
| **D | SG ACTIONS EURO RENDEMENT ISR | 0 | 74.385 | 74.385 |
| **D | SG ACTIONS ENERGIE EUROPE | 0 | 77.606 | 77.606 |
| **D | SG ACTIONS INTERNATIONALES | 0 | 62.014 | 62.014 |
| **D | OFI INVEST ESG EURO EQUITY SMA | 0 | 298.065 | 298.065 |
| **D | SG BLACKROCK FLEXIBLE ISR | 0 | 12.677 | 12.677 |
| **D | LYXINDEX FUND - LYXOR MSCI EMU |
0 | 114.629 | 114.629 |
| **D | MULTI UNITS LUX-LYXOR CORE MSC | 0 | 166.453 | 166.453 |
| **D | LYXOR CORE MSCI WORLD (DR) UCI | 0 | 119.505 | 119.505 |
| **D | MUL- LYX FTSE IT ALL CAP PIR 2 |
0 | 55.707 | 55.707 |
| **D | LIF-LYXOR MSCI WORLD CATHOL PR | 0 | 24.303 | 24.303 |
| **D | ASI - PROGETTO SVILUPPO GLOBAL |
0 | 382.754 | 382.754 |
| **D | PSSF-PROGETTO AZIONE SOSTENIBI | 0 | 3.806 | 3.806 |
| **D | ASI - PROGETTO AZIONE SOSTENIB |
0 | 5.045 | 5.045 |
| **D | AMIF - EMU EQUITY |
0 | 137.392 | 137.392 |
| **D | AMIF - EUROPEAN EQUITY |
0 | 183.689 | 183.689 |
| **D | AIF- TACTICAL PORTFOLIO INCOME |
0 | 51.772 | 51.772 |
| **D | AMUNDI TOTAL RETURN | 0 | 61.771 | 61.771 |
| **D | ASI - BILANCIATO PERCORSO ATTI |
0 | 71.511 | 71.511 |
| **D | ASI BIL PER ATTIVO III | 0 | 50.265 | 50.265 |
| **D | MULTI UNITS LUX AM STX EU 600 | 0 | 2.011.991 | 2.011.991 |
| **D | AIF-MULTI-ASSET TEODORICO | 0 | 79.782 | 79.782 |
| **D | AMUNDI SGR SPA/SECONDAPENSIONE FONDO PENSIONE APERTO | 0 | 2.048.222 | 2.048.222 |
| **D | AMUNDI SGR SPA / AMUNDI RISPARMIO ITALIA | 0 | 826.883 | 826.883 |
| **D | AMUNDI SGR SPA/AMUNDI SVILUPPO ATTIVO ITALIA | 0 | 1.775.000 | 1.775.000 |
| **D | AMUNDI SGR SPA/CORE PENSION FONDO PENSIONE APERTO | 0 | 877.050 | 877.050 |
| **D | AMUNDI SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE | 0 | 584.657 | 584.657 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI SGR SPA / AMUNDI BILANCIATO PIU` | 0 | 358.368 | 358.368 |
| **D | AMUNDI SGR SPA / OBBLIGAZIONARIO PIU` A DIS TRIBUZIONE | 0 | 288.533 | 288.533 |
| **D | CHERRY TREE FUND A SERIES TRUS | 0 | 1.271.825 | 1.271.825 |
| **D | SEI GLOBAL MASTER FUND PLC THE | 0 | 16.433 | 16.433 |
| **D | AB SICAV III - DYNAMIC ALL MAR |
0 | 5.132 | 5.132 |
| **D | KOKUSAI EQUITY INDEX FUND, A S | 0 | 46.838 | 46.838 |
| **D | MORGAN STANLEY PATHWAY FUNDS - | 0 | 58.564 | 58.564 |
| **D | CNS GLOBAL LIST INFRASTRUCTURE | 0 | 348.484 | 348.484 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE | 0 | 946.408 | 946.408 |
| **D | NORTHERN LIGHTS FUND TRUST IV | 0 | 58.760 | 58.760 |
| **D | BRIDGE BUILDER INTERNATIONAL E | 0 | 33.092.791 | 33.092.791 |
| **D | INSPIRE INTERNATIONAL ETF | 0 | 302.830 | 302.830 |
| **D | BLK MAGI FUND A SERIES TRUST O | 0 | 410 | 410 |
| **D | BRIDGE BUILDER TAX MANAGED | 0 | 18.398 | 18.398 |
| **D | DESTINATIONS INTERNATIONAL EQU | 0 | 51.082 | 51.082 |
| **D | BLACKROCK GLOBAL ALLOCATION FU | 0 | 448.635 | 448.635 |
| **D | AB CAYMAN MASTER TRUST - GLOBA |
0 | 75.731 | 75.731 |
| **D | AMUNDI AUSTRIA | 0 | 47.082 | 47.082 |
| **D | MLC INVESTMENTS MLC LIMITED | 0 | 182.241 | 182.241 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II |
0 | 805.669 | 805.669 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE |
0 | 269.492 | 269.492 |
| **D | MIGROS BANK (LUX) FONDS 30 | 0 | 3.200 | 3.200 |
| **D | MIGROS BANK (LUX) FONDS 40 (EUR) | 0 | 3.280 | 3.280 |
| **D | MIGROS BANK (LUX) FONDS 50 | 0 | 4.600 | 4.600 |
| **D | MIGROS BANK (LUX) FONDS INTERSTOCK | 0 | 6.200 | 6.200 |
| **D | UBS (LUX) SICAV 1 | 0 | 7.257 | 7.257 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
0 | 2.203 | 2.203 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) |
0 | 9.802 | 9.802 |
| **D | UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
0 | 8.330 | 8.330 |
| **D | STRATEGY SICAV | 0 | 10.846 | 10.846 |
| **D | UBS FUND MANAGEMENT(LUXEMBOURG) SA | 0 | 289.990 | 289.990 |
| **D | UBS (LUX) EQUITY SICAV - EUROPEAN - HIGH DIVIDEND (EUR) |
0 | 362.788 | 362.788 |
| **D | UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 0 | 3.951 | 3.951 |
| **D | UBS (LUX) EQUITY SICAV - EURO COUNTRIES INCOME |
0 | 681.914 | 681.914 |
| **D | LGIASUPER | 0 | 129.085 | 129.085 |
| **D | PRIME SUPER | 0 | 3.141 | 3.141 |
| **D | GENERATION LIFE LIMITED | 0 | 138.074 | 138.074 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 0 | 413.448 | 413.448 |
| **D | STIHL INTERNATIONAL GMBH | 0 | 780.849 | 780.849 |
| **D | NORGES BANK | 0 | 19.171.615 | 19.171.615 |
| **D | AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 0 | 2.776 | 2.776 |
| **D | FONDS DE PLACEMENT PROMUTUEL GROUPE PROMUTUEL FEDERATION DE SOCIETES MUTUELLES DASSURANCE GENERALE 91.715 |
0 | 91.715 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| D ASSET MANAGEMENT EXCHANGE UCITS CCF. 0 1.536.625 1.536.625 D ASSET MANAGEMENT EXCHANGE UCITS CCF. 0 2.162.834 2.162.834 D LGIM MANAGERS (EUROPE) LIMITED 0 1.272.267 1.272.267 D GENERAL ORGANISATION FOR SOCIAL INSURANCE. 0 1.616.406 1.616.406 D INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND 0 440.640 440.640 D INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT 0 31.366 31.366 D INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN 0 205.880 205.880 D WHEELS COMMON INVESTMENT FUND. 0 3.585 3.585 D CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS. 0 17.657 17.657 D STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL 0 207.035 207.035 D LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND 0 35.491 35.491 D LEGAL & GENERAL GLOBAL INFRASTRUCTURE INDEX FUND 0 1.806.933 1.806.933 D LEGAL & GENERAL FUTURE WORLD CLIMATE CHANGE EQUITY FACTORS I 0 5.969 5.969 D LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND 0 74.003 74.003 D LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND 0 31.528 31.528 D LEGAL & GENERAL EUROPEAN INDEX TRUST 0 1.201.772 1.201.772 D LEGAL AND GENERAL INTERNATIONAL INDEX TRUST 0 241.405 241.405 D GARD UNIT TRUST 0 33.808 33.808 D MONDRIAN FUNDS PLC 0 111.898 111.898 D ATLAS GLOBAL INFRASTRUCTURE UCITS ICAV 0 18.118.323 18.118.323 D BARINGS INTERNATIONAL UMBRELLA FUND 0 144.748 144.748 D STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST 0 13.024 13.024 D MFG INVESTMENT FUND PLC 0 229.958 229.958 D OSMOSIS ICAV 0 15.780 15.780 D LEGAL & GENERAL ICAV. 0 873 873 D NORTHERN TRUST UCITS FGR FUND 0 318.021 318.021 D SCHLUMBERGER INTERNATIONAL STAFF RETIREMENT FUND FCP-SIF. 0 9.119 9.119 D VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS. 0 95.336 95.336 D VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEKS 0 354.942 354.942 D PUBLIC SECTOR PENSION INVESTMENT BOARD. 0 11.020 11.020 D SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. 0 2.166.601 2.166.601 D TRUST FOR RETIREE MEDICAL DENTAL AND LIFE INSURANCE OF THE 0 70.132 70.132 D THE RETIREMENT ANNUITY PLAN FOR EMPLOYEES OF THE ARMY AND AI 0 156.921 156.921 D CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. 0 935.515 935.515 D CSAA INSURANCE EXCHANGE 0 12.833 12.833 D NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING 0 98.840 98.840 D SCHLUMBERGER GROUP TRUST AGREEMENT 0 48.715 48.715 D MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT PLANS 0 14.272 14.272 D NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX-US F 0 114.460 114.460 D GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND 0 14.190 14.190 D RETURN TO WORK CORPORATION OF SOUTH AUSTRALIA 0 817.839 817.839 D THE MINDEROO FOUNDATION TRUST 0 11.576 11.576 |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| **D | EQUIPSUPER | 0 | 46.730 | 46.730 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | STICHTING PENSIOENFONDS SAGITTARIUS | 0 | 46.247 | 46.247 |
| **D | STICHTING HEINEKEN PENSIOENFONDS | 0 | 25.192 | 25.192 |
| **D | STICHTING PENSIOENFONDS APF. | 0 | 244.201 | 244.201 |
| **D | STICHTING PME PENSIOENFONDS | 0 | 280.987 | 280.987 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 0 | 9.516.731 | 9.516.731 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F | 0 | 347.915 | 347.915 |
| **D | FUTURE FUND INVESTMENT COMPANY NO.2 PTY LTD | 0 | 4.700.000 | 4.700.000 |
| **D | MRFF INVESTMENT COMPANY NO. 2 PTY LTD. | 0 | 575.546 | 575.546 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. | 0 | 81.261 | 81.261 |
| **D | NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 0 | 2.426.992 | 2.426.992 |
| **D | UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 0 | 12.116 | 12.116 |
| **D | THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 0 | 19.687 | 19.687 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE CIT | 0 | 971.248 | 971.248 |
| **D | FIDELITY INVESTMENTS CHARITABLE GIFT FUND DTD 8/18/2009 | 0 | 20.374 | 20.374 |
| **D | STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 0 | 5.250 | 5.250 |
| **D | EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 0 | 409.462 | 409.462 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | 0 | 96.190 | 96.190 |
| **D | R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 3.700 | 3.700 |
| **D | RUTGERS THE STATE UNIVERSITY | 0 | 23.624 | 23.624 |
| **D | PCA TAX SHELTERED ANNUITY PLAN | 0 | 10.740 | 10.740 |
| **D | CSX CORP MASTER PENSION TRUST | 0 | 70.380 | 70.380 |
| **D | CONSTELLATION FITZPATRICK QUALIFIED FUND | 0 | 9.186 | 9.186 |
| **D | CONSUMERS ENERGY COMPANY NON-UNION WELFARE BENEFIT TRUST TO PROVIDE FOR RETIREE HEALTH CARE AND | 0 | 4.859 | 4.859 |
| **D | MASTER TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL | 0 | 203.520 | 203.520 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT TWO QUALIFIED FUND | 0 | 4.800 | 4.800 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 0 | 200 | 200 |
| **D | THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT | 0 | 41 | 41 |
| **D | THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 0 | 31.443 | 31.443 |
| **D | ADVOCATE HEALTH AND HOSPITALS CORPORATION | 0 | 3.417.245 | 3.417.245 |
| **D | JOSHUA GREEN CORPORATION | 0 | 11.829 | 11.829 |
| **D | IBM PERSONAL PENSION PLAN TRUST | 0 | 5.206 | 5.206 |
| **D | NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 0 | 21.500 | 21.500 |
| **D | PFIZER INC. MASTER TRUST | 0 | 459.887 | 459.887 |
| **D | MOZILLA CORPORATION | 0 | 3.285 | 3.285 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 0 | 305.710 | 305.710 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE O | 0 | 26.251 | 26.251 |
| **D | WILSHIRE MULTI-MANAGER REAL ASSET FUND | 0 | 32.589 | 32.589 |
| **D | UNITED SERVICES AUTOMOBILE ASSOCIATION | 0 | 39.608 | 39.608 |
| **D | HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE | 0 | 1.191.901 | 1.191.901 |
| **D | HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 0 | 47.896 | 47.896 |
| **D | THE BOARD OF MANAGEMENT OF THE CHINESE PERMANENT CEMETERIES | 0 | 8.923 | 8.923 |
| **D | BEAT DRUGS FUND ASSOCIATION | 0 | 2.621 | 2.621 |
| **D | CARNELIAN INVESTMENT MANAGEMENT LLC. | 0 | 17.110 | 17.110 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| D CARROLL AVENUE PARTNERS LLC. 0 707 D EVA VALLEY MA1 LLC 0 13.180 D FUNDO DE PENSOES 0 20.946 D DILLON MARKETABLE SECURITIES COMMON TRUST FUND. 0 11.468 D DFI LP EQUITY (PASSIVE 0 1.373 D DYNASTY INVEST LTD 0 4.845 D ALICE L WALTON CHARITABLE LLC 0 571.708 D FIDDLER PARTNERS LLC 0 1.095 D FOURTH AVENUE INVESTMENT COMPANY LIMITED PARTNERSHIP 0 28.854 D HAWTHORN DM LLC 0 30.202 D INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST 0 3.938 D PINK CALI LLC 0 81 D OMEGA FFIP LIMITED PARTNERSHIP 0 3.407 D HAWAII LLC 0 14.549 D MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP. 0 824.536 D BUILDERS ASSET MANAGEMENT LLC 0 55.623 D LEHMAN-STAMM FAMILY PARTNERS LLC 0 264 D LEGAL & GENERAL MSCI EAFE FUND LLC 0 143.531 D METIS EQUITY TRUST- METIS INTERNATIONAL CLIMATE ALIGNED INDE 0 20.900 D MONDRIAN INTERNATIONAL EQUITY ESG FUND L.P 0 536.790 D MONDRIAN INTERNATIONAL EQUITY FOCUSED FUND L.P. 0 263.597 D NELKE PARTNERSHIP 0 8.665 D INTERNATIONAL EQUITY FUND LLC 0 16.312 D HOLTEC INDIAN POINT 3 LLC MASTER DECOMMISSIONING TRUST 0 22.393 D AVALON PORTFOLIO II LLC 0 426 D 801 INVESTMENTS LLC 0 9.547 D RTPIP LP 0 2.467 D FCM INTERNATIONAL LLC 0 4.450 D ZOMA CAPITAL PORTFOLIO LLC. 0 19.875 D THYSSEN GLOBAL INVESTMENTS CORP. 0 1.673 D GLOBAL BOND FUND WAYCROSSE INC 0 185.502 D MFC INTERNATIONAL FUND LLC 0 15.782 D GLOBAL EQUITY SERIES OF SALT CREEK INVESTMENTS LLC 0 8.486 D SENTINEL INTERNATIONAL FUND 0 658 D SALIX LLC 0 38.659 D SLW PORTFOLIO LLC 0 1.778 **D PRO-GEN INVESTMENTS LLC 0 5.770 |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| 707 | |||||
| 13.180 | |||||
| 20.946 | |||||
| 11.468 | |||||
| 1.373 | |||||
| 4.845 | |||||
| 571.708 | |||||
| 1.095 | |||||
| 28.854 | |||||
| 30.202 | |||||
| 3.938 | |||||
| 81 | |||||
| 3.407 | |||||
| 14.549 | |||||
| 824.536 | |||||
| 55.623 | |||||
| 264 | |||||
| 143.531 | |||||
| 20.900 | |||||
| 536.790 | |||||
| 263.597 | |||||
| 8.665 | |||||
| 16.312 | |||||
| 22.393 | |||||
| 426 | |||||
| 9.547 | |||||
| 2.467 | |||||
| 4.450 | |||||
| 19.875 | |||||
| 1.673 | |||||
| 185.502 | |||||
| 15.782 | |||||
| 8.486 | |||||
| 658 | |||||
| 38.659 | |||||
| 1.778 | |||||
| 5.770 | |||||
| **D | CINDY SPRINGS LLC | 0 | 164.372 | 164.372 | |
| **D RUM CAY LP 0 9.483 |
9.483 | ||||
| **D RDM LIQUID LLC 0 57.800 |
57.800 | ||||
| **D K INVESTMENTS SH LIMITED. 0 198.313 |
198.313 | ||||
| **D LEGAL & GENERAL MSCI EAFE SL FUND LLC 0 145.559 |
145.559 | ||||
| **D MBB PUBLIC MARKETS I LLC 0 142.583 |
142.583 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PROVIDENCE ST. JOSEPH HEALTH LONG TERM PORTFOLIO | 0 | 5.321 | 5.321 |
| **D | FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 0 | 7.724 | 7.724 |
| **D | INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 0 | 129.532 | 129.532 |
| **D | MONDRIAN GLOBAL EQUITY FUND L.P | 0 | 435.781 | 435.781 |
| **D | MONDRIAN ALL COUNRIES WORLD EX-US EQUITY FUND L.P. GLOBAL I | 0 | 4.390.123 | 4.390.123 |
| **D | MONDRIAN INTERNATIONAL EQUITY FUND L.P. | 0 | 16.978.011 | 16.978.011 |
| **D | NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 0 | 551.197 | 551.197 |
| **D | CHEVRON UK PENSION PLAN | 0 | 8.657 | 8.657 |
| **D | FIFE COUNCIL PENSION FUND | 0 | 301.207 | 301.207 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 19.238 | 19.238 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 560.271 | 560.271 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND | 0 | 3.415.933 | 3.415.933 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 0 | 160.829 | 160.829 |
| **D | VI CAPITAL LTD. | 0 | 2.920 | 2.920 |
| **D | CBS INSURANCE COMPANY LIMITED | 0 | 2.726 | 2.726 |
| **D | STATE UNIVERSITIES RETIREMENT SYSTEM | 0 | 2.420.326 | 2.420.326 |
| **D | COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA | 0 | 21.148 | 21.148 |
| **D | MERCER PASSIVE INTERNATIONAL SHARES FUND | 0 | 124.772 | 124.772 |
| **D | MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 0 | 16.393 | 16.393 |
| **D | MERCER TAILORED 1 TRUST | 0 | 1.133.659 | 1.133.659 |
| **D | MERCER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 198.403 | 198.403 |
| **D | MAGELLAN INFRASTRUCTURE FUND (CURRENCY HEDGED) | 0 | 1.721.879 | 1.721.879 |
| **D | NT WORLD GREEN TRANSITION INDEX FUND | 0 | 2.465 | 2.465 |
| **D | INSURANCE COMMISSION OF WESTERN AUSTRALIA | 0 | 895.984 | 895.984 |
| **D | ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND | 0 | 4.597.232 | 4.597.232 |
| **D | AUSTRALIAN CAPITAL TERRITORY | 0 | 57.205 | 57.205 |
| **D | MERCER INDEXED INTERNATIONAL SHARES FUND | 0 | 150.054 | 150.054 |
| **D | INTERNATIONAL EQUITIES PASSIVE B UNIT TRUST | 0 | 3.595 | 3.595 |
| **D | SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL | 0 | 14.495 | 14.495 |
| **D | GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 0 | 338.432 | 338.432 |
| **D | MAGELLAN INFRASTRUCTURE FUND (UNHEDGED) | 0 | 2.054.837 | 2.054.837 |
| **D | QIC INTERNATIONAL EQUITIES FUND. | 0 | 16.964 | 16.964 |
| **D | MAGELLAN INFRASTRUCTURE FUND | 0 | 4.458.311 | 4.458.311 |
| **D | MAGELLAN CORE INFRASTRUCTURE FUND | 0 | 792.158 | 792.158 |
| **D | THE TRUSTEES OF THE HENRY SMITH CHARITY | 0 | 36.611 | 36.611 |
| **D | S. ROBSON WALTON 1999 CHILDRENS TRUST | 0 | 5.218 | 5.218 |
| **D | MOBIUS LIFE LIMITED | 0 | 31.044 | 31.044 |
| **D | HRW TESTAMENTARY TRUST NO. 1 | 0 | 14.863 | 14.863 |
| **D | HRW TESTAMENTARY TRUST NO. 3 | 0 | 17.306 | 17.306 |
| **D | S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 0 | 4.573 | 4.573 |
| **D | JOHN T. WALTON FAMILY TRUST | 0 | 50.037 | 50.037 |
| **D | HRW TESTAMENTARY TRUST NO. 6 | 0 | 1 | 1 |
| **D | HRW TESTAMENTARY TRUST NO. 4. | 0 | 5.361 | 5.361 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HRW TESTAMENTARY TRUST NO. 9. | 0 | 4.439 | 4.439 |
| **D | HRW TESTAMENTARY TRUST NO. 8. | 0 | 83.727 | 83.727 |
| **D | HRW TESTAMENTARY TRUST NO. 2 | 0 | 14.383 | 14.383 |
| **D | HRW TRUST NO. 4 UAD 01/17/03 | 0 | 137.420 | 137.420 |
| **D | HRW TESTAMENTARY TRUST NO. 5 | 0 | 6.947 | 6.947 |
| **D | HRW TESTAMENTARY TRUST NO. 12. | 0 | 13.597 | 13.597 |
| **D | HRW TRUST NO. 3 UAD 01/17/03 | 0 | 111.815 | 111.815 |
| **D | HRW TESTAMENTARY TRUST NO. 11. | 0 | 63.276 | 63.276 |
| **D | S. ROBSON WALTON 2010 TRUST | 0 | 8.791 | 8.791 |
| **D | HRW TRUST NO. 1 UAD 01/17/03 | 0 | 3.454 | 3.454 |
| **D | HRW TESTAMENTARY TRUST NO. 10. | 0 | 6.127 | 6.127 |
| **D | HRW TRUST NO. 2 UAD 01/17/03 | 0 | 14.918 | 14.918 |
| **D | PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS | 0 | 5.144 | 5.144 |
| **D | PRESBYTERIAN CHURCH (USA) FOUNDATION | 0 | 9.707 | 9.707 |
| **D | NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 0 | 4.225.300 | 4.225.300 |
| **D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 0 | 43.530 | 43.530 |
| **D | ARVEST FOUNDATION | 0 | 1.277 | 1.277 |
| **D | FALKIRK COUNCIL PENSION FUND | 0 | 418.449 | 418.449 |
| **D | FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 0 | 945.317 | 945.317 |
| **D | ESSENTIA HEALTH | 0 | 1.965 | 1.965 |
| **D | THE CALIFORNIA WELLNESS FOUNDATION | 0 | 13.453 | 13.453 |
| **D | RETIREMENT PLAN FOR CHICAGO TRANSIT AUTHORITY EMPLOYEES. | 0 | 27.315 | 27.315 |
| **D | CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 0 | 1.126 | 1.126 |
| **D | CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 4.746 | 4.746 |
| **D | ATRIUM HEALTH | 0 | 353.901 | 353.901 |
| **D | NORTHAMPTONSHIRE PENSION FUND | 0 | 6.868 | 6.868 |
| **D | ARIEL INTERNATIONAL FUND | 0 | 1.274.449 | 1.274.449 |
| **D | MICHIGAN CATHOLIC CONFERENCE | 0 | 13.823 | 13.823 |
| **D | NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND |
0 | 553.450 | 553.450 |
| **D | THE NEMOURS FOUNDATION PENSION PLAN | 0 | 1.940 | 1.940 |
| **D | NORTHERN MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 2.870.315 | 2.870.315 |
| **D | THE MOTOROLA PENSION SCHEME. | 0 | 65.616 | 65.616 |
| **D | THE MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND | 0 | 5.831 | 5.831 |
| **D | MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 0 | 6.408 | 6.408 |
| **D | JTW TRUST NO. 1 UAD 9/19/02. | 0 | 10.211 | 10.211 |
| **D | JTW TRUST NO. 3 UAD 9/19/02. | 0 | 10.536 | 10.536 |
| **D | JTW TRUST NO. 5 UAD 9/19/02. | 0 | 7.625 | 7.625 |
| **D | JTW TRUST NO. 2 UAD 9/19/02. | 0 | 12.155 | 12.155 |
| **D | JTW TRUST NO. 4 UAD 9/19/02. | 0 | 8.489 | 8.489 |
| **D | ILLINOIS MUNICIPAL RETIREMENT FUND | 0 | 5.767.768 | 5.767.768 |
| **D | CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 0 | 235.259 | 235.259 |
| **D | LOS ANGELES CITY EMPLOYEES` RETIREMENT SYSTEM. | 0 | 138.415 | 138.415 |
| **D | LOTHIAN PENSION FUND | 0 | 1.602.787 | 1.602.787 |
Azionisti: 1.817 Teste: 11 Azionisti in proprio: 9 Azionisti in delega: 1.808
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MORNINGSTAR UNCONSTRAINED ALLOCATION FUND A SERIES OF MORNINGSTAR FUNDS TRUST | 0 | 678.958 | 678.958 |
| **D | MONTGOMERY COUNTY CONSOLIDATED RETIREE HEALTH BENEFITS TRUST | 0 | 139.410 | 139.410 |
| **D | BAPTIST FOUNDATION OF TEXAS. | 0 | 440.014 | 440.014 |
| **D | NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 0 | 457.003 | 457.003 |
| **D | PROVIDENCE HEALTH & SERVICES CASH BALANCE RETIREMENT PLAN TR. | 0 | 3.897 | 3.897 |
| **D | GENERAL PENSION AND SOCIAL SECURITY AUTHORITY | 0 | 38.842 | 38.842 |
| **D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0 | 116.668 | 116.668 |
| **D | ALFRED I. DUPONT CHARITABLE TRUST | 0 | 36.804 | 36.804 |
| **D | ABU DHABI PENSION FUND | 0 | 91.748 | 91.748 |
| **D | WYOMING RETIREMENT SYSTEM | 0 | 22.318 | 22.318 |
| **D | GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 0 | 8.180 | 8.180 |
| **D | USAA GENERAL INDEMNITY COMPANY | 0 | 13.240 | 13.240 |
| **D | TEACHERS` RETIREMENT SYSTEM OF OKLAHOMA | 0 | 255.753 | 255.753 |
| **D | UTAH STATE RETIREMENT SYSTEMS | 0 | 268.360 | 268.360 |
| **D | USAA CASUALTY INSURANCE COMPANY | 0 | 23.563 | 23.563 |
| **D | SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 0 | 186.012 | 186.012 |
| **D | SAN MATEO COUNTY EMPLOYEES` RETIREMENT ASSOCIATION | 0 | 1.325.788 | 1.325.788 |
| **D | EMPLOYEES RETIREMENT FUND OF THE CITY OF DALLAS. | 0 | 122.926 | 122.926 |
| **D | FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 0 | 4.554 | 4.554 |
| **D | REGIME DE RETRAITE DU PERSONNEL DES CPE ET DES GARDERIES PRI | 0 | 206.908 | 206.908 |
| **D | BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 0 | 3.782.803 | 3.782.803 |
| **D | ACS 30:70 GLOBAL EQUITY TRACKER FUND | 0 | 100 | 100 |
| **D | BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 0 | 667.391 | 667.391 |
| **D | STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 0 | 1.758.477 | 1.758.477 |
| **D | LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 0 | 200.000 | 200.000 |
| **D | UBS COMMON CONTRACTUAL FUND | 0 | 32.420 | 32.420 |
| **D | THE LF ACCESS POOL AUTHORISED CONTRACTUAL SCHEME | 0 | 1.640.272 | 1.640.272 |
| **D | BLACKROCK UCITS CCF | 0 | 186.898 | 186.898 |
| **D | RECORD INVEST SCA SICAV RAIF | 0 | 8.612 | 8.612 |
| **D | KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | 0 | 204.196 | 204.196 |
| **D | ELO MUTUAL PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY | 0 | 406.937 | 406.937 |
| **D | NOTHERN TRUST LUXEMBOURG MANAGEMENT COMPANY SA ACTING IN ITS | 0 | 407.544 | 407.544 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF | 0 | 81.818 | 81.818 |
| **D | STICHTING PENSIOENFONDS PGB | 0 | 556.811 | 556.811 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. | 0 | 9.472 | 9.472 |
| **D | STICHTING PENSIOENFONDS OPENBARE BIBLIOTHEKEN | 0 | 9.180 | 9.180 |
| **D | FJARDE AP-FONDEN. | 0 | 2.112.866 | 2.112.866 |
| **D | ROBECO INSTITUTIONAL UMBRELLA FUND | 0 | 294.164 | 294.164 |
| **D | POINT72 LONDON INVESTMENTS LTD. | 0 | 5.695.419 | 5.695.419 |
| **D | D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 0 | 2.498 | 2.498 |
| **D | NORTH ROCK SPC - NR 1 SP |
0 | 211.223 | 211.223 |
| **D | DE SHAW US BROAD MARKET CORE ALPHA EXTENSION CUSTOM FUND II L.L.C. | 0 | 113.928 | 113.928 |
| **D | DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 0 | 269 | 269 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT L.P. PORTFOLIO MARGIN ACCT | 0 | 24.457 | 24.457 |
| **D | DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 0 | 7.816 | 7.816 |
| **D | D.E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS II L.L.C | 0 | 1.099 | 1.099 |
| **D | BG MASTER FUND ICAV | 0 | 403 | 403 |
| **D | CM GRAT LLC | 0 | 1.417 | 1.417 |
| **D | ROSEDENE LLC | 0 | 4.415 | 4.415 |
| **D | SPRING 625 | 0 | 48.014 | 48.014 |
| **D | THE CHERYL D DUFFIELD TRUST UAD 09/12/96 CHERYL D DUFFIELD TTEE | 0 | 1.207 | 1.207 |
| **D | THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 0 | 25.982 | 25.982 |
| **D | LGT SELECT EQUITY GLOBAL | 0 | 1.096.632 | 1.096.632 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL CONVERTIBLE FUND |
0 | 120.039 | 120.039 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL LISTED INFRASTRU |
0 | 1.229.309 | 1.229.309 |
| **D | VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE |
0 | 103.691 | 103.691 |
| **D | MACT - SIF |
0 | 16.867 | 16.867 |
| **D | GBPO - QCF - GLOBAL BALANCED POOL |
0 | 5.997 | 5.997 |
| **D | UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO |
0 | 183.243 | 183.243 |
| **D | CDIL WHITEHELM CAP LS CR INFS FD | 0 | 1.078.824 | 1.078.824 |
| **D | CMLA INDEXED GLOBAL SHARE FUND | 0 | 7.056 | 7.056 |
| **D | JOHN HANCOCK FUNDS III GLOBAL SHAREHOLDER YIELD FUND | 0 | 2.947.350 | 2.947.350 |
| **D | JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. | 0 | 68.097 | 68.097 |
| **D | PRUDENTIAL ASSURANCE COMPANY SINGAPORE (PTE) LTD | 0 | 391.460 | 391.460 |
| **D | SCHWAB INTERNATIONAL INDEX FUND | 0 | 1.162.786 | 1.162.786 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX FUND | 0 | 235.198 | 235.198 |
| **D | TIMOTHY PLAN MARKET NEUTRAL ETF | 0 | 43.011 | 43.011 |
| **D | COLONIAL FIRST STATE INVESTMENT FUND 50. | 0 | 29.053 | 29.053 |
| **D | COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 0 | 110.842 | 110.842 |
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 6. | 0 | 988.762 | 988.762 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES FUND1 | 0 | 1.317.314 | 1.317.314 |
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 7 | 0 | 1.159.045 | 1.159.045 |
| **D | WM POOL - EQUITIES TRUST NO. 31 - ROBECO |
0 | 2.508 | 2.508 |
| **D | ONEMARKETS ITALY ICAV | 0 | 53.241 | 53.241 |
| **D | LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 0 | 18.670.981 | 18.670.981 |
| **D | ILA-LA WORLD ESG SCREENED FUND | 0 | 15.566 | 15.566 |
| **D | ILA - RAFIMF |
0 | 16.692 | 16.692 |
| **D | ILA-A-ILSDMH | 0 | 372.296 | 372.296 |
| **D | IRISH LIFE ASSURANCE. | 0 | 174.452 | 174.452 |
| **D | ILA-ILSEAFE - SUSTAINABLE EAFE EQUITY |
0 | 99.192 | 99.192 |
| **D | ILA - A-ILGLOEQN |
0 | 3.318 | 3.318 |
| **D | ILA - A-ILDSCG |
0 | 9.927 | 9.927 |
| **D | ILA - A-ILGLOEQG |
0 | 14.859 | 14.859 |
| **D | IRISH LIFE ASSURANCE PLC | 0 | 1.756.389 | 1.756.389 |
| **D | ILA - A-ILEZEQG |
0 | 46.146 | 46.146 |
| **D | ILA - A-ILHYEQG |
0 | 47.532 | 47.532 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AEGON CUSTODY B.V. | 0 | 609.460 | 609.460 |
| **D | STICHTING PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES | 0 | 189.314 | 189.314 |
| **D | STICHTING MN SERVICES | 0 | 633.669 | 633.669 |
| **D | LARGE CAP INTL PORTFOLIO OF DFA INV | 0 | 381.578 | 381.578 |
| **D | STICHTING MN SERVICES AANDELENFO ND | 0 | 118.691 | 118.691 |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LTD PMC FTSE TPI GLOBAL (EX FOSSIL FUELS) EQUITY INDEX FUND 29.573 |
0 | 29.573 | |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED | 0 | 327.393 | 327.393 |
| **D | LEGAL & GENERAL ASSURANCE SOCIETY LIMITED | 0 | 13.693 | 13.693 |
| **D | TSGX SOLACT ESG TBACO EX UNHG(3387) | 0 | 8.468 | 8.468 |
| **D | FUTURE WORLD DEVELOPED EQUITY INDEX FUND (3500) | 0 | 11.986 | 11.986 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 | 0 | 61.059 | 61.059 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 RAFI FUNDAMENTAL GLOBAL EQUITY LOW CARBON TRANSITION INDEX FUND3495 | 0 | 109.336 | 109.336 |
| **D | OETGEN COMMUNITY PROPERTY TRUST DTD 12/24/2008 AS AMENDED A | 0 | 6.124 | 6.124 |
| **D | CFSIL RE CNEALTH GS FD 16 | 0 | 45.140 | 45.140 |
| **D | INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC | 0 | 1.641.266 | 1.641.266 |
| **D | MANULIFE GLOBAL FUND (SICA | 0 | 93.165 | 93.165 |
| **D | CFSIL RE COMM GLB INFRA SEC FD 2 | 0 | 1.510.343 | 1.510.343 |
| **D | NMTB/NIK KOKUSAI-NH 935026 | 0 | 91.120 | 91.120 |
| **D | NMTB/NIK KOKUSAI-H 935034 | 0 | 7.266 | 7.266 |
| **D | BERESFORD FUNDS ICAV | 0 | 8.326 | 8.326 |
| **D | CFSIL-CFS GLOBAL SHARE FD 20 | 0 | 251.182 | 251.182 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE FUND 3 | 0 | 604.081 | 604.081 |
| **D | STICHTING PGGM DEPOSITARY | 0 | 1.205.227 | 1.205.227 |
| **D | PGGM SPD (DMAEMFGL)PGGM SPD DMAE MULTIFACTOR GLOBAL | 0 | 1.384.441 | 1.384.441 |
| **D | NATIONAL COUNCIL FOR SOCIAL SEC FUND | 0 | 39.645 | 39.645 |
| **D | TWO SIGMA INTERNATIONAL CORE | 0 | 29 | 29 |
| **D | BUREAU OF PUBLIC SERVICE PENSION FUND | 0 | 935.640 | 935.640 |
| **D | LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 0 | 6.086.133 | 6.086.133 |
| **D | HUTCHISON PROVIDENT FUND. | 0 | 24.710 | 24.710 |
| **D | VICTORY MARKET NEUTRAL INCOMEFUND | 0 | 1.870.673 | 1.870.673 |
| **D | SAMSUNG GLOBAL CORE EQUITY FUND | 0 | 4.767 | 4.767 |
| **D | VICTORY RS GLOBAL FUND | 0 | 1.040.398 | 1.040.398 |
| **D | VICTORY RS INTERNATIONAL FUND | 0 | 839.745 | 839.745 |
| **D | VICTORY RS INTERNATIONAL VIPSERIES | 0 | 249.165 | 249.165 |
| **D | JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND | 0 | 349.211 | 349.211 |
| **D | CITITRUST LIMITED | 0 | 58.878 | 58.878 |
| **D | VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 0 | 20.034 | 20.034 |
| **D | VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 0 | 52.674 | 52.674 |
| **D | CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND | 0 | 32.235 | 32.235 |
| **D | VICTORYSHARES INTERNATIONAL HIGHDIV VOLATILITY WTD INDEX ETF | 0 | 47.766 | 47.766 |
| **D | HOSTPLUS POOLED SUPERANNUATION TRUST | 0 | 196.122 | 196.122 |
| **D | AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE FUND | 0 | 332.696 | 332.696 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ABRDN OEIC IV-ABRDN EUROPEAN EQUITY TRACKER FUND | 0 | 116.717 | 116.717 |
| **D | VICTORY CAPITAL GROWTH FUND | 0 | 338.435 | 338.435 |
| **D | VICTORY INTERNATIONAL FUND | 0 | 2.863.409 | 2.863.409 |
| **D | VICTORY SUSTAINABLE WORLD FUND | 0 | 959.373 | 959.373 |
| **D | TIMOTHY PLAN INTERNATIONAL ETF. | 0 | 81.054 | 81.054 |
| **D | THE NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN | 0 | 7.941 | 7.941 |
| **D | UAPF - BLACK ROCK PASSIVE EQUITY |
0 | 9.844 | 9.844 |
| **D | UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 0 | 9.472 | 9.472 |
| **D | MARSHALL WACE MASTER FUNDS SPC-SP ALPHA PLUS FUND | 0 | 22.692 | 22.692 |
| **D | MAN INSIGHT LIMITED | 0 | 327 | 327 |
| **D | MARSHALL WACE INVESTMENT STRATEGIES-WORLD TOPS ENVIRONMENTAL | 0 | 9.116 | 9.116 |
| **D | MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED | 0 | 6.000 | 6.000 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND | 0 | 46.925 | 46.925 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND - CLASS N |
0 | 2.813 | 2.813 |
| **D | NBIMC PUBLIC INFRASTRUCTURE (2017) FUND. | 0 | 44.745 | 44.745 |
| **D | MERCER PRIVATE WEALTH REAL ASSETS POOL | 0 | 37.816 | 37.816 |
| **D | FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 0 | 138.219 | 138.219 |
| **D | BIMCOR GLOBAL DIVIDEND YIELD POOLED FUND | 0 | 12.982 | 12.982 |
| **D | NORTHWATER ENHANCED IMMUNIZATION TRUST II | 0 | 20.728 | 20.728 |
| **D | BOMBARDIER TRUST (CANADA) REAL RETURN ASSETS FUND | 0 | 530.840 | 530.840 |
| **D | LETKO BROSSEAU INFRASTRUCTURE EQUITY FUND | 0 | 49.825 | 49.825 |
| **D | SUN LIFE REAL ASSETS PRIVATE POOL | 0 | 4.204.622 | 4.204.622 |
| **D | DIVERSIFIED FUND OF CANADA - DFC QUALITY LOW VOLATILITY GLOB |
0 | 7.488 | 7.488 |
| **D | NBIMC EAFE EQUITY INDEX FUND. | 0 | 27.586 | 27.586 |
| **D | AMUNDI DIVIDENDO ITALIA | 0 | 870.000 | 870.000 |
| **D | AMUNDI ESG SELECTION BILANCIATO | 0 | 95.870 | 95.870 |
| **D | AMUNDI ESG SELECTION DINAMICO | 0 | 51.763 | 51.763 |
| **D | AMUNDI VALORE ITALIA PIR | 0 | 150.000 | 150.000 |
| **D | AMUNDI ESG SELECTION CONSERVATIVO | 0 | 39.600 | 39.600 |
| **D | AMUNDI ACCUMULAZIONE INFRASTRUTTURE GLOBALI 2028 DUE | 0 | 32.775 | 32.775 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLOBALI 2028 | 0 | 43.527 | 43.527 |
| **D | AMUNDI PROGETTO INCOME 2028 | 0 | 6.208 | 6.208 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 QUATTRO | 0 | 7.819 | 7.819 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 TRE | 0 | 8.031 | 8.031 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 DUE | 0 | 21.848 | 21.848 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 | 0 | 37.754 | 37.754 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE | 0 | 110.890 | 110.890 |
| **D | AMUNDI PROG INC REALE 2026 | 0 | 29.514 | 29.514 |
| **D | AMUNDI PROGETTO INCOME AGOSTO 2026 | 0 | 23.729 | 23.729 |
| **D | AMUNDI PROGETTO INCOME 2026 DUE 20121 | 0 | 29.456 | 29.456 |
| **D | AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 | 0 | 193.674 | 193.674 |
| **D | FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME 2026 |
0 | 16.657 | 16.657 |
| **D | AMUNDI PRIVATE GLOBAL INFRASTRU 2024 | 0 | 90.876 | 90.876 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI PROGETTO INCOME 2025 | 0 | 27.354 | 27.354 |
| **D | CRELAN INVEST DYNAMIC | 0 | 36.712 | 36.712 |
| **D | CRELAN INVEST CONSERVATIVE | 0 | 9.854 | 9.854 |
| **D | CRELAN INVEST BALANCED | 0 | 77.017 | 77.017 |
| **D | ASR INSTITUT FONDSEN EUR AANDELEN | 0 | 276.053 | 276.053 |
| **D | ING SELECT FUND - INKOMEN ZEER OFFENSIEF |
0 | 38.518 | 38.518 |
| **D | ING SELECT FUND - INKOMEN OFFENSIEF |
0 | 71.115 | 71.115 |
| **D | ING SELECT FUND - INKOMEN NEUTRAAL |
0 | 238.436 | 238.436 |
| **D | ING SELECT FUND - INKOMEN ZEER DEFENSIEF |
0 | 3.464 | 3.464 |
| **D | ING SELECT FUND - INKOMEN DEFENSIEF |
0 | 83.643 | 83.643 |
| **D | ONDERLINGE S GRAVEN | 0 | 312.024 | 312.024 |
| **D | BEVEILIGING MANDAAT SSGA RE AANDELEN | 0 | 81.581 | 81.581 |
| **D | SPA MANDATE BLACKROCK | 0 | 70.090 | 70.090 |
| **D | ST PFD PMA MANDATE BLACKROCK | 0 | 26.825 | 26.825 |
| **D | ST. PF VOOR DE ARCHITECTENBUREAUS-DME SS | 0 | 5.597 | 5.597 |
| **D | CENTRAL BANK OF IRELAND | 0 | 16.367 | 16.367 |
| **D | ONEMARKETS AMUNDI FLEXIBLE INCOME FUND | 0 | 235.729 | 235.729 |
| **D | CANDRIAM GF AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE | 0 | 65.401 | 65.401 |
| **D | CPR INVEST HYDROGEN | 0 | 1.734.994 | 1.734.994 |
| **D | AMUNDI STOXX EUROPE 600 | 0 | 1.521.684 | 1.521.684 |
| **D | AMUNDI MSCI EUROPE | 0 | 1.156.581 | 1.156.581 |
| **D | ONEMARKETS PIMCO GLOBAL BALANCED ALLOC | 0 | 21.813 | 21.813 |
| **D | AMUNDI FTSE MIB | 0 | 1.314.283 | 1.314.283 |
| **D | STRUCTURA - DIVERSIF GROWTH FD-CSA AMUND |
0 | 4.834 | 4.834 |
| **D | LUXCELLENCE-HELVETIA EUROP EQUITY | 0 | 24.600 | 24.600 |
| **D | CPR INVEST - EUROPEAN STRATEGIC AUTONOMY |
0 | 281.513 | 281.513 |
| **D | RCO LUX MONTJOLY INVEST POOL AMUNDI | 0 | 23.561 | 23.561 |
| **D | AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 0 | 9.882 | 9.882 |
| **D | AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 0 | 30.115 | 30.115 |
| **D | AMUNDI FD EUROPEAN EQUITY ESG IMPROVERS | 0 | 2.431.059 | 2.431.059 |
| **D | CLEOME INDEX - WORLD EQUITIES |
0 | 12.226 | 12.226 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY CONSERVATIVE |
0 | 2.860.846 | 2.860.846 |
| **D | LO FUNDS - ALL ROADS |
0 | 285.488 | 285.488 |
| **D | AMUNDI INDEX MSCI EUROPE | 0 | 797.057 | 797.057 |
| **D | AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 0 | 2.793 | 2.793 |
| **D | AMUNDI INDEX MSCI WORLD | 0 | 142.354 | 142.354 |
| **D | AMUNDI FUNDS EQUITY EURO RISK PARITY | 0 | 382.304 | 382.304 |
| **D | AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA | 0 | 1.917 | 1.917 |
| **D | LO FUNDS - ALL ROADS CONSERVATIVE |
0 | 32.588 | 32.588 |
| **D | LO FUNDS - ALL ROADS GROWTH |
0 | 193.435 | 193.435 |
| **D | AMUNDI FUNDS MULTI ASSET CONSERVATIVE | 0 | 61.442 | 61.442 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY |
0 | 51.941 | 51.941 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE |
0 | 16.430 | 16.430 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI PRIME EUROZONE | 0 | 40.585 | 40.585 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL |
0 | 31.989 | 31.989 |
| **D | AMUNDI FDS GLOBAL MULTI-ASSET TARGET INC | 0 | 180.459 | 180.459 |
| **D | AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 0 | 108.684 | 108.684 |
| **D | AMUNDI FUNDS REAL ASSETS TARGET INCOME | 0 | 250.000 | 250.000 |
| **D | AMUNDI FUNDS GLOBAL MULTI-ASSET | 0 | 199.508 | 199.508 |
| **D | AMUNDI FDS GLOB MULTI-ASSET CONSERVATIVE | 0 | 480.991 | 480.991 |
| **D | AMUNDI FUNDS EURO MULTI-ASSET TARGET INC | 0 | 186.711 | 186.711 |
| **D | CLEOME INDEX - EMU EQUITIES |
0 | 66.454 | 66.454 |
| **D | AMUNDI EURO STOXX SELECT DIVIDEND 30 | 0 | 451.795 | 451.795 |
| **D | AMUNDI MSCI EMU ESG CTB NET ZERO AMBIT | 0 | 354.855 | 354.855 |
| **D | EDMOND DE ROTHSCHILD FUND INCOME EUROPE | 0 | 332.910 | 332.910 |
| **D | EDR FUND II - INCOME 2024 |
0 | 40.362 | 40.362 |
| **D | NATWEST TDS DEP VT DWEUUNIN C | 0 | 340.780 | 340.780 |
| **D | SB CIF - ECOFIN ADVISORS |
0 | 77.055 | 77.055 |
| **D | SB CIF - MACQUARIE |
0 | 195.069 | 195.069 |
| **D | AMUNDI DEUTSCHLAND GMBH - SUEDINVEST 43 |
0 | 12.000 | 12.000 |
| **D | HI-LH FONDS | 0 | 13.004 | 13.004 |
| **D | AMUNDI ETHIK PLUS | 0 | 215.833 | 215.833 |
| **D | VPV-SPEZIAL AMUNDI | 0 | 24.669 | 24.669 |
| **D | AMUNDI WELTPORTFOLIO | 0 | 2.842 | 2.842 |
| **D | OSTRUM ASSET MANAGEMENT | 0 | 104.500 | 104.500 |
| **D | JUNON ACTIONS OBLIGATIONS | 0 | 613.859 | 613.859 |
| **D | PLURI-INVESTISSEMENTS | 0 | 6.925 | 6.925 |
| **D | FCP ARRCO LONG TERME D | 0 | 786.758 | 786.758 |
| **D | LBPAM 3 MOIS | 0 | 7.815.235 | 7.815.235 |
| **D | TONI ACTIONS ISR 100 | 0 | 65.997 | 65.997 |
| **D | FCP CARP - INDO |
0 | 722.315 | 722.315 |
| **D | FDRN AMUNDI | 0 | 272.843 | 272.843 |
| **D | CRN AMUNDI ACTIONS | 0 | 407.528 | 407.528 |
| **D | LBPAM ACTIONS DIVIDENDES EUROP | 0 | 267.634 | 267.634 |
| **D | ROPS EURO P | 0 | 260.142 | 260.142 |
| **D | INVESTISSEMENT N101 | 0 | 30.141 | 30.141 |
| **D | IRCEC CASSETTE DIVERSIFIE | 0 | 148.710 | 148.710 |
| **D | FGV ACTIONS EUROPE LM A | 0 | 82.079 | 82.079 |
| **D | CNP ACTIONS EUROPE AMUNDI | 0 | 393.161 | 393.161 |
| **D | DIEZE | 0 | 26.757 | 26.757 |
| **D | VILLIERS ALTO | 0 | 130.670 | 130.670 |
| **D | AA SSGA ACTIONS INDICE EURO | 0 | 573.535 | 573.535 |
| **D | STAR PASTEUR | 0 | 71.494 | 71.494 |
| **D | CONTI GESTION | 0 | 82.569 | 82.569 |
| **D | SACD INVESTISSEMENT | 0 | 83.902 | 83.902 |
| **D | ALLOCATION INVEST EQUITY CORE | 0 | 227.044 | 227.044 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | IP ACTIONS EURO | 0 | 49.532 | 49.532 |
| **D | BEL EQUITY EUROPE ESG | 0 | 88.005 | 88.005 |
| **D | ALLOCATION INVEST EQUITY SATELLITE | 0 | 33.896 | 33.896 |
| **D | GROUPAMA SELECTION EURO DIVERSIFIE | 0 | 5.451 | 5.451 |
| **D | MICHELET TUNNEL | 0 | 100.062 | 100.062 |
| **D | GROUPAMA LOIRE BRETAGNE REGIONAL 1 | 0 | 18.726 | 18.726 |
| **D | WORLD EQUITIES | 0 | 4.597 | 4.597 |
| **D | ARRCO QUANT 2 | 0 | 106.826 | 106.826 |
| **D | AP ACTIONS 1 EURO | 0 | 99.401 | 99.401 |
| **D | ALLOCATION ACTIONS SATELLITE | 0 | 3.193 | 3.193 |
| **D | ROPS-SMART INDEX EURO | 0 | 1.132.228 | 1.132.228 |
| **D | AVENIR PROTECTION 90 | 0 | 109.245 | 109.245 |
| **D | AA NATIXIS ACTIONS MIN VAR | 0 | 177.926 | 177.926 |
| **D | EGEPARGNE 2 DIVERSIFIE | 0 | 37.734 | 37.734 |
| **D | FCP PEA COURT TERME | 0 | 2.439.466 | 2.439.466 |
| **D | BAD21 CAPITAL | 0 | 64.630 | 64.630 |
| **D | EMERAUDE | 0 | 32.258 | 32.258 |
| **D | IRCEC BEAUMARCHAIS | 0 | 128.870 | 128.870 |
| **D | DYNAMIS SOLIDAIRE ISR | 0 | 770.000 | 770.000 |
| **D | AMUNDI STRATEGIES ACTIONS EURO OPTIM DIV HR | 0 | 151.278 | 151.278 |
| **D | AMUNDI STRATEGIES ACTIONS EURO CORE + | 0 | 73.248 | 73.248 |
| **D | LCL ACTIONS MONDE HORS EUROPE EURO | 0 | 128.035 | 128.035 |
| **D | AMUNDI RENDEMENT PLUS | 0 | 56.237 | 56.237 |
| **D | COVEA OBLIGATIONS CONVERTIBLES | 0 | 439.065 | 439.065 |
| **D | COVEA ACTIONS RENDEMENT | 0 | 1.425.806 | 1.425.806 |
| **D | ASSURDIX | 0 | 179.592 | 179.592 |
| **D | LCL ACTIONS FRANCE CORE PLUS | 0 | 9.470 | 9.470 |
| **D | CPR EURO HIGH DIVIDEND | 0 | 264.761 | 264.761 |
| **D | AMUNDI ACTIONS FRANCE ISR | 0 | 1.025.761 | 1.025.761 |
| **D | AMUNDI ESG IMPROVERS EURO | 0 | 2.831.253 | 2.831.253 |
| **D | AMUNDI EUROPE MONDE | 0 | 181.770 | 181.770 |
| **D | AMUNDI ACTIONS EURO ISR | 0 | 393.583 | 393.583 |
| **D | LCL ACTIONS EURO CORE+ | 0 | 47.736 | 47.736 |
| **D | ATOUT FRANCE CORE | 0 | 36.620 | 36.620 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE CORE + | 0 | 33.215 | 33.215 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE OPTIM DIV HR | 0 | 85.017 | 85.017 |
| **D | COLOMBES 6 | 0 | 112.000 | 112.000 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 0 | 7.314 | 7.314 |
| **D | GROUPAMA EURO EQUITIES | 0 | 17.157 | 17.157 |
| **D | AMUNDI PATRIMOINE PEA | 0 | 220.972 | 220.972 |
| **D | COVEA PATRIMOINE | 0 | 105.000 | 105.000 |
| **D | AMUNDI EQUITY EURO CONSERVATIV | 0 | 1.492.676 | 1.492.676 |
| **D | CPR EUROLAND PREMIUM ESG | 0 | 30.093 | 30.093 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | FINALTIS EFFICIENT BETA EURO | 0 | 56.506 | 56.506 |
| **D | STRATEGIE EURO ISR | 0 | 60.231 | 60.231 |
| **D | COVEA SOLIS | 0 | 1.647.050 | 1.647.050 |
| **D | LBPAM ISR ACTIONS EURO MIN VOL | 0 | 14.194 | 14.194 |
| **D | BETAMAX GLOBAL SMART FOR CLIMATE | 0 | 8.310 | 8.310 |
| **D | FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 0 | 161.411 | 161.411 |
| **D | GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 22.052 | 22.052 |
| **D | AMUNDI ETF PEA S P 500 UCITS E | 0 | 5.200.000 | 5.200.000 |
| **D | TOCQUEVILLE DIVIDENDE ISR | 0 | 750.000 | 750.000 |
| **D | ALLOCATION PROTECTION 80 | 0 | 1.950.000 | 1.950.000 |
| **D | REAUMUR ACTIONS | 0 | 2.510.423 | 2.510.423 |
| **D | OSTRUM SRI EURO MINVOL EQUITY | 0 | 83.027 | 83.027 |
| **D | VEGA EURO RENDEMENT ISR | 0 | 1.630.725 | 1.630.725 |
| **D | POLARIS CONVICTIONS | 0 | 17.824 | 17.824 |
| **D | VEGA EUROPE CONVICTIONS ISR | 0 | 1.174.069 | 1.174.069 |
| **D | ECOFI ENJEUX FUTURS | 0 | 930.000 | 930.000 |
| **D | GLOBAL ALLOCATION M | 0 | 14.089 | 14.089 |
| **D | EDR SICAV - EQUITY EURO SOLVE |
0 | 210.230 | 210.230 |
| **D | EDMOND DE ROTHSCHILD ASSET MANAGEMENT (EDRAM) | 0 | 9.829 | 9.829 |
| **D | POLLUX | 0 | 29.050 | 29.050 |
| **D | EDR SICAV - EUROPEAN IMPROVERS |
0 | 31.400 | 31.400 |
| **D | CNP ASSUR EDRAM ACTIONS EUROPE | 0 | 618.640 | 618.640 |
| **D | HELVETIA I EUROPA | 0 | 160.890 | 160.890 |
| **D | ING DIRECT FONDO NARANJA CONSERVADOR FI | 0 | 5.264 | 5.264 |
| **D | ING DIRECT FONDO NARANJA MODERADO FI | 0 | 32.463 | 32.463 |
| **D | ING DIRECT FONDO NARANJA DINAMICO FI | 0 | 46.575 | 46.575 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA |
0 | 6.700.000 | 6.700.000 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA |
0 | 1.200.000 | 1.200.000 |
| **D | ALLEANZA ASSICURAZIONI SPA | 0 | 895.060 | 895.060 |
| **D | TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV | 0 | 147.765 | 147.765 |
| **D | CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 0 | 1.889.963 | 1.889.963 |
| **D | PEOPLE`S BANK OF CHINA | 0 | 1.415.189 | 1.415.189 |
| **D | FLOURISH INVESTMENT CORPORATION | 0 | 163.170 | 163.170 |
| **D | INTERNATIONAL MONETARY FUND | 0 | 859.172 | 859.172 |
| **D | ABN AMRO FUNDS | 0 | 45.833 | 45.833 |
| **D | ISHARES EURO STOXX UCITS ETF (DE) | 0 | 780.555 | 780.555 |
| **D | ISHARES EURO STOXX SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 3.733.991 | 3.733.991 |
| **D | ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 0 | 693.503 | 693.503 |
| **D | ISHARES STOXX EUROPE SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 2.006.668 | 2.006.668 |
| **D | ISHARES STOXX GLOBAL SELECT DIVI100 UCITS ETF DE | 0 | 4.784.255 | 4.784.255 |
| **D | ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 0 | 1.250.680 | 1.250.680 |
| **D | ISHARES STOXX EUROPE 600 OIL GAS UCITS ETF DE | 0 | 2.258.767 | 2.258.767 |
| **D | GENERAL CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS | 0 | 264.201 | 264.201 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PACE INTERNATIONAL EQUITY INVESTMENTS | 0 | 1.569.809 | 1.569.809 |
| **D | COLLEGE RETIREMENT EQUITIES FUND | 0 | 69.008 | 69.008 |
| **D | TIAACREF INTERNATIONAL EQUITY INDEX FUND | 0 | 2.883.365 | 2.883.365 |
| **D | BON SECOURS MERCY HEALTH | 0 | 450.049 | 450.049 |
| **D | DESJARDINS GLOBAL DIVIDEND FUND | 0 | 4.932.045 | 4.932.045 |
| **D | THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 0 | 803.152 | 803.152 |
| **D | BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 0 | 112.553 | 112.553 |
| **D | VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 0 | 217.192 | 217.192 |
| **D | STATE OF MINNESOTA | 0 | 868.764 | 868.764 |
| **D | JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 0 | 119.526 | 119.526 |
| **D | RUSSELL INVESTMENT COMPANY PLC | 0 | 41.532 | 41.532 |
| **D | SPDR MSCI ACWI EXUS ETF | 0 | 166.424 | 166.424 |
| **D | SPDR S&P INTERNATIONAL DIVIDENDETF | 0 | 1.429.658 | 1.429.658 |
| **D | SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 0 | 1.818.382 | 1.818.382 |
| **D | MORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 111.523 | 111.523 |
| **D | MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO |
0 | 9.588 | 9.588 |
| **D | MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO | 0 | 608 | 608 |
| **D | PRINCIPAL DIVERSIFIED REAL ASSET CIT | 0 | 1.889.666 | 1.889.666 |
| **D | CALIFORNIA STATE TEACHERS` RETIREMENT SYSTEM | 0 | 11.778.868 | 11.778.868 |
| **D | TEACHER RETIREMENT SYSTEM OF TEXAS | 0 | 2.829 | 2.829 |
| **D | MERCY HEALTH RETIREMENT TRUST | 0 | 1.413 | 1.413 |
| **D | SPDR PORTFOLIO EUROPE ETF | 0 | 45.871 | 45.871 |
| **D | SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 0 | 8.710.704 | 8.710.704 |
| **D | SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 0 | 1.506.028 | 1.506.028 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 0 | 257.390 | 257.390 |
| **D | M INTERNATIONAL EQUITY FUND | 0 | 9.035 | 9.035 |
| **D | FRANK RUSSELL INVESTMENT CO II PLC | 0 | 9.667 | 9.667 |
| **D | IBM 401(K) PLUS PLAN TRUST | 0 | 325.042 | 325.042 |
| **D | THE MONETARY AUTHORITY OF SINGAPORE | 0 | 49.998 | 49.998 |
| **D | MANAGED PENSION FUNDS LIMITED | 0 | 541.379 | 541.379 |
| **D | SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND | 0 | 8.196 | 8.196 |
| **D | SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND |
0 | 311.917 | 311.917 |
| **D | EURIZON FUND | 0 | 3.174.290 | 3.174.290 |
| **D | INSTITUTIONAL SOLUTIONS FUND FCP-SIF | 0 | 724.685 | 724.685 |
| **D | STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 0 | 7.415 | 7.415 |
| **D | THE MONETARY AUTHORITY OF SINGAPORE MAS | 0 | 3.472 | 3.472 |
| **D | BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY INDEX | 0 | 81.652 | 81.652 |
| **D | ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 0 | 17.428 | 17.428 |
| **D | ISHARES II PUBLIC LIMITED COMPANY | 0 | 4.390.658 | 4.390.658 |
| **D | ISHARES V PUBLIC LIMITED COMPANY | 0 | 11.483 | 11.483 |
| **D | ISHARES III PUBLIC LIMITED COMPANY | 0 | 979 | 979 |
| **D | ISHARES VI PUBLIC LIMITED COMPANY | 0 | 200 | 200 |
| **D | ISHARES IV PUBLIC LIMITED COMPANY | 0 | 4.380.835 | 4.380.835 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ARGO GLOBAL LISTED INFRASTRUCTURE LIMITED | 0 | 561.032 | 561.032 |
| **D | AUSTRALIAN RETIREMENT TRUST | 0 | 1.556.200 | 1.556.200 |
| **D | RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 0 | 29.333 | 29.333 |
| **D | RUSSELL INVESTMENTS GLOBAL SHARES INDEX FUND LEVEL 28 | 0 | 26.092 | 26.092 |
| **D | EMERGENCY SERVICES SUPERANNUATION SCHEME | 0 | 5.806 | 5.806 |
| **D | AWARE SUPER | 0 | 8.769 | 8.769 |
| **D | VANECK VECTORS FTSE GLOBAL INFRASTRUCTURE (HEDGED) ETF GOLD FIELD HOUSE | 0 | 455.604 | 455.604 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTUCTURE FUND HEDGED | 0 | 56.408 | 56.408 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 13.848.447 | 13.848.447 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND (HEDGED) | 0 | 396.377 | 396.377 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND | 0 | 1.703.657 | 1.703.657 |
| **D | RETAIL EMPLOYEES SUPERANNUATIONTRUST | 0 | 292.898 | 292.898 |
| **D | INTERNATIONAL EQUITIES SECTOR TRUST | 0 | 1.311 | 1.311 |
| **D | GMO MULTI-ASSET TRUST | 0 | 41.357 | 41.357 |
| **D | NEW AIRWAYS PENSION SCHEME | 0 | 5.813 | 5.813 |
| **D | FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU | 0 | 47.582 | 47.582 |
| **D | EURIZON PIR ITALIA AZIONI | 0 | 85.705 | 85.705 |
| **D | EURIZON CAP SGR-RENDITA | 0 | 8.336 | 8.336 |
| **D | EURIZON AZIONI ITALIA | 0 | 3.063.937 | 3.063.937 |
| **D | EURIZON PROGETTO ITALIA 40 | 0 | 351.592 | 351.592 |
| **D | EURIZON PROGETTO ITALIA 70 | 0 | 480.133 | 480.133 |
| **D | ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 0 | 1.188.259 | 1.188.259 |
| **D | ISHARES MSCI ACWI ETF | 0 | 578.941 | 578.941 |
| **D | ISHARES MSCI ACWI EX U.S. ETF | 0 | 362.897 | 362.897 |
| **D | ISHARES GLOBAL UTILITIES ETF | 0 | 165.558 | 165.558 |
| **D | ISHARES MSCI EUROZONE ETF | 0 | 2.736.314 | 2.736.314 |
| **D | ISHARES EUROPE ETF | 0 | 326.366 | 326.366 |
| **D | ISHARES MSCI EAFE ETF | 0 | 6.354.405 | 6.354.405 |
| **D | ISHARES MSCI EAFE VALUE ETF | 0 | 4.201.907 | 4.201.907 |
| **D | ISHARES MSCI KOKUSAI ETF | 0 | 6.301 | 6.301 |
| **D | ISHARES MSCI ITALY ETF | 0 | 2.631.595 | 2.631.595 |
| **D | ISHARES INTERNATIONAL SELECT DIVIDEND ETF | 0 | 9.295.330 | 9.295.330 |
| **D | ISHARES MSCI EAFE MIN VOL FACTOR ETF | 0 | 6.662.963 | 6.662.963 |
| **D | ISHARES CORE MSCI EUROPE ETF | 0 | 761.870 | 761.870 |
| **D | ISHARES INTERNATIONAL EQUITY FACTOR ETF | 0 | 394.415 | 394.415 |
| **D | ISHARES MSCI GLOBAL MULTIFACTORETF | 0 | 39.180 | 39.180 |
| **D | ISHARES MSCI ACWI LOW CARBON TARGET ETF | 0 | 167.543 | 167.543 |
| **D | ISHARES MSCI INTL SIZE FACTOR ETF | 0 | 1.176 | 1.176 |
| **D | ISHARES MSCI WORLD ETF | 0 | 101.998 | 101.998 |
| **D | ISHARES CORE MSCI EAFE ETF | 0 | 11.752.759 | 11.752.759 |
| **D | ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 0 | 2.384.742 | 2.384.742 |
| **D | ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 0 | 1.223.036 | 1.223.036 |
| **D | ISHARES CORE MSCI GLOBAL QUALITY DIVIDEND INDEX ETF | 0 | 39.535 | 39.535 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ISHARES CORE MSCI EAFE IMI INDEX ETF | 0 | 564.712 | 564.712 |
| **D | ISHARES MSCI EUROPE IMI INDEX ETF | 0 | 39.227 | 39.227 |
| **D | ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 0 | 13.283 | 13.283 |
| **D | ISHARES GLOBAL MONTHLY DIVIDENDINDEX ETF (CAD-HEDGED) | 0 | 66.319 | 66.319 |
| **D | ACOMEA PMITALIA ESG | 0 | 421.800 | 421.800 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QVALUE |
0 | 7.792 | 7.792 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QRETURN |
0 | 21.501 | 21.501 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR DLONGRUN |
0 | 814 | 814 |
| **D | ACOMEA PATRIMONIO ESENTE | 0 | 30.000 | 30.000 |
| **D | DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 0 | 18.056 | 18.056 |
| **D | STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 0 | 552.170 | 552.170 |
| **D | BLACKROCK STRATEGIC FUNDS | 0 | 100 | 100 |
| **D | BLACKROCK GLOBAL INDEX FUNDS | 0 | 200 | 200 |
| **D | COHEN AND STEERS SICAV | 0 | 260.087 | 260.087 |
| **D | XTRACKERS | 0 | 3.152.311 | 3.152.311 |
| **D | DWS MULTI ASSET PIR FUND | 0 | 215.000 | 215.000 |
| **D | DWS INVEST | 0 | 7.560.627 | 7.560.627 |
| **D | GOLDMAN SACHS FUNDS | 0 | 103.794 | 103.794 |
| **D | EPSILON FUND | 0 | 370.479 | 370.479 |
| **D | EURIZON INVESTMENT SICAV | 0 | 23.412 | 23.412 |
| **D | EURIZON NEXT 2.0 | 0 | 48.890 | 48.890 |
| **D | OSSIAM LUX | 0 | 54.825 | 54.825 |
| **D | EURIZON AM SICAV | 0 | 6.589 | 6.589 |
| **D | ARERO - DER WELTFONDS - ESG |
0 | 40.331 | 40.331 |
| **D | UBS LUX FUND SOLUTIONS | 0 | 2.436.922 | 2.436.922 |
| **D | AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO |
0 | 100 | 100 |
| **D | AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 0 | 21.938 | 21.938 |
| **D | AB GLOBAL RISK ALLOCATION FUND INC | 0 | 22.765 | 22.765 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 0 | 45.108 | 45.108 |
| **D | COMMONFUND STRATEGIC SOLUTIONS GLOBAL EQUITY, LLC | 0 | 21.642 | 21.642 |
| **D | VPV ALLGEMEINE VERSICHERUNGSAG | 0 | 70.000 | 70.000 |
| **D | INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST | 0 | 1.048.454 | 1.048.454 |
| **D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS | 0 | 74.982 | 74.982 |
| **D | COHEN & STEERS REAL ASSETS FUND, INC | 0 | 398.760 | 398.760 |
| **D | COHEN AND STEERS GLOBAL REALTY FOCUS FUND | 0 | 246.723 | 246.723 |
| **D | COHEN & STEERS INFRASTRUCTURE FUND, INC. | 0 | 3.661.538 | 3.661.538 |
| **D | JOHN HANCOCK TAX-ADVANTAGED GLOBAL SHAREHOLDER YIELD FUND | 0 | 143.000 | 143.000 |
| **D | JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST | 0 | 271.252 | 271.252 |
| **D | JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 0 | 116.641 | 116.641 |
| **D | JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 0 | 82.599 | 82.599 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 0 | 193.817 | 193.817 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 0 | 116.754 | 116.754 |
| **D | HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
0 | 104.597 | 104.597 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | JOHN HANCOCK FUNDS II INCOME ALLOCATION FUND | 0 | 45.818 | 45.818 |
| **D | SCHWAB INTERNATIONAL EQUITY ETF | 0 | 4.165.807 | 4.165.807 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX ETF | 0 | 1.162.996 | 1.162.996 |
| **D | FCA US LLC MASTER RETIREMENT TRUST | 0 | 611.709 | 611.709 |
| **D | KAISER FOUNDATION HOSPITALS | 0 | 27.152 | 27.152 |
| **D | KAISER PERMANENTE GROUP TRUST | 0 | 26.384 | 26.384 |
| **D | HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
0 | 82.141 | 82.141 |
| **D | HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO |
0 | 7.012 | 7.012 |
| **D | HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO |
0 | 1.265 | 1.265 |
| **D | SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND | 0 | 66.552 | 66.552 |
| **D | STATE STREET TOTAL RETURN VIS FUND | 0 | 18.214 | 18.214 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST | 0 | 355.095 | 355.095 |
| **D | VANGUARD TOTAL WORLD STOCK INDEX FUND | 0 | 1.305.558 | 1.305.558 |
| **D | VANGUARD DEVELOPED MARKETS INDEX FUND | 0 | 18.898.040 | 18.898.040 |
| **D | INVESCO INCOME ADVANTAGE INTERNATIONAL FUND | 0 | 2.274 | 2.274 |
| **D | ZURICH INVEST ICAV | 0 | 150.523 | 150.523 |
| **D | SSB FTSE RAFI DEVELOPED 1000 INDEX NONLENDING COMMON TRUST FUND | 0 | 10.500 | 10.500 |
| **D | STATE STREET FACTORBASED NONLENDING COMMON TRUST FUND | 0 | 9.801 | 9.801 |
| **D | SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND | 0 | 22.978 | 22.978 |
| **D | PENSIOENFONDS METAAL OFP | 0 | 330.632 | 330.632 |
| **D | FCA CANADA INC. ELECTED MASTER TRUST | 0 | 170.589 | 170.589 |
| **D | NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 0 | 577.935 | 577.935 |
| **D | EMPOWER ANNUITY INSURANCE COMPANY | 0 | 82.371 | 82.371 |
| **D | MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND | 0 | 77.565 | 77.565 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUNDS - ZIF GREEN |
0 | 85.409 | 85.409 |
| **D | WISDOMTREE INTERNATIONAL EQUITYFUND | 0 | 7.077 | 7.077 |
| **D | WISDOMTREE GLOBAL HIGH DIVIDENDFUND | 0 | 395 | 395 |
| **D | WISDOMTREE INTERNATIONAL DIVIDEND EX-FINANCIALS FUND | 0 | 70.587 | 70.587 |
| **D | WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 0 | 153.521 | 153.521 |
| **D | WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 0 | 493 | 493 |
| **D | WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND | 0 | 69.066 | 69.066 |
| **D | VANGUARD FTSE DEVELOPED EX NORTH AMERICA HIGH DIVIDEND YIELD IND | 0 | 28.374 | 28.374 |
| **D | WISDOMTREE ISSUER ICAV | 0 | 44.019 | 44.019 |
| **D | WASHINGTON STATE INVESTMENT BOARD | 0 | 823.057 | 823.057 |
| **D | WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 0 | 94.150 | 94.150 |
| **D | UBS (IRL) ETF PLC | 0 | 729.814 | 729.814 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 0 | 51.024 | 51.024 |
| **D | AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - GLOBAL EQUITY CHF |
0 | 67.678 | 67.678 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 0 | 23.155 | 23.155 |
| **D | VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 0 | 24.423 | 24.423 |
| **D | VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 0 | 337.143 | 337.143 |
| **D | ASIAN DEVELOPMENT BANK | 0 | 1.102.876 | 1.102.876 |
| **D | UNITED INCOME FOCUS TRUST | 0 | 77.204 | 77.204 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 0 | 5.440.588 | 5.440.588 |
| **D | PUBLIC EMPLOYEES` LONG-TERM CARE FUND | 0 | 12.192.303 | 12.192.303 |
| **D | ALBERTA INVESTMENT MANAGEMENT CORPORATION | 0 | 2.674.753 | 2.674.753 |
| **D | STATE STREET CCF | 0 | 29.042 | 29.042 |
| **D | INTEL RETIREMENT PLANS COLLECTIVE INVESTMENT TRUST | 0 | 103.315 | 103.315 |
| **D | THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 0 | 409.231 | 409.231 |
| **D | SIR DAVID TRENCH FUND FOR RECREATION | 0 | 2.586 | 2.586 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR SRV100 | 0 | 10.504 | 10.504 |
| **D | STATE STREET IRELAND UNIT TRUST | 0 | 85.182 | 85.182 |
| **D | SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 0 | 975.128 | 975.128 |
| **D | SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 0 | 409.946 | 409.946 |
| **D | STICHTING PENSIOENFONDS TANDARTSEN EN TANDARTS-SPECIALISTEN | 0 | 6.791 | 6.791 |
| **D | DESJARDINS INTERNATIONAL EQUITYIND EX ETF | 0 | 15.663 | 15.663 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX FUND | 0 | 3.823 | 3.823 |
| **D | SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 0 | 11.017 | 11.017 |
| **D | THE BANK OF KOREA | 0 | 8.612 | 8.612 |
| **D | SELFFINANCING POSTSECONDARY EDUCATION FUND | 0 | 1.351 | 1.351 |
| **D | GOVERNMENT PENSION INVESTMENT FUND | 0 | 11.713.378 | 11.713.378 |
| **D | RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 0 | 6.760 | 6.760 |
| **D | RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 0 | 3.202 | 3.202 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT | 0 | 57.662 | 57.662 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E PLUS FUND | 0 | 202.308 | 202.308 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC GLOBAL LISTED INFRA | 0 | 194.868 | 194.868 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET I-ASSET GROWTH FUND | 0 | 27.488 | 27.488 |
| **D | THE INCUBATION FUND LTD | 0 | 592 | 592 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 0 | 7.867 | 7.867 |
| **D | DEAM-FONDS CPT | 0 | 27.115 | 27.115 |
| **D | THRIVENT INTERNATIONAL INDEX PORTFOLIO | 0 | 23.752 | 23.752 |
| **D | RUSSELL INVESTMENTS GLOBAL INFRASTRUCTURE POOL | 0 | 951.895 | 951.895 |
| **D | RUSSELL OVERSEAS EQUITY POOL . | 0 | 31.149 | 31.149 |
| **D | STATE OF NEW JERSEY COMMON PENSION FUND D | 0 | 688.338 | 688.338 |
| **D | BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO | 0 | 78.165 | 78.165 |
| **D | JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 0 | 2.700 | 2.700 |
| **D | RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 352.625 | 352.625 |
| **D | IBM RETIREMENT PLAN | 0 | 6.974 | 6.974 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 | 0 | 1.414.825 | 1.414.825 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ATLAS | 0 | 546.310 | 546.310 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 0 | 8.000 | 8.000 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR DEBEKAAKTIENEUROPAESG | 0 | 1.108.300 | 1.108.300 |
| **D | GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND |
0 | 152.813 | 152.813 |
| **D | GOLDMAN SACHS MULTIMANAGER REALASSETS STRATEGY FND | 0 | 852.132 | 852.132 |
| **D | GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND | 0 | 13.345 | 13.345 |
| **D | RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 148.126 | 148.126 |
| Pagina 42 | ||||
|---|---|---|---|---|
| Azionisti: | 1.817 | Teste: | 11 | |
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ALLIANCEBERNSTEIN LP | 0 | 10.417 | 10.417 |
| **D | LAZARD EQUITY FRANCHISE PORTFOLIO | 0 | 1.582.400 | 1.582.400 |
| **D | LAZARD ESC GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 165.709 | 165.709 |
| **D | DEKA INVESTMENT GMBH FOR KDF 3 | 0 | 84.054 | 84.054 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 90.149.645 | 90.149.645 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR ARBOR I UI | 0 | 18.641 | 18.641 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 0 | 61.500 | 61.500 |
| **D | MERCER QIF COMMON CONTRACTUAL FUND | 0 | 482.752 | 482.752 |
| **D | MARIGOLD TACTICAL STRATEGIES LTD | 0 | 9.105 | 9.105 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 1.347.204 | 1.347.204 |
| **D | RHUMBLINE LOW CARBON INDEX FUNDLLC | 0 | 71.647 | 71.647 |
| **D | MDPIM INTERNATIONAL EQUITY INDEX POOL | 0 | 95.115 | 95.115 |
| **D | THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 0 | 71.455 | 71.455 |
| **D | MGI FUNDS PLC | 0 | 120.963 | 120.963 |
| **D | MORG STI INSTITUTIONAL FUND GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 445.637 | 445.637 |
| **D | SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF | 0 | 34.427 | 34.427 |
| **D | SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 0 | 35.510 | 35.510 |
| **D | SPDR MSCI EAFE STRATEGICFACTORSETF | 0 | 289.382 | 289.382 |
| **D | LAZARD GLOBAL ACTIVE FUNDS PLC | 0 | 22.936.814 | 22.936.814 |
| **D | RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 0 | 59.240 | 59.240 |
| **D | LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 0 | 3.711.715 | 3.711.715 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES | 0 | 297.487 | 297.487 |
| **D | LVIP BLACKROCK GLOBAL ALLOCATION FUND | 0 | 50.339 | 50.339 |
| **D | LVIP MONDRIAN INTERNATIONAL VALUE FUND | 0 | 6.668.345 | 6.668.345 |
| **D | LVIP SSGA INTERNATIONAL INDEX FUND | 0 | 277.650 | 277.650 |
| **D | LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 0 | 23.121 | 23.121 |
| **D | INSTITUTIONAL RETIREMENT TRUST | 0 | 35.339 | 35.339 |
| **D | CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 0 | 11.344 | 11.344 |
| **D | STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 0 | 455.368 | 455.368 |
| **D | STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 0 | 379.104 | 379.104 |
| **D | LACERA MASTER OPEB TRUST | 0 | 42.685 | 42.685 |
| **D | SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 0 | 4.424 | 4.424 |
| **D | SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF | 0 | 11.123 | 11.123 |
| **D | SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT | 0 | 18.644 | 18.644 |
| **D | SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO |
0 | 88.412 | 88.412 |
| **D | OPENWORLD PUBLIC LIMITED COMPANY | 0 | 352.486 | 352.486 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE (CANADA) FUND | 0 | 5.277.566 | 5.277.566 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE (CANADA) FUND | 0 | 1.543.012 | 1.543.012 |
| **D | TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 0 | 17.239 | 17.239 |
| **D | TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 0 | 10.221 | 10.221 |
| **D | JNL/MELLON MSCI WORLD INDEX FUND | 0 | 13.874 | 13.874 |
| **D | JNL/JPMORGAN GLOBAL ALLOCATION FUND | 0 | 2.579 | 2.579 |
| **D | JNL/DFA INTERNATIONAL CORE EQUITY FUND | 0 | 9.377 | 9.377 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TANGERINE DIVIDEND PORTFOLIO | 0 | 47.160 | 47.160 |
| **D | TANGERINE BALANCED INCOME PORTFOLIO | 0 | 2.734 | 2.734 |
| **D | TANGERINE BALANCED PORTFOLIO | 0 | 24.218 | 24.218 |
| **D | TANGERINE BALANCED GROWTH PORTFOLIO | 0 | 32.133 | 32.133 |
| **D | TANGERINE EQUITY GROWTH PORTFOLIO | 0 | 41.213 | 41.213 |
| **D | FIRST CHURCH OF CHRIST SCIENTIST | 0 | 6.811 | 6.811 |
| **D | PRESIMA GLOBAL REAL ESTATE SECURITIES ENHANCED YIELD FUND (TAXABLE) | 0 | 86.400 | 86.400 |
| **D | RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND | 0 | 30.484 | 30.484 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 0 | 28.817 | 28.817 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE TRUST | 0 | 2.956.945 | 2.956.945 |
| **D | FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 0 | 1.757 | 1.757 |
| **D | RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND | 0 | 409.057 | 409.057 |
| **D | RUSSELL INVESTMENT COMPANY GLOBAL INFRASTRUCTURE FUND | 0 | 340.057 | 340.057 |
| **D | RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 0 | 5.071 | 5.071 |
| **D | RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND | 0 | 22.279 | 22.279 |
| **D | FRANKLIN TEMPLETON ICAV | 0 | 374.490 | 374.490 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF |
0 | 14.040 | 14.040 |
| **D | FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT`L EQUITY HEDG | 0 | 297.104 | 297.104 |
| **D | FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 0 | 21.840 | 21.840 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROZONE ETF |
0 | 8.084 | 8.084 |
| **D | VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK |
0 | 279.780 | 279.780 |
| **D | MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 0 | 2.236.549 | 2.236.549 |
| **D | EPOCH INVESTMENT FUNDS PUBLIC LIMITED COMPANY | 0 | 126.428 | 126.428 |
| **D | AEON GLOBAL EQUITY SHAREHOLDER YIELD FUND | 0 | 118.899 | 118.899 |
| **D | CUSTODY BANK OF JAPAN LTD ASTRUSTEE FOR SUMITOMOMITSUI TRUST BANK LIMITED ASTRUSTEE FOR ANCHORMF | 0 | 1.525.423 | 1.525.423 |
| **D | EATON VANCE TAXMANAGED GLOBAL BUYWRITE OPPORTUNITIES FUND | 0 | 152.501 | 152.501 |
| **D | PARAMETRIC INTERNATIONAL EQUITYFUND | 0 | 62.700 | 62.700 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 0 | 122.821 | 122.821 |
| **D | CALVERT IMPACT FUND INC CALVERT GLOBAL ENERGY SOLUTIONS FUND | 0 | 182.139 | 182.139 |
| **D | CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 0 | 18.440 | 18.440 |
| **D | XTRACKERS (IE) PUBLIC LIMITED COMPANY | 0 | 990.266 | 990.266 |
| **D | DESJARDINS SECURITE FINANCIERE COMPAGNIE D`ASSURANCE VIE | 0 | 7.155 | 7.155 |
| **D | REGIME DE RENTES DU MOUVEMENT DESJARDINS | 0 | 11.199 | 11.199 |
| **D | REGIME DE RETRAITE DE LA CONFEDERATION DES SYNDICATS NATIONAUX | 0 | 33.400 | 33.400 |
| **D | CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 0 | 60.129 | 60.129 |
| **D | CITY UNIVERSITY OF NEW YORK | 0 | 2.473 | 2.473 |
| **D | TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 0 | 79.569 | 79.569 |
| **D | BMO INTERNATIONAL DIVIDEND ETF | 0 | 275.550 | 275.550 |
| **D | BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 0 | 567.199 | 567.199 |
| **D | CAPULA TAIL RISK MASTER FUND LIMITED | 0 | 12.096 | 12.096 |
| **D | CARDANO COMMON CONTRACTUAL FUND | 0 | 38.777 | 38.777 |
| **D | CENTRAL PROVIDENT FUND BOARD | 0 | 7.398 | 7.398 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 0 | 384.018 | 384.018 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 0 | 28.121 | 28.121 |
| **D | MATB MSCI KOKUSAI INDEX MOTHER FUND | 0 | 25.768 | 25.768 |
| **D | AMERICAN BUREAU OF SHIPPING | 0 | 2.090 | 2.090 |
| **D | RTX SAVINGS PLAN MASTER TRUST | 0 | 558.757 | 558.757 |
| **D | THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 0 | 59.041 | 59.041 |
| **D | BMO MSCI EAFE INDEX ETF | 0 | 601.938 | 601.938 |
| **D | BRUNEL LOW VOLATILITY GLOBAL EQUITY FUND | 0 | 466.472 | 466.472 |
| **D | PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 0 | 15.041 | 15.041 |
| **D | HSBC BANK PLC AS TRUSTEE OF STATE STREET AUT EUROPE EX UK S CREENED INDEX EQUITY FUND | 0 | 1.877.301 | 1.877.301 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES`S PLACE STRATEGIC MANAGE | 0 | 43.497 | 43.497 |
| **D | FAMILY INVESTMENTS CHILD TRUST FUND | 0 | 47.362 | 47.362 |
| **D | FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND | 0 | 38.776 | 38.776 |
| **D | NATIONAL EMPLOYMENT SAVINGS TRUST | 0 | 3.497.717 | 3.497.717 |
| **D | SUN CHEMICAL LIMITED PENSION SCHEME | 0 | 34.556 | 34.556 |
| **D | VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY INDEX FUND |
0 | 696.587 | 696.587 |
| **D | VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND | 0 | 1.272.645 | 1.272.645 |
| **D | VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 0 | 135.821 | 135.821 |
| **D | SCOTTISH WIDOWS INV.SOLUTIONS FUNDS ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND | 0 | 167.906 | 167.906 |
| **D | MULTI STYLE MULTI MANAGER FUNDSPLC | 0 | 97.622 | 97.622 |
| **D | DWS RREEF COLLECTIVE INVESTMENT TRUST | 0 | 178.390 | 178.390 |
| **D | DYNAMIC INFRASTRUCTURE SECURITIES FUND LP | 0 | 4.370 | 4.370 |
| **D | DWS RREEF REAL ASSETS FUND | 0 | 2.695.800 | 2.695.800 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 265.465 | 265.465 |
| **D | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 0 | 55.915 | 55.915 |
| **D | MARYLAND STATE RETIREMENT PENSION SYSTEM | 0 | 89.044 | 89.044 |
| **D | RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 0 | 5.024 | 5.024 |
| **D | NUVEEN REAL ASSET INCOME FUND | 0 | 1.997.825 | 1.997.825 |
| **D | FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 0 | 183.901 | 183.901 |
| **D | POLICE AND FIREMEN`S RETIREMENTSYSTEM OF NEW JERSEY | 0 | 315.128 | 315.128 |
| **D | PROCTER AND GAMBLE BELGIUM PENSION FUND | 0 | 5.128 | 5.128 |
| **D | PRUDENTIAL HONG KONG LIMITED | 0 | 1.626.494 | 1.626.494 |
| **D | PACIFIC SELECT FUND -PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO | 0 | 90.751 | 90.751 |
| **D | PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 0 | 20.616 | 20.616 |
| **D | NUVEEN MULTI-ASSET INCOME FUND | 0 | 139.528 | 139.528 |
| **D | NUVEEN REAL ASSET INCOME & GROWTH FUND | 0 | 977.152 | 977.152 |
| **D | NUVEEN INTERNATIONAL DIVIDEND GROWTH FUND | 0 | 27.926 | 27.926 |
| **D | TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 0 | 18.477 | 18.477 |
| **D | NORTHROP GRUMMAN PENSION MASTERTRUST | 0 | 45.189 | 45.189 |
| **D | THE BARCLAYS BANK UK RETIREMENTFUND | 0 | 27.368 | 27.368 |
| **D | GOLDMAN SACHS UK RETIREMENT PLAN | 0 | 97.433 | 97.433 |
| **D | STICHTING PHILIPS PENSIOENFONDS | 0 | 23.133 | 23.133 |
| **D | NOW PENSIONS TRUST | 0 | 43.699 | 43.699 |
| **D | COHEN & STEERS GLOBAL INFRASTRUCTURE FUND, INC. | 0 | 1.591.087 | 1.591.087 |
| Azionisti: | 1.817 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.808 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023 FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | COHEN & STEERS, INC. | 0 | 5.135 | 5.135 |
| **D | COHEN + STEERS FUTURE OF ENERGYFUND, INC. | 0 | 247.033 | 247.033 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 0 | 898.801 | 898.801 |
| **D | LAZARD REAL ASSETS PORTFOLIO | 0 | 7.622 | 7.622 |
| 10689 | GRANDI ROI | 2.500 | 0 | 2.500 |
| 10796 | RINAUDO MAURO | 3.000 | 0 | 3.000 |
| 10892 | MAGNANI DUILIO | 100 | 0 | 100 |
| 11470 | MAGNANI MARZIO | 0 | 18.000 | 18.000 |
| 11582 | FIORENTINO ANNA MARIA | 7.387 | 0 | 7.387 |
| 11921 | MANUNTA DAVIDE | 0 | 0 | 0 |
| DE* | CDP RETI SPA | 0 | 1.053.692.127 | 1.053.692.127 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| **D | GRANITIFIANDRE SOCIETA` PER AZIONI | 0 | 27.652.190 | 27.652.190 |
| *** | MINOZZI ROMANO | 0 | 126.807.958 | 126.807.958 |
| **D | PREVEDI | 0 | 853 | 853 |
| **D | IRIS CERAMICA GROUP SOCIETA` PER AZIONI | 0 | 84.890.583 | 84.890.583 |
| **D | FINANZIARIA CERAMICA CASTELLARANO S P A | 0 | 10.958.722 | 10.958.722 |
| **D | FONDO GOMMA PLASTICA | 0 | 312.660 | 312.660 |
| **D | FONDO SCUOLA ESPERO CRESCITA AZIONARIO | 0 | 2.761 | 2.761 |
| **D | INARCASSA - CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA PER |
0 | 23.920.000 | 23.920.000 |
| *** | LOMBARDI GIANFRANCO | 0 | 2.275 | 2.275 |
| *** | DEVECCHI ORIANO | 0 | 500 | 500 |
| 12318 | BAVA MARCO GEREMIA CARLO | 4 | 0 | 4 |
| 8365 | PINTO DONATO | 4.000 | 0 | 4.000 |
| 8806 | OTTOLENGHI GUIDO | 0 | 0 | 0 |
| RL* | ESTROSA SOCIETA` PER AZIONI | 120.000 | 0 | 120.000 |
| RL* | LA PETROLIFERA ITALO RUMENA SPA | 850.000 | 0 | 850.000 |
| RL* | ZIPORA S.R.L. | 100.000 | 0 | 100.000 |
| Totale voti | 2.555.122.767 |
|---|---|
| Percentuale votanti % | 99,831795 |
| Percentuale Capitale % | 76,025911 |

ESITO VOTAZIONE
Oggetto : O.1. Bilancio di esercizio al 31 dicembre 2023 di Snam S.p.A. Bilancio consolidato al 31 dicembre 2023
Hanno partecipato alla votazione:
-n° 1.829 azionisti, portatori di n° 2.559.427.857 azioni ordinarie, di cui n° 2.559.427.857 ammesse al voto, pari
al 76,154006% del capitale sociale.
Hanno votato:
| %AZIONI ORDINARIE RAPPRESENTATE (Quorum deliberativo) |
%AZIONI AMMESSE AL VOTO |
%CAP.SOC. | ||
|---|---|---|---|---|
| Favorevoli | 2.555.122.767 | 99,831795 | 99,831795 | 76,025911 |
| Contrari | 2.370.586 | 0,092622 | 0,092622 | 0,070535 |
| SubTotale | 2.557.493.353 | 99,924417 | 99,924417 | 76,096446 |
| Astenuti | 1.901.104 | 0,074278 | 0,074278 | 0,056566 |
| Non Votanti | 33.400 | 0,001305 | 0,001305 | 0,000994 |
| SubTotale | 1.934.504 | 0,075583 | 0,075583 | 0,057560 |
| Totale | 2.559.427.857 | 100,000000 | 100,000000 | 76,154006 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
CONTRARI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES RENDEMENT ABSOLU |
0 | 56.999 | 56.999 |
| **D | RP - FONDS INSTITUTIONNEL - ACTIONS MARCHES DEVELOPPES LARGE CAP |
0 | 59.707 | 59.707 |
| **D | AEIS INSTITUTIONAL FUND - AKTIEN GLOBAL |
0 | 60.416 | 60.416 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES |
0 | 16.015 | 16.015 |
| **D | MEAG PREMIUM | 0 | 2.185.247 | 2.185.247 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND CREDIT SUISSE FUNDS AG | 0 | 183.310 | 183.310 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND PENSION CREDIT SUISSE FUNDS AG | 0 | 33.514 | 33.514 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 0 | 453.777 | 453.777 |
| **D | ERAFP ACTIONS EURO I | 0 | 9.526.910 | 9.526.910 |
| **D | OFI INVEST DYNAMIQUE MONDE | 0 | 66.834 | 66.834 |
| **D | OFI INVEST EQUILIBRE MONDE | 0 | 66.354 | 66.354 |
| **D | OFI INVEST ESG EURO EQUITY SMA | 0 | 298.065 | 298.065 |
| **D | BAD21 CAPITAL | 0 | 64.630 | 64.630 |
| **D | EMERAUDE | 0 | 32.258 | 32.258 |
| **D | IRCEC BEAUMARCHAIS | 0 | 128.870 | 128.870 |
| **D | DYNAMIS SOLIDAIRE ISR | 0 | 770.000 | 770.000 |
| **D | VEGA EURO RENDEMENT ISR | 0 | 1.630.725 | 1.630.725 |
| **D | POLARIS CONVICTIONS | 0 | 17.824 | 17.824 |
| **D | VEGA EUROPE CONVICTIONS ISR | 0 | 1.174.069 | 1.174.069 |
| **D | ECOFI ENJEUX FUTURS | 0 | 930.000 | 930.000 |
| **D | GLOBAL ALLOCATION M | 0 | 14.089 | 14.089 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 | 0 | 1.414.825 | 1.414.825 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ATLAS | 0 | 546.310 | 546.310 |
| Totale voti | 19.730.748 |
|---|---|
| Percentuale votanti % | 0,770905 |
| Percentuale Capitale % | 0,587075 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
ASTENUTI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 | |
| **D | BBVA RETAIL | 0 | 5.260 | 5.260 | |
| Totale voti Percentuale votanti % Percentuale Capitale % |
5.260 0,000206 0,000157 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
NON VOTANTI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 | |
| **D | NMM5 GIEP DWS ACCOUNT | 0 | 33.400 | 33.400 | |
| Totale voti Percentuale votanti % Percentuale Capitale % |
33.400 0,001305 0,000994 |
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | HELABA INV KAPITALANL GES MBH HI HERMES | 0 | 9.023 | 9.023 |
| **D | UNIVERSAL INVESTMENT GMBH | 0 | 76.498 | 76.498 |
| **D | HELABA INV KAPITALANL GES MBH HI Z AKTIE | 0 | 502.027 | 502.027 |
| **D | HELABA INV KAPITALANL.GES.MBH HI-KAPPA-2 | 0 | 22.800 | 22.800 |
| **D | HELABA INV KAPITALANL GES MBH HI WIVK 21 | 0 | 29.484 | 29.484 |
| **D | HELABA INVEST KAG MBH FOR HI-AKTIEN LOW | 0 | 236.231 | 236.231 |
| **D | HELABA INV KAPITALANL GES MBH HI PENS TR | 0 | 23.603 | 23.603 |
| **D | HELABA INV. KAPITALANL.GES.MBH HI-HML-AK | 0 | 3.852 | 3.852 |
| **D | HELABA INV KAPITALANL GES MBH HI WORMS M | 0 | 24.927 | 24.927 |
| **D | HELABA INVEST KAG MBH FOR HI-SPAVO-FONDS | 0 | 19.244 | 19.244 |
| **D | DEGUSSA BANK NACHHALTIGKEITSFONDS AKZENT | 0 | 110.020 | 110.020 |
| **D | HELABA INV KAPITALANL GES MBH HI AKTIENS | 0 | 295.800 | 295.800 |
| **D | HELABA INVEST KAG MBH HI SZVA 10 SFONDS | 0 | 45.600 | 45.600 |
| **D | HELABA INV KAPITALANL GES MBH HI BGHM AR | 0 | 236.137 | 236.137 |
| **D | KAPITALANL GES MBH HI BGHM AR26 SFONDS | 0 | 155.394 | 155.394 |
| **D | HELABA INVEST KAG MBH HI PENS TRUST RH D | 0 | 144.185 | 144.185 |
| **D | HELABA INV KAPITALANL GES MBH HI SZVA 2 | 0 | 63.000 | 63.000 |
| **D | MASTERINVEST KAPITALANLAGE GMBH | 0 | 150.451 | 150.451 |
| **D | DEKA INVESTMENT GMBH GLOBALE AKTIEN | 0 | 25.957 | 25.957 |
| **D | DEKA INVESTMENT GMBH SAS FONDS U02 | 0 | 6.480 | 6.480 |
| **D | DEKA INVESTMENT GMBH BV PAR FONDS | 0 | 13.000 | 13.000 |
| **D | HELABA INV KAPITALANL GES MBH HI SLS MF2 | 0 | 47.606 | 47.606 |
| **D | DEKA INVESTMENT GMBH NECKAR FUNDMASTER 1 | 0 | 413.754 | 413.754 |
| **D | DEKA INVESTMENT GMBH DEKA VALUE EXTRA SE | 0 | 82.340 | 82.340 |
| **D | HELABA INVEST KAG MBH HI KAPPA 10 SFONDS | 0 | 51.300 | 51.300 |
| **D | UNION INVESTMENT INSTITUTIONAL GMBH | 0 | 46.478 | 46.478 |
| **D | HMT HANSEMERKUR AKTIEN INVEST | 0 | 1.499 | 1.499 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN I | 0 | 63.620 | 63.620 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN II | 0 | 181.890 | 181.890 |
| **D | TIMM INVEST EUROPA PLUS | 0 | 2.401 | 2.401 |
| **D | BASTI 1 METZLER | 0 | 13.200 | 13.200 |
| **D | GLOBAL ETHICAL VALUES SELECT FUND | 0 | 37.540 | 37.540 |
| **D | CNP LBPAM GLOBAL CONVERTIBLES | 0 | 52.000 | 52.000 |
| **D | ECOFI CONVERTIBLES EURO | 0 | 125.200 | 125.200 |
| **D | SWISS NATIONAL BANK | 0 | 5.099.090 | 5.099.090 |
| **D | NMM5-WIEQ-CNS ACCOUNT | 0 | 20.641 | 20.641 |
| **D | NMM5 GIEP BRI ACCOUNT | 0 | 26.709 | 26.709 |
| **D | NCF-GBL INFRAST STOCK FD | 0 | 2.046.400 | 2.046.400 |
| **D | WIF-GBL UNCONS INFRA EQTY | 0 | 698.430 | 698.430 |
| **D | QUANTUM LEBEN AG | 0 | 15.000 | 15.000 |
| *** | TOMASSI MARINANGELI GIULIANO GREGORIO | 0 | 2.500 | 2.500 |
| **D | WIF-LAZ GBL PFD LIS INFRA | 0 | 3.447.345 | 3.447.345 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | WIF-C&S GBL LISTED INFRA | 0 | 275.933 | 275.933 |
| **D | PICTET - EUROPE INDEX |
0 | 191.151 | 191.151 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER |
0 | 51.777 | 51.777 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER |
0 | 87.797 | 87.797 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE |
0 | 8.455 | 8.455 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL |
0 | 66.179 | 66.179 |
| **D | PICTET - QUEST AL-DRIVEN GLOBAL EQUITIES |
0 | 1.118 | 1.118 |
| **D | QUAERO CAPITAL FUNDS (LUX) - ACCESSIBLE CLEAN ENERGY |
0 | 654.079 | 654.079 |
| **D | PICTET-EUROLAND INDEX | 0 | 126.419 | 126.419 |
| **D | PICTET CH - GLOBAL EQUITIES |
0 | 15.637 | 15.637 |
| **D | PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL | 0 | 24.445 | 24.445 |
| **D | PICTET - MULTI ASSET GLOBAL OPPORTUNITIES |
0 | 29.673 | 29.673 |
| **D | WORLD TRADE ORGANIZATION PENSION PLAN | 0 | 18.370 | 18.370 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX SEL.DIV.30UC.ETF | 0 | 1.157.990 | 1.157.990 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPA AKTIEN SPEZIAL | 0 | 519.847 | 519.847 |
| **D | DEKA INVESTMENT GMBH W/A-DOR-FONDS W/U21 | 0 | 83.845 | 83.845 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT | 0 | 1.520.176 | 1.520.176 |
| **D | ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWLCO-AKTIEN | 0 | 16.999 | 16.999 |
| **D | DEKA INVESTMENT GMBH W/SVAM-FONDS | 0 | 63.134 | 63.134 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT 90 | 0 | 59.882 | 59.882 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROLAND AKT.LOWRISK | 0 | 492.425 | 492.425 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EUROPE UCITS ETF | 0 | 209.783 | 209.783 |
| **D | DEKA INVESTMENT GMBH W/BIA-STRATEGIEFONDS NR. 5 | 0 | 42.300 | 42.300 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT KOMMUNAL | 0 | 201.017 | 201.017 |
| **D | DEKA INVESTMENT GMBH W/DONAU-MULTI-ASSET-FUNDMASTER U01 AKTIEN | 0 | 275.275 | 275.275 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-GLOB.AKT.LOWRISK | 0 | 1.053.135 | 1.053.135 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT MULTI ASSET | 0 | 152.550 | 152.550 |
| **D | DEKA INVESTMENT GMBH W/A-VSA-FONDS W/SONSTIGES | 0 | 78.007 | 78.007 |
| **D | DEKA INVESTMENT GMBH W/MAINFRANKEN STRATEGIEKONZEPT | 0 | 360.397 | 360.397 |
| **D | DEKA INVESTMENT GMBH W/WELTINVEST NACHHALTIGKEIT | 0 | 99.300 | 99.300 |
| **D | DEKA INVESTMENT GMBH W/APOFONDS-KIEL | 0 | 191.538 | 191.538 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-LCR-FONDS | 0 | 9.241 | 9.241 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI EURO.CL.CH.ESG UCITS ETF | 0 | 23.713 | 23.713 |
| **D | DEKA INTERNATIONAL S.A. W/WFL INVEST FCP-FIS | 0 | 23.465 | 23.465 |
| **D | DEKA INVESTMENT GMBH W/SE-RENDITE SEGMENT 3 | 0 | 74.453 | 74.453 |
| **D | DEKA INVESTMENT GMBH W/DEKA-PRIVATVORSORGE AS | 0 | 62.000 | 62.000 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI WORLD UCITS ETF | 0 | 83.270 | 83.270 |
| **D | DEKA INVESTMENT GMBH W/PENSIONSFONDS MAINZ1 | 0 | 24.463 | 24.463 |
| **D | DEKA INVESTMENT GMBH W/DEKA-MULTI ASSET INCOME | 0 | 90.000 | 90.000 |
| **D | DEKA INVESTMENT GMBH W/DDF 7 | 0 | 102.188 | 102.188 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI WOR.CL.CH.ESG UCITS ETF | 0 | 6.008 | 6.008 |
| **D | DEKA INVESTMENT GMBH W/SSH-FONDS W/U04 | 0 | 31.200 | 31.200 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EMU CL.C.ESG UCITS ETF | 0 | 22.731 | 22.731 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DEKA INVESTMENT GMBH W/HD-PHILOSOPHENWEG | 0 | 5.540 | 5.540 |
| **D | DEKA INVESTMENT GMBH W/SK RHEIN NECKAR NORD NACHHALTIGKEIT INVEST | 0 | 27.343 | 27.343 |
| **D | DEKA INVESTMENT GMBH W/DEKA STARKENBURG U03 AKTIEN LOWRISK | 0 | 96.354 | 96.354 |
| **D | DEKA INVESTMENT GMBH W/DEKA-EURO-IST. EX FIN DI.+UC.ETF | 0 | 1.600.550 | 1.600.550 |
| **D | DEKA INVESTMENT GMBH W/NEBUS-MASTERFONDS W/AKTIEN - U02 |
0 | 16.335 | 16.335 |
| **D | DEKA INVESTMENT GMBH W/TREMONIUS-FONDS | 0 | 50.803 | 50.803 |
| **D | DEKA INVESTMENT GMBH W/S-MULTI ASSET ESG AUSGEWOGEN | 0 | 22.406 | 22.406 |
| **D | DEKA INVESTMENT GMBH W/DOHAMUN-FONDS | 0 | 8.689 | 8.689 |
| **D | DEKA INVESTMENT GMBH W/SCHNOOR | 0 | 115.182 | 115.182 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX 50 ESG UCITS ETF | 0 | 165.567 | 165.567 |
| **D | DEKA INVESTMENT GMBH W/MKG W/U2 MKG EUROLAND | 0 | 29.787 | 29.787 |
| **D | DEKA INVESTMENT GMBH W/A-HAM-FONDS W/U02 | 0 | 62.363 | 62.363 |
| **D | DEKA INVESTMENT GMBH W/DEKA BIV-B | 0 | 2.906 | 2.906 |
| **D | DEKA INVESTMENT GMBH W/VER 03-FONDS W/U1 | 0 | 21.960 | 21.960 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-BG ETEM A6-SFONDS | 0 | 48.536 | 48.536 |
| **D | MATIG ACT MONDE | 0 | 414.648 | 414.648 |
| **D | HI-172915-FONDS | 0 | 6.416 | 6.416 |
| **D | MATIGNON ACTIONS INTERNATIONALES | 0 | 395.045 | 395.045 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA | 0 | 343.495 | 343.495 |
| **D | HI MANPT FONDS | 0 | 116.436 | 116.436 |
| **D | HI PNWL DIVIDENDE PLUS FONDS | 0 | 2.865.071 | 2.865.071 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS | 0 | 46.855 | 46.855 |
| **D | ERI BAYERNINVEST FONDS AKTIEN EUROPA | 0 | 84.724 | 84.724 |
| **D | ARABELLE ROTHSCHILD | 0 | 11.245 | 11.245 |
| **D | ZWITSERLEVEN INSTITUTIONELE BELEGGINGSFONDSEN - ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA |
0 | 93.875 | 93.875 |
| **D | HI-PROVINZIAL-LOWRISK-DIVIDENDENSTRATEGIE-FONDS | 0 | 220.780 | 220.780 |
| **D | PEGASUS-UI-FONDS | 0 | 25.000 | 25.000 |
| **D | AXA OR ET MATIERES PREMIERES | 0 | 54.767 | 54.767 |
| **D | FCP FCE PLCT INTERNATIONAL ESG PLUS | 0 | 508.071 | 508.071 |
| **D | AXA AA DIVERSIFIE INDICIEL 1 | 0 | 155.992 | 155.992 |
| **D | ARRCO QUANT 1 | 0 | 131.980 | 131.980 |
| **D | MH AMUNDI ACTIONS EURO | 0 | 320.865 | 320.865 |
| **D | CARDANO ESG TRANSITION ENHANCED INDEX EQUITY GLOBAL (I) | 0 | 174.844 | 174.844 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF EPOTIF MASTERFONDS | 0 | 158.556 | 158.556 |
| **D | HI-AKTIEN-AKTIV-VALUE-SFONDS | 0 | 761.585 | 761.585 |
| **D | AXA PEA REGULARITE | 0 | 3.934.959 | 3.934.959 |
| **D | FRANCE PLACEMENT EURO ESG PLUS | 0 | 683.473 | 683.473 |
| **D | HI-AKTIEN GLOBAL 2-FONDS | 0 | 580.000 | 580.000 |
| **D | PHOSPHORE | 0 | 96.088 | 96.088 |
| **D | LA FRANCAISE SYSTEMATIC GLOBAL LISTED INFRASTRUCTURE | 0 | 75.173 | 75.173 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 0 | 943.147 | 943.147 |
| **D | ERAFP ACTIONS EURO IV | 0 | 1.099.451 | 1.099.451 |
| **D | FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 0 | 116.835 | 116.835 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024

LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AXA EURO DIVIDEND L | 0 | 24.370 | 24.370 |
| **D | UI-GKR-FONDS | 0 | 43.827 | 43.827 |
| **D | STICHTING AHOLD DELHAIZE PENSIOEN | 0 | 143.447 | 143.447 |
| **D | ALLIANZGI S AKTIEN | 0 | 1.027.368 | 1.027.368 |
| **D | AMUNDI STOXX EUROPE 600 ESG II UCITS ETF | 0 | 13.344 | 13.344 |
| **D | DPCTA-MASTERFONDS | 0 | 9.852 | 9.852 |
| **D | ERAFP ACTIONS EURO II | 0 | 5.253.528 | 5.253.528 |
| **D | HI-AKTIEN EUROPA 1-FONDS | 0 | 26.816 | 26.816 |
| **D | ATCP-UI-FONDS | 0 | 7.725 | 7.725 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF DEBEKA-AKTIEN-EUROPA-DIVIDENDEN | 0 | 1.617.814 | 1.617.814 |
| **D | ALLIANZGI-FONDS GANO 2 | 0 | 20.669 | 20.669 |
| **D | AXA EURO DIVIDEND K | 0 | 133.514 | 133.514 |
| **D | ALLIANZGI-FONDS TSF | 0 | 4.013 | 4.013 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB-UNIVERSAL-FONDS | 0 | 3.354 | 3.354 |
| **D | FCP SODIUM I | 0 | 84.719 | 84.719 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 0 | 16.549 | 16.549 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY | 0 | 5.954 | 5.954 |
| **D | AXA VERSICHERUNGEN AG | 0 | 1.092.532 | 1.092.532 |
| **D | MERCER WHOLESALE FUNDS | 0 | 7.003 | 7.003 |
| **D | FONECONOMISTES, FONS DE PENSIONS | 0 | 1.993 | 1.993 |
| **D | MIR | 0 | 290.534 | 290.534 |
| **D | MERCER INVESTMENT FUNDS | 0 | 654.763 | 654.763 |
| **D | GLOBAL EQUITIES ENHANCED INDEX FUND | 0 | 252.564 | 252.564 |
| **D | FERROATLANTICA 92 FP | 0 | 1.877 | 1.877 |
| **D | JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND | 0 | 3.940 | 3.940 |
| **D | BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 0 | 29.548 | 29.548 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE INDEX FUND HEDGED | 0 | 406.962 | 406.962 |
| **D | IPAC SPECIALIST INVESTMENT STRATEGIES - LISTED GLO |
0 | 90.622 | 90.622 |
| **D | AZ FUND 1 AZ EQUITY GLOBAL INFRASTRUCTURE | 0 | 75.226 | 75.226 |
| **D | FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY |
0 | 14.674 | 14.674 |
| **D | AXA LEBEN AG | 0 | 138.196 | 138.196 |
| **D | CASTELLANA PENSIONES FP | 0 | 1.905 | 1.905 |
| **D | BUSS (QUEENSLAND) POOLED SUPERANNUATION TRUST | 0 | 888 | 888 |
| **D | AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 0 | 116.000 | 116.000 |
| **D | INVESTITORI FLESSIBILE | 0 | 250.000 | 250.000 |
| **D | INVESTITORI PIAZZA AFFARI | 0 | 124.600 | 124.600 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.144 | 59.144 |
| **D | GENERALI ITALIA SPA | 0 | 610.026 | 610.026 |
| **D | ALLIANZGI-FONDS PF1 SEGMENT PF1-AA2-E_EUA | 0 | 785.480 | 785.480 |
| **D | ALLIANZGI-H SEGMENT EFK | 0 | 41.230 | 41.230 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VSTBH-UNIVERSAL-FONDS | 0 | 9.262 | 9.262 |
| **D | AXA EURO DIVIDEND DBVL | 0 | 279.866 | 279.866 |
| **D | MASTERFONDS HTPT | 0 | 105.482 | 105.482 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HI-AKTIEN GLOBAL-FONDS | 0 | 190.000 | 190.000 |
| **D | BANSABADELL 36, F.P. | 0 | 6.786 | 6.786 |
| **D | SABADELL PLANIFICACION 25, FI | 0 | 25.145 | 25.145 |
| **D | MERCER PROPERTY AND INFRASTRUCTURE TRUST | 0 | 591.339 | 591.339 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE MARKET INDEX FUND | 0 | 586.034 | 586.034 |
| **D | MERCER UNHEDGED OVERSEAS SHARES TRUST | 0 | 75.429 | 75.429 |
| **D | INVERSABADELL 25, FI | 0 | 85.852 | 85.852 |
| **D | RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | 0 | 8.436 | 8.436 |
| **D | FONDO PENSIONE COMETA | 0 | 350.765 | 350.765 |
| **D | ENHANCED INDEX INTERNATIONAL SHARE FUND | 0 | 46.773 | 46.773 |
| **D | CONSERVATION INTERNATIONAL FOUNDATION, INC. | 0 | 545 | 545 |
| **D | FRONTIER MFG CORE INFRASTRUCTURE FUND | 0 | 1.981.741 | 1.981.741 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 0 | 8.000 | 8.000 |
| **D | BS PREVISION EMPRESAS EPSV DE EMPLEO | 0 | 4.103 | 4.103 |
| **D | SABADELL EUROPA BOLSA ESG, FI | 0 | 1.118.807 | 1.118.807 |
| **D | INVERSABADELL 50, FI | 0 | 59.021 | 59.021 |
| **D | KAIROS INTERNATIONAL SICAV-ITALIA | 0 | 407.065 | 407.065 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 0 | 495.000 | 495.000 |
| **D | AMP SUPER FUND | 0 | 584.750 | 584.750 |
| **D | INVERSABADELL 70, FI | 0 | 20.850 | 20.850 |
| **D | RLA LISTED REAL ASSETS FUND | 0 | 1.906.639 | 1.906.639 |
| **D | AMERICAN HEART ASSOCIATION, INC. | 0 | 4.809 | 4.809 |
| **D | AZ FUND 1 AZ ALTERNATIVE SMART RISK PREMIA | 0 | 40.200 | 40.200 |
| **D | AZ FUND 1-AZ ALLOCATION-STRATEGICBALANCED CATHOLIC VALUES | 0 | 1.200 | 1.200 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND | 0 | 122.386 | 122.386 |
| **D | PHILADELPHIA GAS WORKS PENSION PLAN | 0 | 3.174 | 3.174 |
| **D | FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES |
0 | 149 | 149 |
| **D | BNPP DUBLIN/SCHRODER STABLE GROWTH FUND MELLON | 0 | 10.381 | 10.381 |
| **D | AXA INSURANCE DESIGNATED ACTIVITY COMPANY | 0 | 41.023 | 41.023 |
| **D | KAIROS INTERNATIONAL SICAV-KEY | 0 | 730.000 | 730.000 |
| **D | FONSOLBANK FP | 0 | 17.555 | 17.555 |
| **D | BANSABADELL 2000 FP | 0 | 1.343 | 1.343 |
| **D | UNISUPER | 0 | 28.510 | 28.510 |
| **D | AAM S&P DEVELOPED MARKETS HIGH DIVIDEND VALUE ETF | 0 | 7.282 | 7.282 |
| **D | AXA-ARAG RECHTSSCHUTZ AG | 0 | 84.000 | 84.000 |
| **D | PACER TRENDPILOT INTERNATIONAL ETF | 0 | 18.642 | 18.642 |
| **D | PSVAG MASTERFONDS | 0 | 85.193 | 85.193 |
| **D | SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND | 0 | 956.872 | 956.872 |
| **D | SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 0 | 1.549.648 | 1.549.648 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) | 0 | 24.300 | 24.300 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) 195.612 |
0 | 195.612 | |
| **D | SIIT - WORLD SELECT EQUITY FUND |
0 | 3.202 | 3.202 |
| Pagina 8 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ING DIRECT SICAV | 0 | 105.087 | 105.087 |
| **D | CREDIT SUISSE INDEX FUND (LUX) | 0 | 893.205 | 893.205 |
| **D | VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 0 | 2.030.984 | 2.030.984 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND | 0 | 2.842 | 2.842 |
| **D | MONDRIAN INTERNATIONAL VALUE EQUITY FUND | 0 | 5.142.429 | 5.142.429 |
| **D | MONDRIAN GLOBAL EQUITY VALUE FUND | 0 | 687.733 | 687.733 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 0 | 39.830 | 39.830 |
| **D | FIDELITY RETIREE HEALTH REIMBURSEMENT PLAN | 0 | 34.720 | 34.720 |
| **D | VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF |
0 | 123.028 | 123.028 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 0 | 29.636 | 29.636 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL QUALITY INDEX FUND | 0 | 625.297 | 625.297 |
| **D | MONDRIAN ALL COUNTRIES WORLD EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 2.665.063 | 2.665.063 |
| **D | NUVEEN TIAA INTERNATIONAL EQUITY INDEX FUND | 0 | 92.560 | 92.560 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND | 0 | 209.409 | 209.409 |
| **D | HESTA | 0 | 575.226 | 575.226 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD CIT | 0 | 167.713 | 167.713 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: TMA GLOBAL EQUITY INDEX MOTHER FUND | 0 | 50.123 | 50.123 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND | 0 | 50.074 | 50.074 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MORGAN STANLEY INFRASTRUCTURE STOCKS MOTHER FUND | 0 | 69.108 | 69.108 |
| **D | DEMOCRACY INTERNATIONAL FUND | 0 | 1.697 | 1.697 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 0 | 8.502 | 8.502 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND | 0 | 975 | 975 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 0 | 139.777 | 139.777 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 0 | 10.874 | 10.874 |
| **D | MONDRIAN GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 10.742 | 10.742 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND | 0 | 301.264 | 301.264 |
| **D | THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 0 | 368.704 | 368.704 |
| **D | MONDRIAN INTERNATIONAL EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 841.633 | 841.633 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND | 0 | 2.853.140 | 2.853.140 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD | 0 | 39.882 | 39.882 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD | 0 | 47.440 | 47.440 |
| **D | VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FTSE DEV EUR EX UK CCF |
0 | 52.238 | 52.238 |
| **D | VANGUARD FUNDS PUBLIC LIMITED COMPANY | 0 | 2.853.905 | 2.853.905 |
| **D | VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED EUROPE II CCF | 0 | 52.069 | 52.069 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND | 0 | 785.916 | 785.916 |
| **D | VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO | 0 | 41.217 | 41.217 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 0 | 751.618 | 751.618 |
| **D | NATIXIS AM FUNDS | 0 | 628.496 | 628.496 |
| **D | BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND |
0 | 3.737.541 | 3.737.541 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE CIT | 0 | 47.345 | 47.345 |
| **D | SCHRODER INTERNATIONAL SELECTION FUND | 0 | 204.510 | 204.510 |
| **D | NUVEEN GLOBAL INFRASTRUCTURE FUND | 0 | 1.782.007 | 1.782.007 |
| **D | BLACKROCK INDEX SELECTION FUND | 0 | 965.147 | 965.147 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
0 | 36.477 | 36.477 |
| **D | ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND |
0 | 2.476 | 2.476 |
| **D | FUNDACAO CALOUSTE GULBENKIAN | 0 | 1.452 | 1.452 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 0 | 124.878 | 124.878 |
| **D | UNICARE SAVINGS PLAN | 0 | 106.269 | 106.269 |
| **D | DWS RREEF GLOBAL INFRASTRUCTURE FUND | 0 | 2.100.630 | 2.100.630 |
| **D | VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF | 0 | 56.714 | 56.714 |
| **D | SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
0 | 6.697 | 6.697 |
| **D | STATE OF WYOMING | 0 | 129.598 | 129.598 |
| **D | BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 0 | 48.561 | 48.561 |
| **D | BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 0 | 12.759.955 | 12.759.955 |
| **D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 0 | 17.627.736 | 17.627.736 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND - HEDGED |
0 | 5.369.428 | 5.369.428 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II | 0 | 15.192.572 | 15.192.572 |
| **D | MSCI EQUITY INDEX FUND B - ITALY (MSITB) |
0 | 730.417 | 730.417 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND V | 0 | 2.765 | 2.765 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND I | 0 | 750 | 750 |
| **D | ROBECO CAPITAL GROWTH FUNDS | 0 | 2.698.623 | 2.698.623 |
| **D | T. ROWE PRICE FUNDS SICAV | 0 | 70 | 70 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND III | 0 | 8.850 | 8.850 |
| **D | PROSHARES DJ BROOKFIELD GLOBAL INFRASTRUCTURE ETF | 0 | 240.649 | 240.649 |
| **D | MI-FONDS F47 | 0 | 22.089 | 22.089 |
| **D | MAIN I - UNIVERSAL - FONDS |
0 | 30.781 | 30.781 |
| **D | MOMENTUM GLOBAL FUNDS | 0 | 79.775 | 79.775 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400021974 | 0 | ||
| 25.906 | 25.906 | |||
| **D | FLEXSHARES DEVELOPED MARKETS EX - US QUALITY LOW VOLATILITY INDEX FUND |
0 | 35.730 | 35.730 |
| **D | SAS TRUSTEE CORPORATION POOLED FUND | 0 | 33.498 | 33.498 |
| **D | BLACKROCK FUNDS I ICAV | 0 | 24.051 | 24.051 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
0 | 17.085 | 17.085 |
| **D | STICHTING PENSIOENFONDS ABP | 0 | 4.466.476 | 4.466.476 |
| **D | GERANA SICAV-SIF, S.A. | 0 | 1.166.214 | 1.166.214 |
| **D | HC RENTE | 0 | 10.686 | 10.686 |
| **D | SCHRODER GLOBAL DIVERSIFIED INCOME FUND | 0 | 22.659 | 22.659 |
| **D | LVUI EQUITY EUROPE | 0 | 135.000 | 135.000 |
| **D | BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 0 | 47.547 | 47.547 |
| **D | CDN MSCI WORLD EX-CANADA MINIMUM VOLATILITY INDEX FUND | 0 | 52.643 | 52.643 |
| **D | MINE SUPERANNUATION FUND | 0 | 48.436 | 48.436 |
| **D | SBC MASTER PENSION TRUST | 0 | 293.247 | 293.247 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE ETF | 0 | 48.957 | 48.957 |
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 0 | 5.902.236 | 5.902.236 |
| **D | CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 0 | 39.595 | 39.595 |
| **D | BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 0 | 328.296 | 328.296 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
0 | 1.235.111 | 1.235.111 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND IV | 0 | 7.109 | 7.109 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO |
0 | 23.055 | 23.055 |
| **D | EARNEST INSTITUTIONAL LLC | 0 | 442 | 442 |
| **D | BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 0 | 3.637.917 | 3.637.917 |
| **D | JEFFREY LLC | 0 | 14.254 | 14.254 |
| **D | NFS LIMITED | 0 | 468.427 | 468.427 |
| **D | ISHARES ALL-COUNTRY EQUITY INDEX FUND | 0 | 4.881 | 4.881 |
| **D | THRIFT SAVINGS PLAN | 0 | 9.510.996 | 9.510.996 |
| **D | UBS ASSET MANAGEMENT LIFE LTD | 0 | 573.875 | 573.875 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 0 | 136.005 | 136.005 |
| **D | STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 0 | 225.637 | 225.637 |
| **D | FRANKLIN CLEARBRIDGE SUSTAINABLE GLOBAL INFRASTRUCTURE INCOME FUND | 0 | 426.667 | 426.667 |
| **D | BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 8.457 | 8.457 |
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 0 | 13.651 | 13.651 |
| **D | ROBECO UMBRELLA FUND I N.V. | 0 | 392.086 | 392.086 |
| **D | BLACKROCK CDN GLOBAL INFRASTRUCTURE EQUITY INDEX FUND | 0 | 3.775.970 | 3.775.970 |
| **D | JNL INTERNATIONAL INDEX FUND | 0 | 289.549 | 289.549 |
| **D | BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 0 | 383.497 | 383.497 |
| **D | AVIVA LIFE & PENSIONS UK LIMITED | 0 | 287.910 | 287.910 |
| **D | MINISTRY OF ECONOMY AND FINANCE | 0 | 648.095 | 648.095 |
| **D | AVIVA LIFE & PENSIONS IRELAND DAC | 0 | 113.839 | 113.839 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND II | 0 | 4.937 | 4.937 |
| **D | ROBECO GLOBAL DEVELOPED MARKETS EQUITIES CIT | 0 | 32.377 | 32.377 |
| **D | MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 0 | 76.834 | 76.834 |
| **D | PCFG EQUITY FUND LTD | 0 | 14.542 | 14.542 |
| **D | QANTAS SUPERANNUATION LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN | 0 | 1.466 | 1.466 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 0 | 230.945 | 230.945 |
| **D | MAINSTAY EPOCH GLOBAL EQUITY YIELD FUND | 0 | 1.104.910 | 1.104.910 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI | 0 | ||
| 12.735 | 12.735 | |||
| **D | EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 0 | 31.418 | 31.418 |
| **D | MAINSTAY VP INCOME BUILDER PORTFOLIO | 0 | 437.751 | 437.751 |
| **D | KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 0 | 267.088 | 267.088 |
| **D | UBS FTSE RAFI DEVELOPED 1000 INDEX FUND | 0 | 33.883 | 33.883 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL MULTIFACTOR | 0 | 308.704 | 308.704 |
| **D | VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 0 | 80.786 | 80.786 |
| **D | BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 25.938 | 25.938 |
| **D | MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 0 | 136.571 | 136.571 |
| **D | NORDEA GLOBAL PASSIVE FUND | 0 | 80.868 | 80.868 |
| **D | INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC | 0 | 13.371 | 13.371 |
| **D | FORD PENSION UNIVERSAL | 0 | 7.355 | 7.355 |
| **D | DEKA VALUE PLUS | 0 | 585.459 | 585.459 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | INTECH INTERNATIONAL LARGE CAP CORE FUND LLC | 0 | 13.582 | 13.582 |
| **D | MAGELLAN WHOLESALE PLUS INFRASTRUCTURE FUND | 0 | 226.843 | 226.843 |
| **D | UBS MSCI WORLD MINIMUM VOLATILITY INDEX FUND | 0 | 81.081 | 81.081 |
| **D | AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND | 0 | 32.830 | 32.830 |
| **D | FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND | 0 | 1.626.300 | 1.626.300 |
| **D | ISHARES WORLD EQUITY FACTOR ETF | 0 | 29.310 | 29.310 |
| **D | FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 0 | 11.280 | 11.280 |
| **D | SANTANDER SICAV | 0 | 28.782 | 28.782 |
| **D | AUSTRALIANSUPER | 0 | 1.635.509 | 1.635.509 |
| **D | THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT TRUST | 0 | 1.902.448 | 1.902.448 |
| **D | UNIVERSITIES SUPERANNUATION SCHEME | 0 | 987.034 | 987.034 |
| **D | STELLAR INSURANCE, LTD. | 0 | 80.119 | 80.119 |
| **D | MAIN VI-UNIVERSAL-FONDS | 0 | 3.778 | 3.778 |
| **D | MAINSTAY INCOME BUILDER FUND | 0 | 901.153 | 901.153 |
| **D | ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 0 | 9.781 | 9.781 |
| **D | BLACKROCK CDN WORLD INDEX FUND | 0 | 174.598 | 174.598 |
| **D | VGV POOLFONDS PA1 | 0 | 55.486 | 55.486 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400025501 | 0 | ||
| 26.645 | 26.645 | |||
| **D | VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 0 | 46.169 | 46.169 |
| **D | FOVERUKA PENSION UNIVERSAL | 0 | 31.756 | 31.756 |
| **D | VERDIPAPIRFONDET EQUINOR AKSJER EUROPA | 0 | 109.500 | 109.500 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS - AKKUMULERENDE KL |
0 | 47.447 | 47.447 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA PENSION - AKTIER |
0 | 2.147.265 | 2.147.265 |
| **D | SIEMENS-FONDS SIEMENS-RENTE | 0 | 220.991 | 220.991 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE KL | 0 | 470.020 | 470.020 |
| **D | SCHRODER PENSION MANAGEMENT LIMITED | 0 | 93.298 | 93.298 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND |
0 | 311.724 | 311.724 |
| **D | DANSKE INVEST SICAV | 0 | 490.167 | 490.167 |
| **D | NEW YORK STATE COMMON RETIREMENT FUND | 0 | 13.300.786 | 13.300.786 |
| **D | MI-FONDS 384 | 0 | 26.576 | 26.576 |
| **D | MACQUARIE TRUE INDEX GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 1.435.611 | 1.435.611 |
| **D | NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 0 | 151.529 | 151.529 |
| **D | STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS | 0 | 31.728 | 31.728 |
| **D | JPMORGAN INVESTMENT FUNDS | 0 | 825.313 | 825.313 |
| **D | JPMORGAN CHASE RETIREMENT PLAN | 0 | 620.138 | 620.138 |
| **D | BOOKOUT INTERESTS LTD E LB HOLDINGS 1 LLC | 0 | 2.454 | 2.454 |
| **D | ISHARES CORE FTSE GLOBAL INFRASTRUCTURE (AUD HEDGED) ETF | 0 | 305.744 | 305.744 |
| **D | BIL-UNIVERSAL-FONDS | 0 | 184.294 | 184.294 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKUMULERENDE KL |
0 | 330.459 | 330.459 |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL | 0 | 15.696 | 15.696 |
| **D | OB 2 | 0 | 12.796 | 12.796 |
| **D | CHURCH COMMISSIONERS FOR ENGLAND | 0 | 22.585 | 22.585 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK GLOBAL ALLOCATION V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC | 0 | 111.077 | 111.077 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 | 0 | 8.186 | 8.186 |
| **D | SCHRODER MANAGED BALANCED FUND | 0 | 37.301 | 37.301 |
| **D | TRINITY COLLEGE CAMBRIDGE | 0 | 36.735 | 36.735 |
| **D | EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
0 | 50.504 | 50.504 |
| **D | TELSTRA SUPERANNUATION SCHEME | 0 | 1.258.851 | 1.258.851 |
| **D | NATIONWIDE INTERNATIONAL INDEX FUND | 0 | 113.356 | 113.356 |
| **D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 0 | 751.456 | 751.456 |
| **D | EMBO-FONDS | 0 | 53.071 | 53.071 |
| **D | IRR K LLC | 0 | 19.778 | 19.778 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD (UNHEDGED) FUND | 0 | 1.883.522 | 1.883.522 |
| **D | STRATEGIC INFRASTRUCTURE FUND | 0 | 221.547 | 221.547 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 0 | 209.073 | 209.073 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUND | 0 | 881.368 | 881.368 |
| **D | VANGUARD GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.150.249 | 1.150.249 |
| **D | BLACKROCK GLOBAL ALLOCATION FUND (AUST) | 0 | 5.587 | 5.587 |
| **D | EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 136.252 | 136.252 |
| **D | EPS | 0 | 28.530 | 28.530 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
0 | 73.519 | 73.519 |
| **D | BLACKROCK GLOBAL ALLOCATION PORTFOLIO OF BLACKROCK SERIES FUND, INC. | 0 | 3.584 | 3.584 |
| **D | STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER TRUST | 0 | 95.607 | 95.607 |
| **D | FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND | 0 | 32.042 | 32.042 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 0 | 107.394 | 107.394 |
| **D | 1934 GLOBAL INVESTMENT FUND LP | 0 | 68.504 | 68.504 |
| **D | F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC | 0 | 5.802 | 5.802 |
| **D | TEACHERS RETIREMENT SYSTEM OF GEORGIA | 0 | 14.924.710 | 14.924.710 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND | 0 | 117.338 | 117.338 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 0 | 13.160 | 13.160 |
| **D | STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY MINIMUM VOLATILITY POOL | 0 | 1.570.384 | 1.570.384 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 209.139 | 209.139 |
| **D | GOVERNMENT INSTITUTIONS PENSION FUND | 0 | 604.310 | 604.310 |
| **D | SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 0 | 307 | 307 |
| **D | COHEN & STEERS REAL ASSETS MULTI-STRATEGY FUND | 0 | 101.492 | 101.492 |
| **D | FISHER INSTITUTIONAL INTERNATIONAL EQUITY FUND | 0 | 902.337 | 902.337 |
| **D | DANSKE INVEST EUROPE HIGH DIVIDEND FUND | 0 | 109.297 | 109.297 |
| **D | BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 0 | 178.596 | 178.596 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG ETF | 0 | 41.686 | 41.686 |
| **D | THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 0 | 1.950.351 | 1.950.351 |
| **D | SIJOITUSRAHASTO UB INFRA | 0 | 201.000 | 201.000 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND UNHEDGED | 0 | 531.320 | 531.320 |
| **D | KATHERINE C MOORE CHARITABLE LEAD ANNUIT | 0 | 1.914 | 1.914 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST | 0 | 2.150.013 | 2.150.013 |
| **D | LVUI EQUITY WORLD EX EUROPE | 0 | 6.758 | 6.758 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED | 0 | 553.068 | 553.068 |
| **D | BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 0 | 61.898 | 61.898 |
| **D | TF-EQUITY | 0 | 207.203 | 207.203 |
| **D | DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 0 | 5.875 | 5.875 |
| **D | MACQUARIE MULTI-FACTOR FUND | 0 | 23.521 | 23.521 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND |
0 | 187.648 | 187.648 |
| **D | BRUNEI SHELL RETIREMENT BENEFIT FUND | 0 | 1.967 | 1.967 |
| **D | MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND (UNHEDGED) | 0 | 875.358 | 875.358 |
| **D | EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 0 | 12.357 | 12.357 |
| **D | MACQUARIE INTERNATIONAL EQUITIES FUND | 0 | 48.533 | 48.533 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS BNP KL | 0 | 23.521 | 23.521 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS KL | 0 | 65.509 | 65.509 |
| **D | VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 0 | 104.851 | 104.851 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE | 0 | ||
| 317.518 | 317.518 | |||
| **D | FORSTA AP - FONDEN |
0 | 563.024 | 563.024 |
| **D | EQUINOR PENSJON | 0 | 100.000 | 100.000 |
| **D | JNL/BLACKROCK GLOBAL ALLOCATION FUND | 0 | 71.024 | 71.024 |
| **D | WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 0 | 3.516 | 3.516 |
| **D | VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 0 | 31.377.565 | 31.377.565 |
| **D | STRATEGIC INTERNATIONAL EQUITY FUND | 0 | 33.929 | 33.929 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER |
0 | 84.740 | 84.740 |
| **D | SAMPENSION LIVSFORSIKRING A/S | 0 | 1.039.130 | 1.039.130 |
| **D | SCHRODER SUSTAINABLE FUTURE MULTI-ASSET FUND | 0 | 56.299 | 56.299 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS KL | 0 | 136.958 | 136.958 |
| **D | ALASKA COMMON TRUST FUND | 0 | 68.653 | 68.653 |
| **D | VERDIPAPIRFONDET KRON INDEKS GLOBAL | 0 | 46.466 | 46.466 |
| **D | MORGAN STANLEY INVESTMENT FUNDS | 0 | 1.349.039 | 1.349.039 |
| **D | CARE SUPER | 0 | 32.739 | 32.739 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE INDEX FUND | 0 | 483 | 483 |
| **D | ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 0 | 247.348 | 247.348 |
| **D | NORDEA EUROPEAN PASSIVE FUND | 0 | 35.233 | 35.233 |
| **D | INVESTERINGSFORENINGEN BANKINVEST, BIX GLOBALE AKTIER ESG UNIVERSAL KL | 0 | 55.843 | 55.843 |
| **D | UI-FONDS BAV RBI AKTIEN | 0 | 246.373 | 246.373 |
| **D | NVIT INTERNATIONAL INDEX FUND | 0 | 171.556 | 171.556 |
| **D | SALT SUSTAINABLE GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.250 | 59.250 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 0 | 2.843.412 | 2.843.412 |
| **D | FOREIGN STOCK INDEX MOTHER FUND | 0 | 108.265 | 108.265 |
| **D | FUJIFILM BUSINESS INNOVATION CORP. | 0 | 402.100 | 402.100 |
| **D | COHEN & STEERS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 668.603 | 668.603 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG (AUD HEDGED) ETF | 0 | 17.730 | 17.730 |
| **D | FINREON WORLD EQUITY MULTI PREMIA DEFENSIVE PENSION CREDIT SUISSE FUNDS AG | 0 | 26.676 | 26.676 |
| **D | PK CSG WORLD EQUITY CREDIT SUISSE FUNDS AG | 0 | 63.497 | 63.497 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS CREDIT SUISSE FUNDS AG | 0 | 1.342.740 | 1.342.740 |
| **D | CSIF CH EQUITY EUROPE EX CH BLUE CREDIT SUISSE FUNDS AG | 0 | 33.034 | 33.034 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS AG | 0 | 654.090 | 654.090 |
| **D | IPAC INCOME GENERATOR | 0 | 10.346 | 10.346 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - CARBON TRANSITION GLOBAL EQUITY (CTB) UCITS ETF |
0 | 169.664 | 169.664 |
| **D | RLA INTERNATIONAL EQUITIES FUND | 0 | 59.483 | 59.483 |
| **D | GIM SPECIALIST INVESTMENT FUNDS - GIM GL RESEARCH ENHNCD INX MIN VLTY EQTY FD |
0 | 37.976 | 37.976 |
| **D | JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 0 | 518.097 | 518.097 |
| **D | JPMORGAN INCOME BUILDER FUND | 0 | 490.122 | 490.122 |
| **D | JPMORGAN GLOBAL CORE REAL ASSETS LIMITED | 0 | 23.789 | 23.789 |
| **D | JPMORGAN FUND ICVC - JPM EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND |
0 | 14.411 | 14.411 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY PREMIUM INCOME UCITS ETF |
0 | 11.997 | 11.997 |
| **D | ONEPATH GLOBAL SHARES - GLOBAL INFRASTRUCTURE (HEDGED) INDEX POOL |
0 | 243.846 | 243.846 |
| **D | JPMORGAN BETABUILDERS EUROPE ETF | 0 | 1.538.646 | 1.538.646 |
| **D | JPMORGAN GLOBAL ALLOCATION FUND | 0 | 7.252 | 7.252 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400031129 | 0 | 8.233 | 8.233 |
| **D | ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL |
0 | 178.956 | 178.956 |
| **D | JPMORGAN FUND ICVC - JPM MULTI-ASSET INCOME FUND |
0 | 15.923 | 15.923 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY MULTI-FACTOR UCITS ETF |
0 | 67.477 | 67.477 |
| **D | COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. | 0 | 1.045.237 | 1.045.237 |
| **D | AQR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL TRADING |
0 | 81.753 | 81.753 |
| **D | CSIF 2 C SUISSE LUX THEMATIC OPPORTUNITIES EQUITY FUND | 0 | 198.805 | 198.805 |
| **D | CSIF2 CS LUX ENERGY EVOLUTION EQUITY FUND | 0 | 72.000 | 72.000 |
| **D | CSIF4 CREDIT SUISSE LUX GLOBAL HIGH INCOME FUND USD | 0 | 50.280 | 50.280 |
| **D | CSIF CH III EQUITY WORLD EX CH CLIMATE CHANGE BLUE PENSION FUND PLUS CREDIT SUISSE FUNDS AG | 0 | 232 | 232 |
| **D | FINREON WORLD EQUITY ECONOMIC EXPOSURE PENSION CREDIT SUISSE FUNDS AG | 0 | 24.991 | 24.991 |
| **D | CSIF CH III EQUITY WORLD EX CH VALUE WEIGHTED PENSION FUND CREDIT SUISSE FUNDS AG | 0 | 6.578 | 6.578 |
| **D | PROFOND UMBRELLA AKTIEN AUSLAND MINIMUM VOLATILITY CREDIT SUISSE FUNDS AG | 0 | 78.480 | 78.480 |
| **D | CSIF CH III EQUITY WORLD EX CH MINIMUM VOLATILITY PF CREDIT SUISSE FUNDS AG | 0 | 121.468 | 121.468 |
| **D | CSIF CH EQUITY EMU CREDIT SUISSE FUNDS AG | 0 | 79.349 | 79.349 |
| **D | AMUNDI HK PORTFOLIOS | 0 | 267.461 | 267.461 |
| **D | HELSANA AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL DUEBENDORF | 0 | 7.888 | 7.888 |
| **D | BEST INVESTMENT CORPORATION | 0 | 573.094 | 573.094 |
| **D | HELSANA UNFALL AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 5.505 | 5.505 |
| **D | AMUNDI HK - GREEN PLANET FUND |
0 | 155.632 | 155.632 |
| **D | THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED DAILY RATED EMPLOYEES RETIREMENT FUND SCHEME | 0 | 14.468 | 14.468 |
| **D | HELSANA VERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF 5.980 |
0 | 5.980 | |
| **D | VITASOY INTERNATIONAL HOLDINGS LIMITED DEFINED BENEFIT SCHEME | 0 | 2.277 | 2.277 |
| **D | HELSANA ZUSATZVERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF 12.305 |
0 | 12.305 | |
| **D | JPM MULTI INCOME FUND | 0 | 320.628 | 320.628 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 10 | 0 | 80.006 | 80.006 |
| Pagina 15 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED GLOBAL EQUITY FUND |
0 | 244.688 | 244.688 |
| **D | TAIPEI FUBON COMERCIAL BANK LTD | 0 | 230.000 | 230.000 |
| **D | JPMORGAN MULTI BALANCED FUND | 0 | 13.700 | 13.700 |
| **D | MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 0 | 376.525 | 376.525 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 | 0 | 6.628 | 6.628 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 | 0 | 11.945 | 11.945 |
| **D | SCHRODER INSTITUTIONAL POOLED FUNDS | 0 | 38.200 | 38.200 |
| **D | AVIVA LIFE AND PENSIONS UK LIMITED | 0 | 20.588 | 20.588 |
| **D | CIVIL SERVICE EMPLOYEES PENSION FUND | 0 | 23.014 | 23.014 |
| **D | AXA INSURANCE UK PLC | 0 | 63.030 | 63.030 |
| **D | HSBC POOLED INVESTMENT FUND | 0 | 25.743 | 25.743 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX FUND |
0 | 147.872 | 147.872 |
| **D | AIA GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 20.478 | 20.478 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 | 0 | 132.696 | 132.696 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED PENSION FUND |
0 | 110.641 | 110.641 |
| **D | REASSURE LIMITED | 0 | 638.648 | 638.648 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
0 | 67.363 | 67.363 |
| **D | AVIVA INVESTORS FUNDS ACS - AI CAUTIOUS PENSION FUND |
0 | 1.591 | 1.591 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND |
0 | 255.852 | 255.852 |
| **D | AMUNDI ETF ICAV | 0 | 58.597 | 58.597 |
| **D | WESLEYAN AUTHORISED UNIT TRUST - WESLEYAN LOW RISK/REWARD GROWTH FUND |
0 | 48.071 | 48.071 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED LIFE FUND |
0 | 6.177 | 6.177 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL EUROPEAN EQUITY INDEX FUND |
0 | 276.472 | 276.472 |
| **D | LAZARD FRERES BANQUE SA | 0 | 268.170 | 268.170 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 30:70 GLOBAL EQUITY (CURRENCY HEDGED) INDEX FUND |
0 | 21.168 | 21.168 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 60:40 GLOBAL EQUITY INDEX FUND |
0 | 67.755 | 67.755 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED WORLD EX UK EQUITY INDEX FUND |
0 | 11.621 | 11.621 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 50:50 GLOBAL EQUITY INDEX FUND |
0 | 207.334 | 207.334 |
| **D | ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
0 | 200.616 | 200.616 |
| **D | INVESTMENT FUND SERVICES LIMITED | 0 | 10.711 | 10.711 |
| **D | AMUNDI ETF ICAV - AMUNDI S&P GLOBAL UTILITIES ESG UCITS ETF |
0 | 164.696 | 164.696 |
| **D | AVIVA INVESTORS UK FUND SERVICES LIMITED | 0 | 223.329 | 223.329 |
| **D | AMUNDI ETF ICAV - AMUNDI SANDP 500 EQUAL WEIGHT ESG LEADERS UCITS ETF |
0 | 8.916 | 8.916 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND |
0 | 1.340.862 | 1.340.862 |
| **D | AXA PPP HEALTHCARE LIMITED | 0 | 27.810 | 27.810 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 0 | 431.477 | 431.477 |
| **D | THE PRUDENTIAL ASSURANCE COMPANY LIMITED | 0 | 2.022 | 2.022 |
| **D | RATHBONE ACTIVE INCOME AND GROWTH FUND | 0 | 270.209 | 270.209 |
| **D | HSBC GLOBAL INVESTMENT FUNDS | 0 | 65.689 | 65.689 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD UCITS ETF |
0 | 352.337 | 352.337 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF |
0 | 35.794 | 35.794 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 0 | 626.959 | 626.959 |
| **D | SCHWEIZERISCHE MOBILIAR ASSET MANAGEMENT AG | 0 | 350.500 | 350.500 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLKB EQUITY SWITZERLAND FOCUS | 0 | 1.458.437 | 1.458.437 |
| **D | AMUNDI DEUTSCHLAND GMBH | 0 | 215.011 | 215.011 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH | 0 | 248.639 | 248.639 |
| **D | IF IST - GLOBE INDEX |
0 | 70.420 | 70.420 |
| **D | IF IST - AKTIEN WELT |
0 | 63.086 | 63.086 |
| **D | VERTI VERSICHERUNG AG | 0 | 173.608 | 173.608 |
| **D | VERTI ASSICURAZIONI SPA | 0 | 101.033 | 101.033 |
| **D | CERVURITEINTERNATIONALLLC | 0 | 20.155 | 20.155 |
| **D | UNIGEST, S.G.I.I.C., S.A.U. | 0 | 167.601 | 167.601 |
| **D | NANCY AND CLARKGIBBS LIVINGTRUST | 0 | 91 | 91 |
| **D | VIDACAIXA, S.A. | 0 | 831.838 | 831.838 |
| **D | INVESTERINGSFORENINGEN BANKINVEST BORSNOTEREDE ALTERNATIVER | 0 | 32.143 | 32.143 |
| **D | HYDRO ONE PENSION PLAN | 0 | 1.252.700 | 1.252.700 |
| **D | BMO CANADA PENSION PLAN | 0 | 731.034 | 731.034 |
| **D | IMCO GLOBAL PUBLIC EQUITY LP | 0 | 3.621.929 | 3.621.929 |
| **D | STATE OF WISCONSIN INVESTMENT BOARD | 0 | 8.436 | 8.436 |
| **D | AUTORIDADE MONETARIA DE MACAU | 0 | 37.052 | 37.052 |
| **D | SUBSIDIZED SCHOOLS PROVIDENT FUND | 0 | 94.146 | 94.146 |
| **D | WILLIS TOWERS WATSON GROUP TRUST | 0 | 37.204 | 37.204 |
| **D | CARGILL INC AND ASSOCIATED COMPANIES MASTER PENSION TRUST | 0 | 117.840 | 117.840 |
| **D | KAPITALFORENINGEN INVESTIN PRO LOW RISK EQUITIES II | 0 | 19.689 | 19.689 |
| **D | KAPITALFORENINGEN INVESTIN PRO ACADIAN GLOBAL VALUE | 0 | 56.718 | 56.718 |
| **D | NATWEST TDS DEP BNYM RM GLO EQ FUND | 0 | 23.775 | 23.775 |
| **D | BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 0 | 85.883 | 85.883 |
| **D | NEUALT LLC | 0 | 108.312 | 108.312 |
| **D | INVESCO MARKETS II PLC | 0 | 64.769 | 64.769 |
| **D | LEGAL AND GENERAL UCITS ETF PLC | 0 | 80.623 | 80.623 |
| **D | MACQUARIE MANAGEMENT HOLDINGS INC | 0 | 16.237 | 16.237 |
| **D | KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 0 | 121.443 | 121.443 |
| **D | VANGUARD FTSE ALL WORLD EX US INDEX FUND | 0 | 4.555.689 | 4.555.689 |
| **D | VANGUARD EUROPEAN STOCK INDEX FUND | 0 | 4.682.570 | 4.682.570 |
| **D | GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA TOTAL INTERNATIONAL EQUITY ETF | 0 | 34.275 | 34.275 |
| **D | CENTRAL PENSION FUND OF THE INT UNION OF OPERATING ENGINEERS AND PARTICIPATING EMPLOYERS | 0 | 201.970 | 201.970 |
| **D | RIVER PARTNERS GLOBAL EQUITY LLC | 0 | 2.349 | 2.349 |
| **D | MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 0 | 22.097 | 22.097 |
| **D | MCGILL UNIVERSITY PENSION PLAN | 0 | 9.239 | 9.239 |
| **D | TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 0 | 9.781 | 9.781 |
| **D | VOYA VACS INDEX SERIES I PORTFOLIO | 0 | 189.877 | 189.877 |
| **D | PURPOSE INTERNATIONAL DIVIDEND FUND | 0 | 41.248 | 41.248 |
| **D | DANMARKS GRUNDFORSKNINGFOND | 0 | 5.850 | 5.850 |
| **D | CONSOLIDATED EDISON RETIREMENT PLAN | 0 | 43.841 | 43.841 |
| **D | HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 15.440 | 15.440 |
| **D | ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 13.414 | 13.414 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 0 | 30.975 | 30.975 |
| **D | GENERAL MILLS GROUP TRUST | 0 | 168.471 | 168.471 |
| **D | WILSHIRE SOLUTIONS FUNDS TRUST | 0 | 20.789 | 20.789 |
| **D | POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 0 | 2.622 | 2.622 |
| **D | CERVURITE INTERNATIONAL LLC | 0 | 41.669 | 41.669 |
| **D | MASTERS I LLC | 0 | 8.221 | 8.221 |
| **D | DEUTSCHE DCG EQ | 0 | 7.555 | 7.555 |
| **D | NORTH CAROLINA SUPPLEMENTAL RETIREMENT PLANS GROUP TRUST | 0 | 5.950.778 | 5.950.778 |
| **D | DREXEL UNIVERSITY | 0 | 50.616 | 50.616 |
| **D | THE ACADEMY OF NATURAL SCIENCES OF PHILADELPHIA | 0 | 4.986 | 4.986 |
| **D | MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 0 | 51.264 | 51.264 |
| **D | CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATING | 0 | 46.102 | 46.102 |
| **D | THE COMMONWEALTH FUND | 0 | 2.171 | 2.171 |
| **D | CITW FUND LP | 0 | 2.384 | 2.384 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL | 0 | 33.460 | 33.460 |
| **D | MOTHER CABRINI HEALTH FOUNDATION INC | 0 | 91.901 | 91.901 |
| **D | FLORIDA GLOBAL EQUITY FUND LLC | 0 | 27.258 | 27.258 |
| **D | GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO | 0 | 40.289 | 40.289 |
| **D | WILMINGTON GLOBAL ALPHA EQUITIES FUND | 0 | 14.677 | 14.677 |
| **D | TEXAS UTILITIES QUAL NDT PARTNERSHIP | 0 | 9.239 | 9.239 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS ZDV EVO | 0 | 6.757 | 6.757 |
| **D | TD EMERALD LOW CARBON GLOBAL EQUITY INDEX POOLED FUND TRUST | 0 | 15.934 | 15.934 |
| **D | THE PENSION FUND SOCIETY OF THE TORONTO DOMINIONBANK | 0 | 215.272 | 215.272 |
| **D | TD PENSION PLAN CANADA | 0 | 98.968 | 98.968 |
| **D | TD INTERNATIONAL EQUITY INDEX ETF | 0 | 132.440 | 132.440 |
| **D | TD Q INTERNATIONAL LOW VOLATILITY ETF | 0 | 10.670 | 10.670 |
| **D | TD EUROPEAN INDEX FUND | 0 | 12.227 | 12.227 |
| **D | TD GLOBAL LOW VOLATILITY FUND | 0 | 183.501 | 183.501 |
| **D | TD GLOBAL SHAREHOLDER YIELD FUND | 0 | 871.910 | 871.910 |
| **D | TD EMERALD LOW CARBON LOW VOLATILITY GLOBALEQUITY PFT | 0 | 4.010 | 4.010 |
| **D | TD EMERALD INTERNATIONAL EQUITY INDEX FUND | 0 | 392.433 | 392.433 |
| **D | TD EMERALD LOW VOLATILITY GLOBAL EQUITY POOLEDFUND TRUST | 0 | 51.770 | 51.770 |
| **D | TD EMERALD GLOBAL EQUITY SHARE HOLDER YIELD POOLEDFUND TRUST | 0 | 707.488 | 707.488 |
| **D | TD EMERALD LOW VOLATILITY GLBL EQTY NON-TAXABLEINVESTOR PFT | 0 | 135.222 | 135.222 |
| **D | MARGUERITE CASEY FOUNDATION | 0 | 1.859 | 1.859 |
| **D | WINDWISE MSCI EAFE INDEX NON LENDING | 0 | 55.608 | 55.608 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 0 | 412.804 | 412.804 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN | 0 | 942.248 | 942.248 |
| **D | BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 0 | 159.896 | 159.896 |
| **D | BLACKROCK FUND MANAGERS LTD | 0 | 1.441.616 | 1.441.616 |
| **D | NATIONAL BANK FINANCIAL INC | 0 | 1.378.632 | 1.378.632 |
| **D | PUBLIC SERVICE ELECTRIC AND GAS NON QUALIFIED TRUST | 0 | 631.763 | 631.763 |
| **D | KAPITALFORENINGEN INVESTIN PRO VELLIV WORLD EQUITY INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS | 0 | 1.399.893 | 1.399.893 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | THE GOLDMAN SACHS FOUNDATION | 0 | 61.690 | 61.690 |
| **D | THE UNIVERSITY COURT OF THE UNIVERSITY OF GLASGOW | 0 | 15.568 | 15.568 |
| **D | TEXAS PERMANENT SCHOOL FUND CORP | 0 | 207.300 | 207.300 |
| **D | BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 0 | 14.577 | 14.577 |
| **D | ARIZONA STATE RETIREMENT SYSTEM | 0 | 598.766 | 598.766 |
| **D | 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 0 | 2.009 | 2.009 |
| **D | RICHARD KING MELLON FDN | 0 | 538.369 | 538.369 |
| **D | R K MELLON INTERNATIONAL FUND | 0 | 310.659 | 310.659 |
| **D | SANTA BARBARA COUNTY EMPLOYEES RETIREMENT SYSTEM | 0 | 104.852 | 104.852 |
| **D | RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST | 0 | 3.481.252 | 3.481.252 |
| **D | COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS | 0 | 14.344 | 14.344 |
| **D | IMPERIAL INTERNATIONAL EQUITY POOL | 0 | 72.512 | 72.512 |
| **D | CIBC INTERNATIONAL EQUITY INDEX ETF | 0 | 4.000 | 4.000 |
| **D | CIBC QX INTERNATIONAL LOW VOLATILITY DIVIDEND ETF | 0 | 3.211 | 3.211 |
| **D | CIBC INTERNATIONAL INDEX FUND | 0 | 97.414 | 97.414 |
| **D | CIBC EUROPEAN INDEX FUND | 0 | 9.701 | 9.701 |
| **D | CIBC INTERNATIONAL EQUITY INDEX POOL | 0 | 3.041 | 3.041 |
| **D | BNY MELLON INTERNATIONAL EQUITY ETF | 0 | 63.464 | 63.464 |
| **D | XTRACKERS MSCI KOKUSAI EQUITY ETF | 0 | 18.569 | 18.569 |
| **D | PITTSBURGH THEOLOGICAL SEMINARY OF THE PRESBYTERIAN CHURCH | 0 | 11.756 | 11.756 |
| **D | WELLS FARGO AND COMPANY CASH BALANCE PLAN | 0 | 571.934 | 571.934 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA VALUE KL | 0 | 33.176 | 33.176 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL | 0 | 54.341 | 54.341 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 0 | 163.084 | 163.084 |
| **D | THE ESB PENSION FUND | 0 | 201.462 | 201.462 |
| **D | FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD | 0 | 9.729.162 | 9.729.162 |
| **D | XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 0 | 11.803 | 11.803 |
| **D | AIB GROUP IRISH PENSION SCHEME | 0 | 107.477 | 107.477 |
| **D | BANK OF KOREA | 0 | 5 | 5 |
| **D | LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 0 | 948 | 948 |
| **D | SIEMENS EMU EQUITIES | 0 | 195.880 | 195.880 |
| **D | KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 0 | 30.417 | 30.417 |
| **D | THE GREAT EASTERN LIFE ASSURANCE COMPANY LIMITED | 0 | 8.770 | 8.770 |
| **D | RARE GLOBAL INFRASTRUCTURE VALUE FUND | 0 | 734.247 | 734.247 |
| **D | INVESTERINGSFORENINGEN NYKREDIT INVEST GLOBALE AKTIER BASIS | 0 | 16.527 | 16.527 |
| **D | INVESCO MARKETS III PLC | 0 | 2.133 | 2.133 |
| **D | INVESCO FTSE RAFI EMERGING MARKETS UCITS ETF | 0 | 118.547 | 118.547 |
| **D | INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 0 | 230.957 | 230.957 |
| **D | GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 0 | 40.625 | 40.625 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHILDERS AFW ERKINGS ENGLASZETBEDRIJF | 0 | 13.611 | 13.611 |
| **D | BLACKROCK LIFE LIMITED | 0 | 13.202 | 13.202 |
| **D | FIRST TRUST STOXX EUROPEAN SELECT DIVIDEND INDEX FUND | 0 | 824.925 | 824.925 |
| **D | PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST | 0 | 83.448 | 83.448 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GREAT WEST INTERNATIONAL INDEX FUND | 0 | 217.140 | 217.140 |
| **D | MUNICIPAL EMPLOYEES PENSION PLAN | 0 | 140.556 | 140.556 |
| **D | UNIVERSITY OF NOTRE DAME DU LAC | 0 | 45.412 | 45.412 |
| **D | MACQUARIE FIRST TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID | 0 | 809.284 | 809.284 |
| **D | ISHARES VII PUBLIC LIMITED COMPANY | 0 | 188.183 | 188.183 |
| **D | PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 0 | 137.656 | 137.656 |
| **D | THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 0 | 1.484.844 | 1.484.844 |
| **D | INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 0 | 34.010 | 34.010 |
| **D | LF MACQUARIE GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 972.410 | 972.410 |
| **D | PRINCIPAL FUNDS INC OVERSEAS FUND | 0 | 62.336 | 62.336 |
| **D | STANLIB FUNDS LIMITED | 0 | 904 | 904 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 0 | 87.467 | 87.467 |
| **D | TEXAS PERMANENT SCHOOL FUND CORPORATION | 0 | 642.892 | 642.892 |
| **D | ABB PENSION FUND | 0 | 1.772 | 1.772 |
| **D | INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 0 | 3.203 | 3.203 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND | 0 | 254.669 | 254.669 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 0 | 240.655 | 240.655 |
| **D | IMPERIAL GLOBAL EQUITY INCOME POOL | 0 | 50.306 | 50.306 |
| **D | IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 0 | 83.081 | 83.081 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 0 | 342.040 | 342.040 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | 0 | 1.646 | 1.646 |
| **D | BLACKROCK GLOBAL FUNDS | 0 | 630.583 | 630.583 |
| **D | XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 0 | 12.693 | 12.693 |
| **D | CANADA LIFE DIVERSIFIED REAL ASSETS FUND | 0 | 35.307 | 35.307 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 0 | 2.611 | 2.611 |
| **D | VOYA INTERNATIONAL INDEX PORTFOLIO | 0 | 136.776 | 136.776 |
| **D | COUNSEL DEFENSIVE GLOBAL EQUITY | 0 | 3.192 | 3.192 |
| **D | NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POWER PLANT | 0 | 3.546 | |
| 3.546 | ||||
| **D | ARIZONA PSPRS TRUST | 0 | 279.283 | 279.283 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 0 | 272.518 | 272.518 |
| **D | SEMPRA ENERGY PENSION MASTER TRUST | 0 | 18.098 | 18.098 |
| **D | DELAWARE GLOBAL LISTED REAL ASSETS FUND | 0 | 219.123 | 219.123 |
| **D | KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 0 | 10.488 | 10.488 |
| **D | BLACKROCK LIFE LTD | 0 | 551.132 | 551.132 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 3.724.077 | 3.724.077 |
| **D | XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 0 | 96.239 | 96.239 |
| **D | THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 0 | 2.588.006 | 2.588.006 |
| **D | STANDARD BANK OF SOUTH AFRICA LTD | 0 | 25.687 | 25.687 |
| **D | FARMERS GROUP INC 401 K SAVINGS PLAN | 0 | 1.281.614 | 1.281.614 |
| **D | XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 0 | 665.720 | 665.720 |
| **D | MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 0 | 74.878 | 74.878 |
| **D | XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 0 | 9.785 | 9.785 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MACK EAFE EQUITY POOL | 0 | 51.638 | 51.638 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 123.074 | 123.074 |
| **D | FEDERATED HERMES INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND | 0 | 3.703.925 | 3.703.925 |
| **D | FEDERATED HERMES INTERNATIONAL DIVIDEND STRATEGY PORTFOLIO | 0 | 818.200 | 818.200 |
| **D | FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 0 | 5.832.158 | 5.832.158 |
| **D | CITIGROUP PENSION PLAN | 0 | 194.371 | 194.371 |
| **D | BNY MELLON INTERNATIONAL STOCK INDEX FUND | 0 | 40.181 | 40.181 |
| **D | MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 0 | 7.869 | 7.869 |
| **D | GLOBAL X MSCI SUPERDIVIDEND EAFE ETF | 0 | 38.560 | 38.560 |
| **D | GLOBAL X SANDP CATHOLIC VALUES DEVELOPED EX US ETF | 0 | 2.487 | 2.487 |
| **D | UPSTREAMCO PENSION TRUST | 0 | 53.720 | 53.720 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT | 0 | 94.275 | 94.275 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT GMBH | 0 | 59.049 | 59.049 |
| **D | INVESCO S AND P INTERNATIONAL DEVELOPED LOW VOLATILITY ETF | 0 | 415.026 | 415.026 |
| **D | FIRST TRUST HORIZON MANAGED VOLATILITY DEVELOPED INTERNATIONAL ETF | 0 | 26.340 | 26.340 |
| **D | VIRTUS WMC INTERNATIONAL DIVIDEND ETF | 0 | 5.802 | 5.802 |
| **D | TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 0 | 15.059.413 | 15.059.413 |
| **D | FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 0 | 26.052 | 26.052 |
| **D | DIOCESE OF VENICE PENSION PLAN AND TRUST | 0 | 906 | 906 |
| **D | PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 0 | 2.541.261 | 2.541.261 |
| **D | MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF OMAN | 0 | 80.350 | 80.350 |
| **D | STICHTING PENSIOENFONDS UWV | 0 | 148.374 | 148.374 |
| **D | NATIONAL TREASURY MANAGEMENT AGCY | 0 | 68.686 | 68.686 |
| **D | NSP MONTICELLO MINNESOTA RETAIL | 0 | 19.314 | 19.314 |
| **D | NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 0 | 6.330 | 6.330 |
| **D | NSP MINNESEOTA RETAIL PRAIRIE II | 0 | 13.281 | 13.281 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING FOR ACCOUNT OF BPT | 0 | 21.382 | 21.382 |
| **D | VANGUARD INTL HIGH DIV YLD INDEX FD | 0 | 1.365.146 | 1.365.146 |
| **D | GOLDMAN SACHS GLOBAL INFRASTRUCTURE FUND | 0 | 523.532 | 523.532 |
| **D | PGE CORPORATION RETIREMENT MASTER TRUST | 0 | 306.616 | 306.616 |
| **D | PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO | 0 | 292.613 | 292.613 |
| **D | KOOKMIN BANK ACTING AS TRUSTEE OF HANA ALTERNATIVE ASSET DWS GLOBAL LISTED INFRASTRUCTURE QUALIFIED | 0 | 144.930 | |
| 144.930 | ||||
| **D | STICHTING PENSIOENFONDS HOOGOVENS | 0 | 94.533 | 94.533 |
| **D | DEAM FONDS ZDV | 0 | 17.644 | 17.644 |
| **D | FIDELITY SAI INTERNATIONAL INDEX FUND | 0 | 801.674 | 801.674 |
| **D | SHELL CANADA 2007 PENSION PLAN | 0 | 1.754 | 1.754 |
| **D | AURION GLOBAL EQUITY FUND | 0 | 7.302 | 7.302 |
| **D | AZL INTERNATIONAL INDEX FUND | 0 | 153.285 | 153.285 |
| **D | AZL DFA INTERNATIONAL CORE EQUITY FUND | 0 | 15.113 | 15.113 |
| **D | AGF SYSTEMATIC GLOBAL INFRASTRUCTURE ETF | 0 | 619.547 | 619.547 |
| **D | XTRACKERS MSCI ALL WORLD EX US HIGH DIVIDEND YIELD EQUITY E | 0 | 5.349 | 5.349 |
| **D | XTRACKERS MSCI EAFE HIGH DIVIDEND YIELD EQUITY ETF | 0 | 1.140.106 | 1.140.106 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 0 | 742.002 | 742.002 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE STATE OF HAWAII | 0 | 848.815 | 848.815 |
| **D | LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST 290.738 |
0 | 290.738 | |
| **D | SIEMENS BALANCED | 0 | 42.573 | 42.573 |
| **D | SISTERS OF CHARITY OF LEAVENWORTH HEALTH SYSTEM MASTER TRUST | 0 | 117.893 | 117.893 |
| **D | ISHARES PUBLIC LIMITED COMPANY | 0 | 749.843 | 749.843 |
| **D | ALASKA PERMANENT FUND CORPORATION | 0 | 2.491.542 | 2.491.542 |
| **D | GENERAL SYNOD PENSION PLAN | 0 | 62.824 | 62.824 |
| **D | PMPT INKA FONDS | 0 | 105.701 | 105.701 |
| **D | INKA PBEAKK | 0 | 832.929 | 832.929 |
| **D | COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR | 0 | 323.267 | 323.267 |
| **D | MICROSOFT CORPORATION | 0 | 13.830 | 13.830 |
| **D | IVY APOLLO MULTI ASSET INCOME FUND | 0 | 85.717 | 85.717 |
| **D | LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 0 | 2.627.978 | 2.627.978 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 0 | 931.725 | 931.725 |
| **D | RETIREMENT BENEFITS INVESTMENT FUND | 0 | 16.418 | 16.418 |
| **D | CITY OF AUSTIN EMPLOYEES RETIREMENT SYSTEM | 0 | 120.596 | 120.596 |
| **D | POOL REINSURANCE CO LTD | 0 | 13.584 | 13.584 |
| **D | PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 0 | 9.464 | 9.464 |
| **D | HEALTHCARE EMPLOYEES PENSION PLAN MANITOBA | 0 | 880.819 | 880.819 |
| **D | LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL | 0 | ||
| 1.872.859 | 1.872.859 | |||
| **D | FLORIDA RETIREMENT SYSTEM TRUST FUND | 0 | 77 | 77 |
| **D | PENSION RESERVES INVESTMENT TRUST FUND | 0 | 4.350.853 | 4.350.853 |
| **D | HIGHMARK INC | 0 | 188.400 | 188.400 |
| **D | SOUTH DAKOTA RETIREMENT SYSTEM | 0 | 96.400 | 96.400 |
| **D | THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 0 | 1.127 | 1.127 |
| **D | DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 0 | 69.015 | 69.015 |
| **D | QUALITY EDUCATION FUND | 0 | 3.990 | 3.990 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 0 | 197.900 | 197.900 |
| **D | ADVANCE PLANNING LIMITED | 0 | 5.210 | 5.210 |
| **D | DIGNITY PRE ARRANGEMENT LIMITED | 0 | 7.377 | 7.377 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 0 | 53.397 | 53.397 |
| **D | BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA | 0 | 46.837 | 46.837 |
| **D | HSBC GLOBAL EQUITY VOLATILITY FOCUSED FUND | 0 | 75.593 | 75.593 |
| **D | HSBC INTERNATIONAL EQUITY INDEX FUND | 0 | 26.935 | 26.935 |
| **D | SOUTH CAROLINA RETIREMENT SYSTEMS GROUP TRUST | 0 | 247.270 | 247.270 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR | 0 | 5.136 | 5.136 |
| **D | STICHTING BEDRIJFSPENSIOENFONDS VOOR HET | 0 | 5.972 | 5.972 |
| **D | PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 0 | 6.716 | 6.716 |
| **D | ENERGY INSURANCE MUTUAL LIMITED | 0 | 10.266 | 10.266 |
| **D | MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 0 | 9.984 | 9.984 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | METROPOLITAN LIFE INSURANCE COMPANY | 0 | 80.366 | 80.366 |
| **D | IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 0 | 101.216 | 101.216 |
| **D | MET WAT REC DST RF NRN TRUST GLV 997261 | 0 | 4.357 | 4.357 |
| **D | BOCI PRUDENTIAL TRUSTEE LIMITED BOCPIFS EUIF | 0 | 110.361 | 110.361 |
| **D | SEEYOND | 0 | 150.645 | 150.645 |
| **D | ICP PLACEMENT | 0 | 5.185 | 5.185 |
| **D | SILVER AMUNDI EUROPE EQUITY CO | 0 | 182.193 | 182.193 |
| **D | PROCURA FONDS TAUBE BL ACCOUNT | 0 | 11.840 | 11.840 |
| **D | AFS ICAV GLOBAL MULTI ASSET GR | 0 | 12.792 | 12.792 |
| **D | ECOFIN SUSTAINABLE LISTED INFR | 0 | 10.238 | 10.238 |
| **D | LYXOR FTSE MIB UCITS ETF | 0 | 1.968.642 | 1.968.642 |
| **D | LYXOR MSCI EUROPE UCITS ETF | 0 | 148.347 | 148.347 |
| **D | SG ACTIONS EURO RENDEMENT ISR | 0 | 74.385 | 74.385 |
| **D | SG ACTIONS ENERGIE EUROPE | 0 | 77.606 | 77.606 |
| **D | SG ACTIONS INTERNATIONALES | 0 | 62.014 | 62.014 |
| **D | SG BLACKROCK FLEXIBLE ISR | 0 | 12.677 | 12.677 |
| **D | LYXINDEX FUND - LYXOR MSCI EMU |
0 | 114.629 | 114.629 |
| **D | MULTI UNITS LUX-LYXOR CORE MSC | 0 | 166.453 | 166.453 |
| **D | LYXOR CORE MSCI WORLD (DR) UCI | 0 | 119.505 | 119.505 |
| **D | MUL- LYX FTSE IT ALL CAP PIR 2 |
0 | 55.707 | 55.707 |
| **D | LIF-LYXOR MSCI WORLD CATHOL PR | 0 | 24.303 | 24.303 |
| **D | ASI - PROGETTO SVILUPPO GLOBAL |
0 | 382.754 | 382.754 |
| **D | PSSF-PROGETTO AZIONE SOSTENIBI | 0 | 3.806 | 3.806 |
| **D | ASI - PROGETTO AZIONE SOSTENIB |
0 | 5.045 | 5.045 |
| **D | AMIF - EMU EQUITY |
0 | 137.392 | 137.392 |
| **D | AMIF - EUROPEAN EQUITY |
0 | 183.689 | 183.689 |
| **D | AIF- TACTICAL PORTFOLIO INCOME |
0 | 51.772 | 51.772 |
| **D | AMUNDI TOTAL RETURN | 0 | 61.771 | 61.771 |
| **D | ASI - BILANCIATO PERCORSO ATTI |
0 | 71.511 | 71.511 |
| **D | ASI BIL PER ATTIVO III | 0 | 50.265 | 50.265 |
| **D | MULTI UNITS LUX AM STX EU 600 | 0 | 2.011.991 | 2.011.991 |
| **D | AIF-MULTI-ASSET TEODORICO | 0 | 79.782 | 79.782 |
| **D | AMUNDI SGR SPA/SECONDAPENSIONE FONDO PENSIONE APERTO | 0 | 2.048.222 | 2.048.222 |
| **D | AMUNDI SGR SPA / AMUNDI RISPARMIO ITALIA | 0 | 826.883 | 826.883 |
| **D | AMUNDI SGR SPA/AMUNDI SVILUPPO ATTIVO ITALIA | 0 | 1.775.000 | 1.775.000 |
| **D | AMUNDI SGR SPA/CORE PENSION FONDO PENSIONE APERTO | 0 | 877.050 | 877.050 |
| **D | AMUNDI SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE | 0 | 584.657 | 584.657 |
| **D | AMUNDI SGR SPA / AMUNDI BILANCIATO PIU` | 0 | 358.368 | 358.368 |
| **D | AMUNDI SGR SPA / OBBLIGAZIONARIO PIU` A DIS TRIBUZIONE | 0 | 288.533 | 288.533 |
| **D | CHERRY TREE FUND A SERIES TRUS | 0 | 1.271.825 | 1.271.825 |
| **D | SEI GLOBAL MASTER FUND PLC THE | 0 | 16.433 | 16.433 |
| **D | AB SICAV III - DYNAMIC ALL MAR |
0 | 5.132 | 5.132 |
| **D | KOKUSAI EQUITY INDEX FUND, A S | 0 | 46.838 | 46.838 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MORGAN STANLEY PATHWAY FUNDS - | 0 | 58.564 | 58.564 |
| **D | CNS GLOBAL LIST INFRASTRUCTURE | 0 | 348.484 | 348.484 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE | 0 | 946.408 | 946.408 |
| **D | NORTHERN LIGHTS FUND TRUST IV | 0 | 58.760 | 58.760 |
| **D | BRIDGE BUILDER INTERNATIONAL E | 0 | 33.092.791 | 33.092.791 |
| **D | INSPIRE INTERNATIONAL ETF | 0 | 302.830 | 302.830 |
| **D | BLK MAGI FUND A SERIES TRUST O | 0 | 410 | 410 |
| **D | BRIDGE BUILDER TAX MANAGED | 0 | 18.398 | 18.398 |
| **D | DESTINATIONS INTERNATIONAL EQU | 0 | 51.082 | 51.082 |
| **D | BLACKROCK GLOBAL ALLOCATION FU | 0 | 448.635 | 448.635 |
| **D | AB CAYMAN MASTER TRUST - GLOBA |
0 | 75.731 | 75.731 |
| **D | AMUNDI AUSTRIA | 0 | 47.082 | 47.082 |
| **D | MLC INVESTMENTS MLC LIMITED | 0 | 182.241 | 182.241 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II |
0 | 805.669 | 805.669 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE |
0 | 269.492 | 269.492 |
| **D | MIGROS BANK (LUX) FONDS 30 | 0 | 3.200 | 3.200 |
| **D | MIGROS BANK (LUX) FONDS 40 (EUR) | 0 | 3.280 | 3.280 |
| **D | MIGROS BANK (LUX) FONDS 50 | 0 | 4.600 | 4.600 |
| **D | MIGROS BANK (LUX) FONDS INTERSTOCK | 0 | 6.200 | 6.200 |
| **D | UBS (LUX) SICAV 1 | 0 | 7.257 | 7.257 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
0 | 2.203 | 2.203 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) |
0 | 9.802 | 9.802 |
| **D | UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
0 | 8.330 | 8.330 |
| **D | STRATEGY SICAV | 0 | 10.846 | 10.846 |
| **D | UBS FUND MANAGEMENT(LUXEMBOURG) SA | 0 | 289.990 | 289.990 |
| **D | UBS (LUX) EQUITY SICAV - EUROPEAN - HIGH DIVIDEND (EUR) |
0 | 362.788 | 362.788 |
| **D | UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 0 | 3.951 | 3.951 |
| **D | UBS (LUX) EQUITY SICAV - EURO COUNTRIES INCOME |
0 | 681.914 | 681.914 |
| **D | LGIASUPER | 0 | 129.085 | 129.085 |
| **D | PRIME SUPER | 0 | 3.141 | 3.141 |
| **D | GENERATION LIFE LIMITED | 0 | 138.074 | 138.074 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 0 | 413.448 | 413.448 |
| **D | STIHL INTERNATIONAL GMBH | 0 | 780.849 | 780.849 |
| **D | NORGES BANK | 0 | 19.171.615 | 19.171.615 |
| **D | AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 0 | 2.776 | 2.776 |
| **D | FONDS DE PLACEMENT PROMUTUEL GROUPE PROMUTUEL FEDERATION DE SOCIETES MUTUELLES DASSURANCE GENERALE 91.715 |
0 | 91.715 | |
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 1.536.625 | 1.536.625 |
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 2.162.834 | 2.162.834 |
| **D | LGIM MANAGERS (EUROPE) LIMITED | 0 | 1.272.267 | 1.272.267 |
| **D | GENERAL ORGANISATION FOR SOCIAL INSURANCE. | 0 | 1.616.406 | 1.616.406 |
| **D | INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 0 | 440.640 | 440.640 |
| **D | INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT | 0 | 31.366 | 31.366 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN | 0 | 205.880 | 205.880 |
| **D | WHEELS COMMON INVESTMENT FUND. | 0 | 3.585 | 3.585 |
| **D | CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS. | 0 | 17.657 | 17.657 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 0 | 207.035 | 207.035 |
| **D | LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 0 | 35.491 | 35.491 |
| **D | LEGAL & GENERAL GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.806.933 | 1.806.933 |
| **D | LEGAL & GENERAL FUTURE WORLD CLIMATE CHANGE EQUITY FACTORS I | 0 | 5.969 | 5.969 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 0 | 74.003 | 74.003 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 0 | 31.528 | 31.528 |
| **D | LEGAL & GENERAL EUROPEAN INDEX TRUST | 0 | 1.201.772 | 1.201.772 |
| **D | LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 0 | 241.405 | 241.405 |
| **D | GARD UNIT TRUST | 0 | 33.808 | 33.808 |
| **D | MONDRIAN FUNDS PLC | 0 | 111.898 | 111.898 |
| **D | ATLAS GLOBAL INFRASTRUCTURE UCITS ICAV | 0 | 18.118.323 | 18.118.323 |
| **D | BARINGS INTERNATIONAL UMBRELLA FUND | 0 | 144.748 | 144.748 |
| **D | STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 0 | 13.024 | 13.024 |
| **D | MFG INVESTMENT FUND PLC | 0 | 229.958 | 229.958 |
| **D | OSMOSIS ICAV | 0 | 15.780 | 15.780 |
| **D | LEGAL & GENERAL ICAV. | 0 | 873 | 873 |
| **D | NORTHERN TRUST UCITS FGR FUND | 0 | 318.021 | 318.021 |
| **D | SCHLUMBERGER INTERNATIONAL STAFF RETIREMENT FUND FCP-SIF. | 0 | 9.119 | 9.119 |
| **D | VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS. | 0 | 95.336 | 95.336 |
| **D | VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEKS | 0 | 354.942 | 354.942 |
| **D | PUBLIC SECTOR PENSION INVESTMENT BOARD. | 0 | 11.020 | 11.020 |
| **D | SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 0 | 2.166.601 | 2.166.601 |
| **D | TRUST FOR RETIREE MEDICAL DENTAL AND LIFE INSURANCE OF THE | 0 | 70.132 | 70.132 |
| **D | THE RETIREMENT ANNUITY PLAN FOR EMPLOYEES OF THE ARMY AND AI | 0 | 156.921 | 156.921 |
| **D | CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 0 | 935.515 | 935.515 |
| **D | CSAA INSURANCE EXCHANGE | 0 | 12.833 | 12.833 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING |
0 | 98.840 | 98.840 |
| **D | SCHLUMBERGER GROUP TRUST AGREEMENT | 0 | 48.715 | 48.715 |
| **D | MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT PLANS | 0 | 14.272 | 14.272 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX-US F | 0 | 114.460 | 114.460 |
| **D | GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 0 | 14.190 | 14.190 |
| **D | RETURN TO WORK CORPORATION OF SOUTH AUSTRALIA | 0 | 817.839 | 817.839 |
| **D | THE MINDEROO FOUNDATION TRUST | 0 | 11.576 | 11.576 |
| **D | EQUIPSUPER | 0 | 46.730 | 46.730 |
| **D | STICHTING PENSIOENFONDS SAGITTARIUS | 0 | 46.247 | 46.247 |
| **D | STICHTING HEINEKEN PENSIOENFONDS | 0 | 25.192 | 25.192 |
| **D | STICHTING PENSIOENFONDS APF. | 0 | 244.201 | 244.201 |
| **D | STICHTING PME PENSIOENFONDS | 0 | 280.987 | 280.987 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 0 | 9.516.731 | 9.516.731 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F | 0 | 347.915 | 347.915 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | FUTURE FUND INVESTMENT COMPANY NO.2 PTY LTD | 0 | 4.700.000 | 4.700.000 |
| **D | MRFF INVESTMENT COMPANY NO. 2 PTY LTD. | 0 | 575.546 | 575.546 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. | 0 | 81.261 | 81.261 |
| **D | NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 0 | 2.426.992 | 2.426.992 |
| **D | UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 0 | 12.116 | 12.116 |
| **D | THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 0 | 19.687 | 19.687 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE CIT | 0 | 971.248 | 971.248 |
| **D | FIDELITY INVESTMENTS CHARITABLE GIFT FUND DTD 8/18/2009 | 0 | 20.374 | 20.374 |
| **D | STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 0 | 5.250 | 5.250 |
| **D | EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 0 | 409.462 | 409.462 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | 0 | 96.190 | 96.190 |
| **D | R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 3.700 | 3.700 |
| **D | RUTGERS THE STATE UNIVERSITY | 0 | 23.624 | 23.624 |
| **D | PCA TAX SHELTERED ANNUITY PLAN | 0 | 10.740 | 10.740 |
| **D | CSX CORP MASTER PENSION TRUST | 0 | 70.380 | 70.380 |
| **D | CONSTELLATION FITZPATRICK QUALIFIED FUND | 0 | 9.186 | 9.186 |
| **D | CONSUMERS ENERGY COMPANY NON-UNION WELFARE BENEFIT TRUST TO PROVIDE FOR RETIREE HEALTH CARE AND | 0 | 4.859 | 4.859 |
| **D | MASTER TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL | 0 | 203.520 | 203.520 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT TWO QUALIFIED FUND | 0 | 4.800 | 4.800 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 0 | 200 | 200 |
| **D | THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT | 0 | 41 | 41 |
| **D | THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 0 | 31.443 | 31.443 |
| **D | ADVOCATE HEALTH AND HOSPITALS CORPORATION | 0 | 3.417.245 | 3.417.245 |
| **D | JOSHUA GREEN CORPORATION | 0 | 11.829 | 11.829 |
| **D | IBM PERSONAL PENSION PLAN TRUST | 0 | 5.206 | 5.206 |
| **D | NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 0 | 21.500 | 21.500 |
| **D | PFIZER INC. MASTER TRUST | 0 | 459.887 | 459.887 |
| **D | MOZILLA CORPORATION | 0 | 3.285 | 3.285 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 0 | 305.710 | 305.710 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE O | 0 | 26.251 | 26.251 |
| **D | WILSHIRE MULTI-MANAGER REAL ASSET FUND | 0 | 32.589 | 32.589 |
| **D | UNITED SERVICES AUTOMOBILE ASSOCIATION | 0 | 39.608 | 39.608 |
| **D | HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE | 0 | 1.191.901 | 1.191.901 |
| **D | HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 0 | 47.896 | 47.896 |
| **D | THE BOARD OF MANAGEMENT OF THE CHINESE PERMANENT CEMETERIES | 0 | 8.923 | 8.923 |
| **D | BEAT DRUGS FUND ASSOCIATION | 0 | 2.621 | 2.621 |
| **D | CARNELIAN INVESTMENT MANAGEMENT LLC. | 0 | 17.110 | 17.110 |
| **D | CARROLL AVENUE PARTNERS LLC. | 0 | 707 | 707 |
| **D | EVA VALLEY MA1 LLC | 0 | 13.180 | 13.180 |
| **D | FUNDO DE PENSOES | 0 | 20.946 | 20.946 |
| **D | DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 0 | 11.468 | 11.468 |
| **D | DFI LP EQUITY (PASSIVE | 0 | 1.373 | 1.373 |
| **D | DYNASTY INVEST LTD | 0 | 4.845 | 4.845 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ALICE L WALTON CHARITABLE LLC | 0 | 571.708 | 571.708 |
| **D | FIDDLER PARTNERS LLC | 0 | 1.095 | 1.095 |
| **D | FOURTH AVENUE INVESTMENT COMPANY LIMITED PARTNERSHIP | 0 | 28.854 | 28.854 |
| **D | HAWTHORN DM LLC | 0 | 30.202 | 30.202 |
| **D | INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 0 | 3.938 | 3.938 |
| **D | PINK CALI LLC | 0 | 81 | 81 |
| **D | OMEGA FFIP LIMITED PARTNERSHIP | 0 | 3.407 | 3.407 |
| **D | HAWAII LLC | 0 | 14.549 | 14.549 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP. | 0 | 824.536 | 824.536 |
| **D | BUILDERS ASSET MANAGEMENT LLC | 0 | 55.623 | 55.623 |
| **D | LEHMAN-STAMM FAMILY PARTNERS LLC | 0 | 264 | 264 |
| **D | LEGAL & GENERAL MSCI EAFE FUND LLC | 0 | 143.531 | 143.531 |
| **D | METIS EQUITY TRUST- METIS INTERNATIONAL CLIMATE ALIGNED INDE |
0 | 20.900 | 20.900 |
| **D | MONDRIAN INTERNATIONAL EQUITY ESG FUND L.P | 0 | 536.790 | 536.790 |
| **D | MONDRIAN INTERNATIONAL EQUITY FOCUSED FUND L.P. | 0 | 263.597 | 263.597 |
| **D | NELKE PARTNERSHIP | 0 | 8.665 | 8.665 |
| **D | INTERNATIONAL EQUITY FUND LLC | 0 | 16.312 | 16.312 |
| **D | HOLTEC INDIAN POINT 3 LLC MASTER DECOMMISSIONING TRUST | 0 | 22.393 | 22.393 |
| **D | AVALON PORTFOLIO II LLC | 0 | 426 | 426 |
| **D | 801 INVESTMENTS LLC | 0 | 9.547 | 9.547 |
| **D | RTPIP LP | 0 | 2.467 | 2.467 |
| **D | FCM INTERNATIONAL LLC | 0 | 4.450 | 4.450 |
| **D | ZOMA CAPITAL PORTFOLIO LLC. | 0 | 19.875 | 19.875 |
| **D | THYSSEN GLOBAL INVESTMENTS CORP. | 0 | 1.673 | 1.673 |
| **D | GLOBAL BOND FUND WAYCROSSE INC | 0 | 185.502 | 185.502 |
| **D | MFC INTERNATIONAL FUND LLC | 0 | 15.782 | 15.782 |
| **D | GLOBAL EQUITY SERIES OF SALT CREEK INVESTMENTS LLC | 0 | 8.486 | 8.486 |
| **D | SENTINEL INTERNATIONAL FUND | 0 | 658 | 658 |
| **D | SALIX LLC | 0 | 38.659 | 38.659 |
| **D | SLW PORTFOLIO LLC | 0 | 1.778 | 1.778 |
| **D | PRO-GEN INVESTMENTS LLC | 0 | 5.770 | 5.770 |
| **D | CINDY SPRINGS LLC | 0 | 164.372 | 164.372 |
| **D | RUM CAY LP | 0 | 9.483 | 9.483 |
| **D | RDM LIQUID LLC | 0 | 57.800 | 57.800 |
| **D | K INVESTMENTS SH LIMITED. | 0 | 198.313 | 198.313 |
| **D | LEGAL & GENERAL MSCI EAFE SL FUND LLC | 0 | 145.559 | 145.559 |
| **D | MBB PUBLIC MARKETS I LLC | 0 | 142.583 | 142.583 |
| **D | PROVIDENCE ST. JOSEPH HEALTH LONG TERM PORTFOLIO | 0 | 5.321 | 5.321 |
| **D | FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 0 | 7.724 | 7.724 |
| **D | INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 0 | 129.532 | 129.532 |
| **D | MONDRIAN GLOBAL EQUITY FUND L.P | 0 | 435.781 | 435.781 |
| **D | MONDRIAN ALL COUNRIES WORLD EX-US EQUITY FUND L.P. GLOBAL I | 0 | 4.390.123 | 4.390.123 |
| **D | MONDRIAN INTERNATIONAL EQUITY FUND L.P. | 0 | 16.978.011 | 16.978.011 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 0 | 551.197 | 551.197 |
| **D | CHEVRON UK PENSION PLAN | 0 | 8.657 | 8.657 |
| **D | FIFE COUNCIL PENSION FUND | 0 | 301.207 | 301.207 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 19.238 | 19.238 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 560.271 | 560.271 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND | 0 | 3.415.933 | 3.415.933 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 0 | 160.829 | 160.829 |
| **D | VI CAPITAL LTD. | 0 | 2.920 | 2.920 |
| **D | CBS INSURANCE COMPANY LIMITED | 0 | 2.726 | 2.726 |
| **D | STATE UNIVERSITIES RETIREMENT SYSTEM | 0 | 2.420.326 | 2.420.326 |
| **D | COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA | 0 | 21.148 | 21.148 |
| **D | MERCER PASSIVE INTERNATIONAL SHARES FUND | 0 | 124.772 | 124.772 |
| **D | MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 0 | 16.393 | 16.393 |
| **D | MERCER TAILORED 1 TRUST | 0 | 1.133.659 | 1.133.659 |
| **D | MERCER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 198.403 | 198.403 |
| **D | MAGELLAN INFRASTRUCTURE FUND (CURRENCY HEDGED) | 0 | 1.721.879 | 1.721.879 |
| **D | NT WORLD GREEN TRANSITION INDEX FUND | 0 | 2.465 | 2.465 |
| **D | INSURANCE COMMISSION OF WESTERN AUSTRALIA | 0 | 895.984 | 895.984 |
| **D | ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND | 0 | 4.597.232 | 4.597.232 |
| **D | AUSTRALIAN CAPITAL TERRITORY | 0 | 57.205 | 57.205 |
| **D | MERCER INDEXED INTERNATIONAL SHARES FUND | 0 | 150.054 | 150.054 |
| **D | INTERNATIONAL EQUITIES PASSIVE B UNIT TRUST | 0 | 3.595 | 3.595 |
| **D | SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL | 0 | 14.495 | 14.495 |
| **D | GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 0 | 338.432 | 338.432 |
| **D | MAGELLAN INFRASTRUCTURE FUND (UNHEDGED) | 0 | 2.054.837 | 2.054.837 |
| **D | QIC INTERNATIONAL EQUITIES FUND. | 0 | 16.964 | 16.964 |
| **D | MAGELLAN INFRASTRUCTURE FUND | 0 | 4.458.311 | 4.458.311 |
| **D | MAGELLAN CORE INFRASTRUCTURE FUND | 0 | 792.158 | 792.158 |
| **D | THE TRUSTEES OF THE HENRY SMITH CHARITY | 0 | 36.611 | 36.611 |
| **D | S. ROBSON WALTON 1999 CHILDRENS TRUST | 0 | 5.218 | 5.218 |
| **D | MOBIUS LIFE LIMITED | 0 | 31.044 | 31.044 |
| **D | HRW TESTAMENTARY TRUST NO. 1 | 0 | 14.863 | 14.863 |
| **D | HRW TESTAMENTARY TRUST NO. 3 | 0 | 17.306 | 17.306 |
| **D | S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 0 | 4.573 | 4.573 |
| **D | JOHN T. WALTON FAMILY TRUST | 0 | 50.037 | 50.037 |
| **D | HRW TESTAMENTARY TRUST NO. 6 | 0 | 1 | 1 |
| **D | HRW TESTAMENTARY TRUST NO. 4. | 0 | 5.361 | 5.361 |
| **D | HRW TESTAMENTARY TRUST NO. 9. | 0 | 4.439 | 4.439 |
| **D | HRW TESTAMENTARY TRUST NO. 8. | 0 | 83.727 | 83.727 |
| **D | HRW TESTAMENTARY TRUST NO. 2 | 0 | 14.383 | 14.383 |
| **D | HRW TRUST NO. 4 UAD 01/17/03 | 0 | 137.420 | 137.420 |
| **D | HRW TESTAMENTARY TRUST NO. 5 | 0 | 6.947 | 6.947 |
| **D | HRW TESTAMENTARY TRUST NO. 12. | 0 | 13.597 | 13.597 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HRW TRUST NO. 3 UAD 01/17/03 | 0 | 111.815 | 111.815 |
| **D | HRW TESTAMENTARY TRUST NO. 11. | 0 | 63.276 | 63.276 |
| **D | S. ROBSON WALTON 2010 TRUST | 0 | 8.791 | 8.791 |
| **D | HRW TRUST NO. 1 UAD 01/17/03 | 0 | 3.454 | 3.454 |
| **D | HRW TESTAMENTARY TRUST NO. 10. | 0 | 6.127 | 6.127 |
| **D | HRW TRUST NO. 2 UAD 01/17/03 | 0 | 14.918 | 14.918 |
| **D | PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS | 0 | 5.144 | 5.144 |
| **D | PRESBYTERIAN CHURCH (USA) FOUNDATION | 0 | 9.707 | 9.707 |
| **D | NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 0 | 4.225.300 | 4.225.300 |
| **D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 0 | 43.530 | 43.530 |
| **D | ARVEST FOUNDATION | 0 | 1.277 | 1.277 |
| **D | FALKIRK COUNCIL PENSION FUND | 0 | 418.449 | 418.449 |
| **D | FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 0 | 945.317 | 945.317 |
| **D | ESSENTIA HEALTH | 0 | 1.965 | 1.965 |
| **D | THE CALIFORNIA WELLNESS FOUNDATION | 0 | 13.453 | 13.453 |
| **D | RETIREMENT PLAN FOR CHICAGO TRANSIT AUTHORITY EMPLOYEES. | 0 | 27.315 | 27.315 |
| **D | CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 0 | 1.126 | 1.126 |
| **D | CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 4.746 | 4.746 |
| **D | ATRIUM HEALTH | 0 | 353.901 | 353.901 |
| **D | NORTHAMPTONSHIRE PENSION FUND | 0 | 6.868 | 6.868 |
| **D | ARIEL INTERNATIONAL FUND | 0 | 1.274.449 | 1.274.449 |
| **D | MICHIGAN CATHOLIC CONFERENCE | 0 | 13.823 | 13.823 |
| **D | NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND |
0 | 553.450 | 553.450 |
| **D | THE NEMOURS FOUNDATION PENSION PLAN | 0 | 1.940 | 1.940 |
| **D | NORTHERN MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 2.870.315 | 2.870.315 |
| **D | THE MOTOROLA PENSION SCHEME. | 0 | 65.616 | 65.616 |
| **D | THE MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND | 0 | 5.831 | 5.831 |
| **D | MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 0 | 6.408 | 6.408 |
| **D | JTW TRUST NO. 1 UAD 9/19/02. | 0 | 10.211 | 10.211 |
| **D | JTW TRUST NO. 3 UAD 9/19/02. | 0 | 10.536 | 10.536 |
| **D | JTW TRUST NO. 5 UAD 9/19/02. | 0 | 7.625 | 7.625 |
| **D | JTW TRUST NO. 2 UAD 9/19/02. | 0 | 12.155 | 12.155 |
| **D | JTW TRUST NO. 4 UAD 9/19/02. | 0 | 8.489 | 8.489 |
| **D | ILLINOIS MUNICIPAL RETIREMENT FUND | 0 | 5.767.768 | 5.767.768 |
| **D | CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 0 | 235.259 | 235.259 |
| **D | LOS ANGELES CITY EMPLOYEES` RETIREMENT SYSTEM. | 0 | 138.415 | 138.415 |
| **D | LOTHIAN PENSION FUND | 0 | 1.602.787 | 1.602.787 |
| **D | MORNINGSTAR UNCONSTRAINED ALLOCATION FUND A SERIES OF MORNINGSTAR FUNDS TRUST | 0 | 678.958 | 678.958 |
| **D | MONTGOMERY COUNTY CONSOLIDATED RETIREE HEALTH BENEFITS TRUST | 0 | 139.410 | 139.410 |
| **D | BAPTIST FOUNDATION OF TEXAS. | 0 | 440.014 | 440.014 |
| **D | NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 0 | 457.003 | 457.003 |
| **D | PROVIDENCE HEALTH & SERVICES CASH BALANCE RETIREMENT PLAN TR. | 0 | 3.897 | 3.897 |
| **D | GENERAL PENSION AND SOCIAL SECURITY AUTHORITY | 0 | 38.842 | 38.842 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0 | 116.668 | 116.668 |
| **D | ALFRED I. DUPONT CHARITABLE TRUST | 0 | 36.804 | 36.804 |
| **D | ABU DHABI PENSION FUND | 0 | 91.748 | 91.748 |
| **D | WYOMING RETIREMENT SYSTEM | 0 | 22.318 | 22.318 |
| **D | GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 0 | 8.180 | 8.180 |
| **D | USAA GENERAL INDEMNITY COMPANY | 0 | 13.240 | 13.240 |
| **D | TEACHERS` RETIREMENT SYSTEM OF OKLAHOMA | 0 | 255.753 | 255.753 |
| **D | UTAH STATE RETIREMENT SYSTEMS | 0 | 268.360 | 268.360 |
| **D | USAA CASUALTY INSURANCE COMPANY | 0 | 23.563 | 23.563 |
| **D | SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 0 | 186.012 | 186.012 |
| **D | SAN MATEO COUNTY EMPLOYEES` RETIREMENT ASSOCIATION | 0 | 1.325.788 | 1.325.788 |
| **D | EMPLOYEES RETIREMENT FUND OF THE CITY OF DALLAS. | 0 | 122.926 | 122.926 |
| **D | FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 0 | 4.554 | 4.554 |
| **D | REGIME DE RETRAITE DU PERSONNEL DES CPE ET DES GARDERIES PRI | 0 | 206.908 | 206.908 |
| **D | BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 0 | 3.782.803 | 3.782.803 |
| **D | ACS 30:70 GLOBAL EQUITY TRACKER FUND | 0 | 100 | 100 |
| **D | BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 0 | 667.391 | 667.391 |
| **D | STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 0 | 1.758.477 | 1.758.477 |
| **D | LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 0 | 200.000 | 200.000 |
| **D | UBS COMMON CONTRACTUAL FUND | 0 | 32.420 | 32.420 |
| **D | THE LF ACCESS POOL AUTHORISED CONTRACTUAL SCHEME | 0 | 1.640.272 | 1.640.272 |
| **D | BLACKROCK UCITS CCF | 0 | 186.898 | 186.898 |
| **D | WEST YORKSHIRE PENSION FUND | 0 | 1.003.311 | 1.003.311 |
| **D | RECORD INVEST SCA SICAV RAIF | 0 | 8.612 | 8.612 |
| **D | KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | 0 | 204.196 | 204.196 |
| **D | ELO MUTUAL PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY | 0 | 406.937 | 406.937 |
| **D | NOTHERN TRUST LUXEMBOURG MANAGEMENT COMPANY SA ACTING IN ITS | 0 | 407.544 | 407.544 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF | 0 | 81.818 | 81.818 |
| **D | STICHTING PENSIOENFONDS PGB | 0 | 556.811 | 556.811 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. | 0 | 9.472 | 9.472 |
| **D | STICHTING PENSIOENFONDS OPENBARE BIBLIOTHEKEN | 0 | 9.180 | 9.180 |
| **D | FJARDE AP-FONDEN. | 0 | 2.112.866 | 2.112.866 |
| **D | ROBECO INSTITUTIONAL UMBRELLA FUND | 0 | 294.164 | 294.164 |
| **D | POINT72 LONDON INVESTMENTS LTD. | 0 | 5.695.419 | 5.695.419 |
| **D | D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 0 | 2.498 | 2.498 |
| **D | NORTH ROCK SPC - NR 1 SP |
0 | 211.223 | 211.223 |
| **D | DE SHAW US BROAD MARKET CORE ALPHA EXTENSION CUSTOM FUND II L.L.C. | 0 | 113.928 | 113.928 |
| **D | DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 0 | 269 | 269 |
| **D | AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT L.P. PORTFOLIO MARGIN ACCT | 0 | 24.457 | 24.457 |
| **D | DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 0 | 7.816 | 7.816 |
| **D | D.E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS II L.L.C | 0 | 1.099 | 1.099 |
| **D | BG MASTER FUND ICAV | 0 | 403 | 403 |
| **D | CM GRAT LLC | 0 | 1.417 | 1.417 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge Ragione Sociale Proprio Delega Totale D ROSEDENE LLC 0 4.415 4.415 D SPRING 625 0 48.014 48.014 D THE CHERYL D DUFFIELD TRUST UAD 09/12/96 CHERYL D DUFFIELD TTEE 0 1.207 1.207 D THE DAVID A DUFFIELD TRUST UAD 07/14/88 0 25.982 25.982 D LGT SELECT EQUITY GLOBAL 0 1.096.632 1.096.632 D MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL CONVERTIBLE FUND 0 120.039 120.039 D MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL LISTED INFRASTRU 0 1.229.309 1.229.309 D VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE 0 103.691 103.691 D MACT - SIF 0 16.867 16.867 D GBPO - QCF - GLOBAL BALANCED POOL 0 5.997 5.997 D UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO 0 183.243 183.243 D RIVERFIELD SICAV - RIVERFIELD ALLROUNDER 0 14.000 14.000 D RIVERFIELD SICAV - RIVERFIELD EQUITIES 0 36.826 36.826 D CDIL WHITEHELM CAP LS CR INFS FD 0 1.078.824 1.078.824 D CMLA INDEXED GLOBAL SHARE FUND 0 7.056 7.056 D JOHN HANCOCK FUNDS III GLOBAL SHAREHOLDER YIELD FUND 0 2.947.350 2.947.350 D JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. 0 68.097 68.097 D PRUDENTIAL ASSURANCE COMPANY SINGAPORE (PTE) LTD 0 391.460 391.460 D SCHWAB INTERNATIONAL INDEX FUND 0 1.162.786 1.162.786 D SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX FUND 0 235.198 235.198 **D TIMOTHY PLAN MARKET NEUTRAL ETF 0 43.011 43.011 |
|---|
| **D COLONIAL FIRST STATE INVESTMENT FUND 50. 0 29.053 29.053 |
| **D COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND 0 110.842 110.842 |
| **D COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 6. 0 988.762 988.762 |
| **D COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES FUND1 0 1.317.314 1.317.314 |
| **D COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 7 0 1.159.045 1.159.045 |
| **D WM POOL - EQUITIES TRUST NO. 31 - ROBECO 0 2.508 2.508 |
| **D ONEMARKETS ITALY ICAV 0 53.241 53.241 |
| **D LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED 0 18.670.981 18.670.981 |
| **D ILA-LA WORLD ESG SCREENED FUND 0 15.566 15.566 |
| **D ILA - RAFIMF 0 16.692 16.692 |
| **D ILA-A-ILSDMH 0 372.296 372.296 |
| **D IRISH LIFE ASSURANCE. 0 174.452 174.452 |
| **D ILA-ILSEAFE - SUSTAINABLE EAFE EQUITY 0 99.192 99.192 |
| **D ILA - A-ILGLOEQN 0 3.318 3.318 |
| **D ILA - A-ILDSCG 0 9.927 9.927 |
| **D ILA - A-ILGLOEQG 0 14.859 14.859 |
| **D IRISH LIFE ASSURANCE PLC 0 1.756.389 1.756.389 |
| **D ILA - A-ILEZEQG 0 46.146 46.146 |
| **D ILA - A-ILHYEQG 0 47.532 47.532 |
| **D AEGON CUSTODY B.V. 0 609.460 609.460 |
| **D STICHTING PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES 0 189.314 189.314 |
| **D STICHTING MN SERVICES 0 633.669 633.669 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LARGE CAP INTL PORTFOLIO OF DFA INV | 0 | 381.578 | 381.578 |
| **D | STICHTING MN SERVICES AANDELENFO ND | 0 | 118.691 | 118.691 |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LTD PMC FTSE TPI GLOBAL (EX FOSSIL FUELS) EQUITY INDEX FUND 29.573 |
0 | 29.573 | |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED | 0 | 327.393 | 327.393 |
| **D | LEGAL & GENERAL ASSURANCE SOCIETY LIMITED | 0 | 13.693 | 13.693 |
| **D | TSGX SOLACT ESG TBACO EX UNHG(3387) | 0 | 8.468 | 8.468 |
| **D | FUTURE WORLD DEVELOPED EQUITY INDEX FUND (3500) | 0 | 11.986 | 11.986 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 | 0 | 61.059 | 61.059 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 RAFI FUNDAMENTAL GLOBAL EQUITY LOW CARBON TRANSITION INDEX FUND3495 | 0 | 109.336 | 109.336 |
| **D | OETGEN COMMUNITY PROPERTY TRUST DTD 12/24/2008 AS AMENDED A | 0 | 6.124 | 6.124 |
| **D | CFSIL RE CNEALTH GS FD 16 | 0 | 45.140 | 45.140 |
| **D | INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC | 0 | 1.641.266 | 1.641.266 |
| **D | MANULIFE GLOBAL FUND (SICA | 0 | 93.165 | 93.165 |
| **D | CFSIL RE COMM GLB INFRA SEC FD 2 | 0 | 1.510.343 | 1.510.343 |
| **D | NMTB/NIK KOKUSAI-NH 935026 | 0 | 91.120 | 91.120 |
| **D | NMTB/NIK KOKUSAI-H 935034 | 0 | 7.266 | 7.266 |
| **D | BERESFORD FUNDS ICAV | 0 | 8.326 | 8.326 |
| **D | CFSIL-CFS GLOBAL SHARE FD 20 | 0 | 251.182 | 251.182 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE FUND 3 | 0 | 604.081 | 604.081 |
| **D | STICHTING PGGM DEPOSITARY | 0 | 1.205.227 | 1.205.227 |
| **D | PGGM SPD (DMAEMFGL)PGGM SPD DMAE MULTIFACTOR GLOBAL | 0 | 1.384.441 | 1.384.441 |
| **D | NATIONAL COUNCIL FOR SOCIAL SEC FUND | 0 | 39.645 | 39.645 |
| **D | TWO SIGMA INTERNATIONAL CORE | 0 | 29 | 29 |
| **D | BUREAU OF PUBLIC SERVICE PENSION FUND | 0 | 935.640 | 935.640 |
| **D | LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 0 | 6.086.133 | 6.086.133 |
| **D | HUTCHISON PROVIDENT FUND. | 0 | 24.710 | 24.710 |
| **D | VICTORY MARKET NEUTRAL INCOMEFUND | 0 | 1.870.673 | 1.870.673 |
| **D | SAMSUNG GLOBAL CORE EQUITY FUND | 0 | 4.767 | 4.767 |
| **D | VICTORY RS GLOBAL FUND | 0 | 1.040.398 | 1.040.398 |
| **D | VICTORY RS INTERNATIONAL FUND | 0 | 839.745 | 839.745 |
| **D | VICTORY RS INTERNATIONAL VIPSERIES | 0 | 249.165 | 249.165 |
| **D | JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND | 0 | 349.211 | 349.211 |
| **D | CITITRUST LIMITED | 0 | 58.878 | 58.878 |
| **D | VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 0 | 20.034 | 20.034 |
| **D | VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 0 | 52.674 | 52.674 |
| **D | CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND | 0 | 32.235 | 32.235 |
| **D | VICTORYSHARES INTERNATIONAL HIGHDIV VOLATILITY WTD INDEX ETF | 0 | 47.766 | 47.766 |
| **D | HOSTPLUS POOLED SUPERANNUATION TRUST | 0 | 196.122 | 196.122 |
| **D | AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE FUND | 0 | 332.696 | 332.696 |
| **D | ABRDN OEIC IV-ABRDN EUROPEAN EQUITY TRACKER FUND | 0 | 116.717 | 116.717 |
| **D | VICTORY CAPITAL GROWTH FUND | 0 | 338.435 | 338.435 |
| **D | VICTORY INTERNATIONAL FUND | 0 | 2.863.409 | 2.863.409 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | VICTORY SUSTAINABLE WORLD FUND | 0 | 959.373 | 959.373 |
| **D | TIMOTHY PLAN INTERNATIONAL ETF. | 0 | 81.054 | 81.054 |
| **D | THE NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN | 0 | 7.941 | 7.941 |
| **D | UAPF - BLACK ROCK PASSIVE EQUITY |
0 | 9.844 | 9.844 |
| **D | UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 0 | 9.472 | 9.472 |
| **D | MARSHALL WACE MASTER FUNDS SPC-SP ALPHA PLUS FUND | 0 | 22.692 | 22.692 |
| **D | MAN INSIGHT LIMITED | 0 | 327 | 327 |
| **D | MARSHALL WACE INVESTMENT STRATEGIES-WORLD TOPS ENVIRONMENTAL | 0 | 9.116 | 9.116 |
| **D | MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED | 0 | 6.000 | 6.000 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND | 0 | 46.925 | 46.925 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND - CLASS N |
0 | 2.813 | 2.813 |
| **D | NBIMC PUBLIC INFRASTRUCTURE (2017) FUND. | 0 | 44.745 | 44.745 |
| **D | MERCER PRIVATE WEALTH REAL ASSETS POOL | 0 | 37.816 | 37.816 |
| **D | FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 0 | 138.219 | 138.219 |
| **D | BIMCOR GLOBAL DIVIDEND YIELD POOLED FUND | 0 | 12.982 | 12.982 |
| **D | NORTHWATER ENHANCED IMMUNIZATION TRUST II | 0 | 20.728 | 20.728 |
| **D | BOMBARDIER TRUST (CANADA) REAL RETURN ASSETS FUND | 0 | 530.840 | 530.840 |
| **D | LETKO BROSSEAU INFRASTRUCTURE EQUITY FUND | 0 | 49.825 | 49.825 |
| **D | SUN LIFE REAL ASSETS PRIVATE POOL | 0 | 4.204.622 | 4.204.622 |
| **D | DIVERSIFIED FUND OF CANADA - DFC QUALITY LOW VOLATILITY GLOB |
0 | 7.488 | 7.488 |
| **D | NBIMC EAFE EQUITY INDEX FUND. | 0 | 27.586 | 27.586 |
| **D | AMUNDI DIVIDENDO ITALIA | 0 | 870.000 | 870.000 |
| **D | AMUNDI ESG SELECTION BILANCIATO | 0 | 95.870 | 95.870 |
| **D | AMUNDI ESG SELECTION DINAMICO | 0 | 51.763 | 51.763 |
| **D | AMUNDI VALORE ITALIA PIR | 0 | 150.000 | 150.000 |
| **D | AMUNDI ESG SELECTION CONSERVATIVO | 0 | 39.600 | 39.600 |
| **D | AMUNDI ACCUMULAZIONE INFRASTRUTTURE GLOBALI 2028 DUE | 0 | 32.775 | 32.775 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLOBALI 2028 | 0 | 43.527 | 43.527 |
| **D | AMUNDI PROGETTO INCOME 2028 | 0 | 6.208 | 6.208 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 QUATTRO | 0 | 7.819 | 7.819 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 TRE | 0 | 8.031 | 8.031 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 DUE | 0 | 21.848 | 21.848 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 | 0 | 37.754 | 37.754 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE | 0 | 110.890 | 110.890 |
| **D | AMUNDI PROG INC REALE 2026 | 0 | 29.514 | 29.514 |
| **D | AMUNDI PROGETTO INCOME AGOSTO 2026 | 0 | 23.729 | 23.729 |
| **D | AMUNDI PROGETTO INCOME 2026 DUE 20121 | 0 | 29.456 | 29.456 |
| **D | AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 | 0 | 193.674 | 193.674 |
| **D | FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME 2026 |
0 | 16.657 | 16.657 |
| **D | AMUNDI PRIVATE GLOBAL INFRASTRU 2024 | 0 | 90.876 | 90.876 |
| **D | AMUNDI PROGETTO INCOME 2025 | 0 | 27.354 | 27.354 |
| **D | CRELAN INVEST DYNAMIC | 0 | 36.712 | 36.712 |
| **D | CRELAN INVEST CONSERVATIVE | 0 | 9.854 | 9.854 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CRELAN INVEST BALANCED | 0 | 77.017 | 77.017 |
| **D | ASR INSTITUT FONDSEN EUR AANDELEN | 0 | 276.053 | 276.053 |
| **D | ING SELECT FUND - INKOMEN ZEER OFFENSIEF |
0 | 38.518 | 38.518 |
| **D | ING SELECT FUND - INKOMEN OFFENSIEF |
0 | 71.115 | 71.115 |
| **D | ING SELECT FUND - INKOMEN NEUTRAAL |
0 | 238.436 | 238.436 |
| **D | ING SELECT FUND - INKOMEN ZEER DEFENSIEF |
0 | 3.464 | 3.464 |
| **D | ING SELECT FUND - INKOMEN DEFENSIEF |
0 | 83.643 | 83.643 |
| **D | ONDERLINGE S GRAVEN | 0 | 312.024 | 312.024 |
| **D | BEVEILIGING MANDAAT SSGA RE AANDELEN | 0 | 81.581 | 81.581 |
| **D | SPA MANDATE BLACKROCK | 0 | 70.090 | 70.090 |
| **D | ST PFD PMA MANDATE BLACKROCK | 0 | 26.825 | 26.825 |
| **D | ST. PF VOOR DE ARCHITECTENBUREAUS-DME SS | 0 | 5.597 | 5.597 |
| **D | CENTRAL BANK OF IRELAND | 0 | 16.367 | 16.367 |
| **D | ONEMARKETS AMUNDI FLEXIBLE INCOME FUND | 0 | 235.729 | 235.729 |
| **D | CANDRIAM GF AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE | 0 | 65.401 | 65.401 |
| **D | CPR INVEST HYDROGEN | 0 | 1.734.994 | 1.734.994 |
| **D | AMUNDI STOXX EUROPE 600 | 0 | 1.521.684 | 1.521.684 |
| **D | AMUNDI MSCI EUROPE | 0 | 1.156.581 | 1.156.581 |
| **D | ONEMARKETS PIMCO GLOBAL BALANCED ALLOC | 0 | 21.813 | 21.813 |
| **D | AMUNDI FTSE MIB | 0 | 1.314.283 | 1.314.283 |
| **D | STRUCTURA - DIVERSIF GROWTH FD-CSA AMUND |
0 | 4.834 | 4.834 |
| **D | LUXCELLENCE-HELVETIA EUROP EQUITY | 0 | 24.600 | 24.600 |
| **D | CPR INVEST - EUROPEAN STRATEGIC AUTONOMY |
0 | 281.513 | 281.513 |
| **D | RCO LUX MONTJOLY INVEST POOL AMUNDI | 0 | 23.561 | 23.561 |
| **D | AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 0 | 9.882 | 9.882 |
| **D | AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 0 | 30.115 | 30.115 |
| **D | AMUNDI FD EUROPEAN EQUITY ESG IMPROVERS | 0 | 2.431.059 | 2.431.059 |
| **D | CLEOME INDEX - WORLD EQUITIES |
0 | 12.226 | 12.226 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY CONSERVATIVE |
0 | 2.860.846 | 2.860.846 |
| **D | LO FUNDS - ALL ROADS |
0 | 285.488 | 285.488 |
| **D | AMUNDI INDEX MSCI EUROPE | 0 | 797.057 | 797.057 |
| **D | AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 0 | 2.793 | 2.793 |
| **D | AMUNDI INDEX MSCI WORLD | 0 | 142.354 | 142.354 |
| **D | AMUNDI FUNDS EQUITY EURO RISK PARITY | 0 | 382.304 | 382.304 |
| **D | AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA | 0 | 1.917 | 1.917 |
| **D | LO FUNDS - ALL ROADS CONSERVATIVE |
0 | 32.588 | 32.588 |
| **D | LO FUNDS - ALL ROADS GROWTH |
0 | 193.435 | 193.435 |
| **D | AMUNDI FUNDS MULTI ASSET CONSERVATIVE | 0 | 61.442 | 61.442 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY |
0 | 51.941 | 51.941 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE |
0 | 16.430 | 16.430 |
| **D | AMUNDI PRIME EUROZONE | 0 | 40.585 | 40.585 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL |
0 | 31.989 | 31.989 |
| **D | AMUNDI FDS GLOBAL MULTI-ASSET TARGET INC | 0 | 180.459 | 180.459 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 0 | 108.684 | 108.684 |
| **D | AMUNDI FUNDS REAL ASSETS TARGET INCOME | 0 | 250.000 | 250.000 |
| **D | AMUNDI FUNDS GLOBAL MULTI-ASSET | 0 | 199.508 | 199.508 |
| **D | AMUNDI FDS GLOB MULTI-ASSET CONSERVATIVE | 0 | 480.991 | 480.991 |
| **D | AMUNDI FUNDS EURO MULTI-ASSET TARGET INC | 0 | 186.711 | 186.711 |
| **D | CLEOME INDEX - EMU EQUITIES |
0 | 66.454 | 66.454 |
| **D | AMUNDI EURO STOXX SELECT DIVIDEND 30 | 0 | 451.795 | 451.795 |
| **D | AMUNDI MSCI EMU ESG CTB NET ZERO AMBIT | 0 | 354.855 | 354.855 |
| **D | EDMOND DE ROTHSCHILD FUND INCOME EUROPE | 0 | 332.910 | 332.910 |
| **D | EDR FUND II - INCOME 2024 |
0 | 40.362 | 40.362 |
| **D | NATWEST TDS DEP VT DWEUUNIN C | 0 | 340.780 | 340.780 |
| **D | SB CIF - ECOFIN ADVISORS |
0 | 77.055 | 77.055 |
| **D | SB CIF - MACQUARIE |
0 | 195.069 | 195.069 |
| **D | AMUNDI DEUTSCHLAND GMBH - SUEDINVEST 43 |
0 | 12.000 | 12.000 |
| **D | HI-LH FONDS | 0 | 13.004 | 13.004 |
| **D | AMUNDI ETHIK PLUS | 0 | 215.833 | 215.833 |
| **D | VPV-SPEZIAL AMUNDI | 0 | 24.669 | 24.669 |
| **D | AMUNDI WELTPORTFOLIO | 0 | 2.842 | 2.842 |
| **D | OSTRUM ASSET MANAGEMENT | 0 | 104.500 | 104.500 |
| **D | JUNON ACTIONS OBLIGATIONS | 0 | 613.859 | 613.859 |
| **D | PLURI-INVESTISSEMENTS | 0 | 6.925 | 6.925 |
| **D | FCP ARRCO LONG TERME D | 0 | 786.758 | 786.758 |
| **D | LBPAM 3 MOIS | 0 | 7.815.235 | 7.815.235 |
| **D | TONI ACTIONS ISR 100 | 0 | 65.997 | 65.997 |
| **D | FCP CARP - INDO |
0 | 722.315 | 722.315 |
| **D | FDRN AMUNDI | 0 | 272.843 | 272.843 |
| **D | CRN AMUNDI ACTIONS | 0 | 407.528 | 407.528 |
| **D | LBPAM ACTIONS DIVIDENDES EUROP | 0 | 267.634 | 267.634 |
| **D | ROPS EURO P | 0 | 260.142 | 260.142 |
| **D | INVESTISSEMENT N101 | 0 | 30.141 | 30.141 |
| **D | IRCEC CASSETTE DIVERSIFIE | 0 | 148.710 | 148.710 |
| **D | FGV ACTIONS EUROPE LM A | 0 | 82.079 | 82.079 |
| **D | CNP ACTIONS EUROPE AMUNDI | 0 | 393.161 | 393.161 |
| **D | DIEZE | 0 | 26.757 | 26.757 |
| **D | VILLIERS ALTO | 0 | 130.670 | 130.670 |
| **D | AA SSGA ACTIONS INDICE EURO | 0 | 573.535 | 573.535 |
| **D | STAR PASTEUR | 0 | 71.494 | 71.494 |
| **D | CONTI GESTION | 0 | 82.569 | 82.569 |
| **D | SACD INVESTISSEMENT | 0 | 83.902 | 83.902 |
| **D | ALLOCATION INVEST EQUITY CORE | 0 | 227.044 | 227.044 |
| **D | IP ACTIONS EURO | 0 | 49.532 | 49.532 |
| **D | BEL EQUITY EUROPE ESG | 0 | 88.005 | 88.005 |
| **D | ALLOCATION INVEST EQUITY SATELLITE | 0 | 33.896 | 33.896 |
Azionisti: 1.804 Teste: 11 Azionisti in proprio: 9 Azionisti in delega: 1.795
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GROUPAMA SELECTION EURO DIVERSIFIE | 0 | 5.451 | 5.451 |
| **D | MICHELET TUNNEL | 0 | 100.062 | 100.062 |
| **D | GROUPAMA LOIRE BRETAGNE REGIONAL 1 | 0 | 18.726 | 18.726 |
| **D | WORLD EQUITIES | 0 | 4.597 | 4.597 |
| **D | ARRCO QUANT 2 | 0 | 106.826 | 106.826 |
| **D | AP ACTIONS 1 EURO | 0 | 99.401 | 99.401 |
| **D | ALLOCATION ACTIONS SATELLITE | 0 | 3.193 | 3.193 |
| **D | ROPS-SMART INDEX EURO | 0 | 1.132.228 | 1.132.228 |
| **D | AVENIR PROTECTION 90 | 0 | 109.245 | 109.245 |
| **D | AA NATIXIS ACTIONS MIN VAR | 0 | 177.926 | 177.926 |
| **D | EGEPARGNE 2 DIVERSIFIE | 0 | 37.734 | 37.734 |
| **D | FCP PEA COURT TERME | 0 | 2.439.466 | 2.439.466 |
| **D | AMUNDI STRATEGIES ACTIONS EURO OPTIM DIV HR | 0 | 151.278 | 151.278 |
| **D | AMUNDI STRATEGIES ACTIONS EURO CORE + | 0 | 73.248 | 73.248 |
| **D | LCL ACTIONS MONDE HORS EUROPE EURO | 0 | 128.035 | 128.035 |
| **D | AMUNDI RENDEMENT PLUS | 0 | 56.237 | 56.237 |
| **D | COVEA OBLIGATIONS CONVERTIBLES | 0 | 439.065 | 439.065 |
| **D | COVEA ACTIONS RENDEMENT | 0 | 1.425.806 | 1.425.806 |
| **D | ASSURDIX | 0 | 179.592 | 179.592 |
| **D | LCL ACTIONS FRANCE CORE PLUS | 0 | 9.470 | 9.470 |
| **D | CPR EURO HIGH DIVIDEND | 0 | 264.761 | 264.761 |
| **D | AMUNDI ACTIONS FRANCE ISR | 0 | 1.025.761 | 1.025.761 |
| **D | AMUNDI ESG IMPROVERS EURO | 0 | 2.831.253 | 2.831.253 |
| **D | AMUNDI EUROPE MONDE | 0 | 181.770 | 181.770 |
| **D | AMUNDI ACTIONS EURO ISR | 0 | 393.583 | 393.583 |
| **D | LCL ACTIONS EURO CORE+ | 0 | 47.736 | 47.736 |
| **D | ATOUT FRANCE CORE | 0 | 36.620 | 36.620 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE CORE + | 0 | 33.215 | 33.215 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE OPTIM DIV HR | 0 | 85.017 | 85.017 |
| **D | COLOMBES 6 | 0 | 112.000 | 112.000 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 0 | 7.314 | 7.314 |
| **D | GROUPAMA EURO EQUITIES | 0 | 17.157 | 17.157 |
| **D | AMUNDI PATRIMOINE PEA | 0 | 220.972 | 220.972 |
| **D | COVEA PATRIMOINE | 0 | 105.000 | 105.000 |
| **D | AMUNDI EQUITY EURO CONSERVATIV | 0 | 1.492.676 | 1.492.676 |
| **D | CPR EUROLAND PREMIUM ESG | 0 | 30.093 | 30.093 |
| **D | FINALTIS EFFICIENT BETA EURO | 0 | 56.506 | 56.506 |
| **D | STRATEGIE EURO ISR | 0 | 60.231 | 60.231 |
| **D | COVEA SOLIS | 0 | 1.647.050 | 1.647.050 |
| **D | LBPAM ISR ACTIONS EURO MIN VOL | 0 | 14.194 | 14.194 |
| **D | BETAMAX GLOBAL SMART FOR CLIMATE | 0 | 8.310 | 8.310 |
| **D | FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 0 | 161.411 | 161.411 |
| **D | GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 22.052 | 22.052 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI ETF PEA S P 500 UCITS E | 0 | 5.200.000 | 5.200.000 |
| **D | TOCQUEVILLE DIVIDENDE ISR | 0 | 750.000 | 750.000 |
| **D | ALLOCATION PROTECTION 80 | 0 | 1.950.000 | 1.950.000 |
| **D | REAUMUR ACTIONS | 0 | 2.510.423 | 2.510.423 |
| **D | OSTRUM SRI EURO MINVOL EQUITY | 0 | 83.027 | 83.027 |
| **D | EDR SICAV - EQUITY EURO SOLVE |
0 | 210.230 | 210.230 |
| **D | EDMOND DE ROTHSCHILD ASSET MANAGEMENT (EDRAM) | 0 | 9.829 | 9.829 |
| **D | POLLUX | 0 | 29.050 | 29.050 |
| **D | EDR SICAV - EUROPEAN IMPROVERS |
0 | 31.400 | 31.400 |
| **D | CNP ASSUR EDRAM ACTIONS EUROPE | 0 | 618.640 | 618.640 |
| **D | HELVETIA I EUROPA | 0 | 160.890 | 160.890 |
| **D | ING DIRECT FONDO NARANJA CONSERVADOR FI | 0 | 5.264 | 5.264 |
| **D | ING DIRECT FONDO NARANJA MODERADO FI | 0 | 32.463 | 32.463 |
| **D | ING DIRECT FONDO NARANJA DINAMICO FI | 0 | 46.575 | 46.575 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA |
0 | 6.700.000 | 6.700.000 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA |
0 | 1.200.000 | 1.200.000 |
| **D | ALLEANZA ASSICURAZIONI SPA | 0 | 895.060 | 895.060 |
| **D | TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV | 0 | 147.765 | 147.765 |
| **D | CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 0 | 1.889.963 | 1.889.963 |
| **D | PEOPLE`S BANK OF CHINA | 0 | 1.415.189 | 1.415.189 |
| **D | FLOURISH INVESTMENT CORPORATION | 0 | 163.170 | 163.170 |
| **D | INTERNATIONAL MONETARY FUND | 0 | 859.172 | 859.172 |
| **D | ABN AMRO FUNDS | 0 | 45.833 | 45.833 |
| **D | ISHARES EURO STOXX UCITS ETF (DE) | 0 | 780.555 | 780.555 |
| **D | ISHARES EURO STOXX SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 3.733.991 | 3.733.991 |
| **D | ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 0 | 693.503 | 693.503 |
| **D | ISHARES STOXX EUROPE SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 2.006.668 | 2.006.668 |
| **D | ISHARES STOXX GLOBAL SELECT DIVI100 UCITS ETF DE | 0 | 4.784.255 | 4.784.255 |
| **D | ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 0 | 1.250.680 | 1.250.680 |
| **D | ISHARES STOXX EUROPE 600 OIL GAS UCITS ETF DE | 0 | 2.258.767 | 2.258.767 |
| **D | GENERAL CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS | 0 | 264.201 | 264.201 |
| **D | PACE INTERNATIONAL EQUITY INVESTMENTS | 0 | 1.569.809 | 1.569.809 |
| **D | COLLEGE RETIREMENT EQUITIES FUND | 0 | 69.008 | 69.008 |
| **D | TIAACREF INTERNATIONAL EQUITY INDEX FUND | 0 | 2.883.365 | 2.883.365 |
| **D | BON SECOURS MERCY HEALTH | 0 | 450.049 | 450.049 |
| **D | DESJARDINS GLOBAL DIVIDEND FUND | 0 | 4.932.045 | 4.932.045 |
| **D | THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 0 | 803.152 | 803.152 |
| **D | BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 0 | 112.553 | 112.553 |
| **D | VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 0 | 217.192 | 217.192 |
| **D | STATE OF MINNESOTA | 0 | 868.764 | 868.764 |
| **D | JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 0 | 119.526 | 119.526 |
| **D | RUSSELL INVESTMENT COMPANY PLC | 0 | 41.532 | 41.532 |
| **D | SPDR MSCI ACWI EXUS ETF | 0 | 166.424 | 166.424 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| D SPDR S&P INTERNATIONAL DIVIDENDETF 0 1.429.658 D SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF 0 1.818.382 1.818.382 D MORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL INFRASTRUCTURE PORTFOLIO 0 111.523 D MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO 0 9.588 D MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO 0 608 D PRINCIPAL DIVERSIFIED REAL ASSET CIT 0 1.889.666 D CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM<br>0<br>11.778.868<br>**D<br>TEACHER RETIREMENT SYSTEM OF TEXAS<br>0<br>2.829<br>**D<br>MERCY HEALTH RETIREMENT TRUST<br>0<br>1.413<br>**D<br>SPDR PORTFOLIO EUROPE ETF<br>0<br>45.871<br>**D<br>SST GLOB ADV TAX EXEMPT RETIREMENT PLANS<br>0<br>8.710.704<br>**D<br>SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND<br>0<br>1.506.028<br>**D<br>TEACHERS RETIREMENT SYSTEM OF THE STATE OF ILLINOIS0 257.390 D M INTERNATIONAL EQUITY FUND 0 9.035 D FRANK RUSSELL INVESTMENT CO II PLC 0 9.667 D IBM 401(K) PLUS PLAN TRUST 0 325.042 D THE MONETARY AUTHORITY OF SINGAPORE 0 49.998 D MANAGED PENSION FUNDS LIMITED 0 541.379 D SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND 0 8.196 D SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND 0 311.917 D EURIZON FUND 0 3.174.290 D INSTITUTIONAL SOLUTIONS FUND FCP-SIF 0 724.685 D STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 0 7.415 D THE MONETARY AUTHORITY OF SINGAPORE MAS 0 3.472 D BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY INDEX 0 81.652 D ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) 0 17.428 D ISHARES II PUBLIC LIMITED COMPANY 0 4.390.658 D ISHARES V PUBLIC LIMITED COMPANY 0 11.483 D ISHARES III PUBLIC LIMITED COMPANY 0 979 D ISHARES VI PUBLIC LIMITED COMPANY 0 200 D ISHARES IV PUBLIC LIMITED COMPANY 0 4.380.835 D ARGO GLOBAL LISTED INFRASTRUCTURE LIMITED 0 561.032 D AUSTRALIAN RETIREMENT TRUST 0 1.556.200 D RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND 0 29.333 D RUSSELL INVESTMENTS GLOBAL SHARES INDEX FUND LEVEL 28 0 26.092 D EMERGENCY SERVICES SUPERANNUATION SCHEME 0 5.806 D AWARE SUPER 0 8.769 D VANECK VECTORS FTSE GLOBAL INFRASTRUCTURE (HEDGED) ETF GOLD FIELD HOUSE 0 455.604 D RUSSELL INVESTMENTS GLOBAL LISTED INFRASTUCTURE FUND HEDGED 0 56.408 D LAZARD GLOBAL LISTED INFRASTRUCTURE FUND 0 13.848.447 D LAZARD GLOBAL EQUITY FRANCHISE FUND (HEDGED) 0 396.377 D LAZARD GLOBAL EQUITY FRANCHISE FUND 0 1.703.657 1.703.657 **D RETAIL EMPLOYEES SUPERANNUATIONTRUST 0 292.898 |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| 1.429.658 | |||||
| 111.523 | |||||
| 9.588 | |||||
| 608 | |||||
| 1.889.666 | |||||
| 11.778.868 | |||||
| 2.829 | |||||
| 1.413 | |||||
| 45.871 | |||||
| 8.710.704 | |||||
| 1.506.028 | |||||
| 257.390 | |||||
| 9.035 | |||||
| 9.667 | |||||
| 325.042 | |||||
| 49.998 | |||||
| 541.379 | |||||
| 8.196 | |||||
| 311.917 | |||||
| 3.174.290 | |||||
| 724.685 | |||||
| 7.415 | |||||
| 3.472 | |||||
| 81.652 | |||||
| 17.428 | |||||
| 4.390.658 | |||||
| 11.483 | |||||
| 979 | |||||
| 200 | |||||
| 4.380.835 | |||||
| 561.032 | |||||
| 1.556.200 | |||||
| 29.333 | |||||
| 26.092 | |||||
| 5.806 | |||||
| 8.769 | |||||
| 455.604 | |||||
| 56.408 | |||||
| 13.848.447 | |||||
| 396.377 | |||||
| 292.898 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| D INTERNATIONAL EQUITIES SECTOR TRUST 0 1.311 1.311 D GMO MULTI-ASSET TRUST 0 41.357 41.357 D NEW AIRWAYS PENSION SCHEME 0 5.813 5.813 D FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU 0 47.582 47.582 D EURIZON PIR ITALIA AZIONI 0 85.705 85.705 D EURIZON CAP SGR-RENDITA 0 8.336 8.336 D EURIZON AZIONI ITALIA 0 3.063.937 3.063.937 D EURIZON PROGETTO ITALIA 40 0 351.592 351.592 D EURIZON PROGETTO ITALIA 70 0 480.133 480.133 D ISHARES MSCI EAFE INTERNATIONALINDEX FUND 0 1.188.259 1.188.259 D ISHARES MSCI ACWI ETF 0 578.941 578.941 D ISHARES MSCI ACWI EX U.S. ETF 0 362.897 362.897 D ISHARES GLOBAL UTILITIES ETF 0 165.558 165.558 D ISHARES MSCI EUROZONE ETF 0 2.736.314 2.736.314 D ISHARES EUROPE ETF 0 326.366 326.366 D ISHARES MSCI EAFE ETF 0 6.354.405 6.354.405 D ISHARES MSCI EAFE VALUE ETF 0 4.201.907 4.201.907 D ISHARES MSCI KOKUSAI ETF 0 6.301 6.301 D ISHARES MSCI ITALY ETF 0 2.631.595 2.631.595 D ISHARES INTERNATIONAL SELECT DIVIDEND ETF 0 9.295.330 9.295.330 D ISHARES MSCI EAFE MIN VOL FACTOR ETF 0 6.662.963 6.662.963 D ISHARES CORE MSCI EUROPE ETF 0 761.870 761.870 D ISHARES INTERNATIONAL EQUITY FACTOR ETF 0 394.415 394.415 D ISHARES MSCI GLOBAL MULTIFACTORETF 0 39.180 39.180 D ISHARES MSCI ACWI LOW CARBON TARGET ETF 0 167.543 167.543 D ISHARES MSCI INTL SIZE FACTOR ETF 0 1.176 1.176 D ISHARES MSCI WORLD ETF 0 101.998 101.998 D ISHARES CORE MSCI EAFE ETF 0 11.752.759 11.752.759 D ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF 0 2.384.742 2.384.742 D ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF 0 1.223.036 1.223.036 D ISHARES CORE MSCI GLOBAL QUALITY DIVIDEND INDEX ETF 0 39.535 39.535 D ISHARES CORE MSCI EAFE IMI INDEX ETF 0 564.712 564.712 |
|---|
| **D ISHARES MSCI EUROPE IMI INDEX ETF 0 39.227 39.227 |
| **D ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF 0 13.283 13.283 |
| **D ISHARES GLOBAL MONTHLY DIVIDENDINDEX ETF (CAD-HEDGED) 0 66.319 66.319 |
| **D ACOMEA PMITALIA ESG 0 421.800 421.800 |
| **D EPSILON ASSOCIATI SGR - EPSILONSGR QVALUE 0 7.792 7.792 |
| **D EPSILON ASSOCIATI SGR - EPSILONSGR QRETURN 0 21.501 21.501 |
| **D EPSILON ASSOCIATI SGR - EPSILONSGR DLONGRUN 0 814 814 |
| **D ACOMEA PATRIMONIO ESENTE 0 30.000 30.000 |
| **D DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND 0 18.056 18.056 |
| **D STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV 0 552.170 552.170 |
| **D BLACKROCK STRATEGIC FUNDS 0 100 100 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK GLOBAL INDEX FUNDS | 0 | 200 | 200 |
| **D | COHEN AND STEERS SICAV | 0 | 260.087 | 260.087 |
| **D | XTRACKERS | 0 | 3.152.311 | 3.152.311 |
| **D | DWS MULTI ASSET PIR FUND | 0 | 215.000 | 215.000 |
| **D | DWS INVEST | 0 | 7.560.627 | 7.560.627 |
| **D | GOLDMAN SACHS FUNDS | 0 | 103.794 | 103.794 |
| **D | EPSILON FUND | 0 | 370.479 | 370.479 |
| **D | EURIZON INVESTMENT SICAV | 0 | 23.412 | 23.412 |
| **D | EURIZON NEXT 2.0 | 0 | 48.890 | 48.890 |
| **D | OSSIAM LUX | 0 | 54.825 | 54.825 |
| **D | EURIZON AM SICAV | 0 | 6.589 | 6.589 |
| **D | ARERO - DER WELTFONDS - ESG |
0 | 40.331 | 40.331 |
| **D | UBS LUX FUND SOLUTIONS | 0 | 2.436.922 | 2.436.922 |
| **D | AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO |
0 | 100 | 100 |
| **D | AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 0 | 21.938 | 21.938 |
| **D | AB GLOBAL RISK ALLOCATION FUND INC | 0 | 22.765 | 22.765 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 0 | 45.108 | 45.108 |
| **D | COMMONFUND STRATEGIC SOLUTIONS GLOBAL EQUITY, LLC | 0 | 21.642 | 21.642 |
| **D | VPV ALLGEMEINE VERSICHERUNGSAG | 0 | 70.000 | 70.000 |
| **D | INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST | 0 | 1.048.454 | 1.048.454 |
| **D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS | 0 | 74.982 | 74.982 |
| **D | COHEN & STEERS REAL ASSETS FUND, INC | 0 | 398.760 | 398.760 |
| **D | COHEN AND STEERS GLOBAL REALTY FOCUS FUND | 0 | 246.723 | 246.723 |
| **D | COHEN & STEERS INFRASTRUCTURE FUND, INC. | 0 | 3.661.538 | 3.661.538 |
| **D | JOHN HANCOCK TAX-ADVANTAGED GLOBAL SHAREHOLDER YIELD FUND | 0 | 143.000 | 143.000 |
| **D | JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST | 0 | 271.252 | 271.252 |
| **D | JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 0 | 116.641 | 116.641 |
| **D | JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 0 | 82.599 | 82.599 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 0 | 193.817 | 193.817 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 0 | 116.754 | 116.754 |
| **D | HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
0 | 104.597 | 104.597 |
| **D | JOHN HANCOCK FUNDS II INCOME ALLOCATION FUND | 0 | 45.818 | 45.818 |
| **D | SCHWAB INTERNATIONAL EQUITY ETF | 0 | 4.165.807 | 4.165.807 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX ETF | 0 | 1.162.996 | 1.162.996 |
| **D | FCA US LLC MASTER RETIREMENT TRUST | 0 | 611.709 | 611.709 |
| **D | KAISER FOUNDATION HOSPITALS | 0 | 27.152 | 27.152 |
| **D | KAISER PERMANENTE GROUP TRUST | 0 | 26.384 | 26.384 |
| **D | HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
0 | 82.141 | 82.141 |
| **D | HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO |
0 | 7.012 | 7.012 |
| **D | HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO |
0 | 1.265 | 1.265 |
| **D | SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND | 0 | 66.552 | 66.552 |
| **D | STATE STREET TOTAL RETURN VIS FUND | 0 | 18.214 | 18.214 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST | 0 | 355.095 | 355.095 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | VANGUARD TOTAL WORLD STOCK INDEX FUND | 0 | 1.305.558 | 1.305.558 |
| **D | VANGUARD DEVELOPED MARKETS INDEX FUND | 0 | 18.898.040 | 18.898.040 |
| **D | INVESCO INCOME ADVANTAGE INTERNATIONAL FUND | 0 | 2.274 | 2.274 |
| **D | ZURICH INVEST ICAV | 0 | 150.523 | 150.523 |
| **D | SSB FTSE RAFI DEVELOPED 1000 INDEX NONLENDING COMMON TRUST FUND | 0 | 10.500 | 10.500 |
| **D | STATE STREET FACTORBASED NONLENDING COMMON TRUST FUND | 0 | 9.801 | 9.801 |
| **D | SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND | 0 | 22.978 | 22.978 |
| **D | PENSIOENFONDS METAAL OFP | 0 | 330.632 | 330.632 |
| **D | FCA CANADA INC. ELECTED MASTER TRUST | 0 | 170.589 | 170.589 |
| **D | NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 0 | 577.935 | 577.935 |
| **D | EMPOWER ANNUITY INSURANCE COMPANY | 0 | 82.371 | 82.371 |
| **D | MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND | 0 | 77.565 | 77.565 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUNDS - ZIF GREEN |
0 | 85.409 | 85.409 |
| **D | WISDOMTREE INTERNATIONAL EQUITYFUND | 0 | 7.077 | 7.077 |
| **D | WISDOMTREE GLOBAL HIGH DIVIDENDFUND | 0 | 395 | 395 |
| **D | WISDOMTREE INTERNATIONAL DIVIDEND EX-FINANCIALS FUND | 0 | 70.587 | 70.587 |
| **D | WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 0 | 153.521 | 153.521 |
| **D | WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 0 | 493 | 493 |
| **D | WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND | 0 | 69.066 | 69.066 |
| **D | VANGUARD FTSE DEVELOPED EX NORTH AMERICA HIGH DIVIDEND YIELD IND | 0 | 28.374 | 28.374 |
| **D | WISDOMTREE ISSUER ICAV | 0 | 44.019 | 44.019 |
| **D | WASHINGTON STATE INVESTMENT BOARD | 0 | 823.057 | 823.057 |
| **D | WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 0 | 94.150 | 94.150 |
| **D | UBS (IRL) ETF PLC | 0 | 729.814 | 729.814 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 0 | 51.024 | 51.024 |
| **D | AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - GLOBAL EQUITY CHF |
0 | 67.678 | 67.678 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 0 | 23.155 | 23.155 |
| **D | VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 0 | 24.423 | 24.423 |
| **D | VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 0 | 337.143 | 337.143 |
| **D | ASIAN DEVELOPMENT BANK | 0 | 1.102.876 | 1.102.876 |
| **D | UNITED INCOME FOCUS TRUST | 0 | 77.204 | 77.204 |
| **D | TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 0 | 5.440.588 | 5.440.588 |
| **D | PUBLIC EMPLOYEES` LONG-TERM CARE FUND | 0 | 12.192.303 | 12.192.303 |
| **D | ALBERTA INVESTMENT MANAGEMENT CORPORATION | 0 | 2.674.753 | 2.674.753 |
| **D | STATE STREET CCF | 0 | 29.042 | 29.042 |
| **D | INTEL RETIREMENT PLANS COLLECTIVE INVESTMENT TRUST | 0 | 103.315 | 103.315 |
| **D | THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 0 | 409.231 | 409.231 |
| **D | SIR DAVID TRENCH FUND FOR RECREATION | 0 | 2.586 | 2.586 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR SRV100 | 0 | 10.504 | 10.504 |
| **D | STATE STREET IRELAND UNIT TRUST | 0 | 85.182 | 85.182 |
| **D | SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 0 | 975.128 | 975.128 |
| **D | SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 0 | 409.946 | 409.946 |
| **D | STICHTING PENSIOENFONDS TANDARTSEN EN TANDARTS-SPECIALISTEN | 0 | 6.791 | 6.791 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DESJARDINS INTERNATIONAL EQUITYIND EX ETF | 0 | 15.663 | 15.663 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX FUND | 0 | 3.823 | 3.823 |
| **D | SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 0 | 11.017 | 11.017 |
| **D | THE BANK OF KOREA | 0 | 8.612 | 8.612 |
| **D | SELFFINANCING POSTSECONDARY EDUCATION FUND | 0 | 1.351 | 1.351 |
| **D | GOVERNMENT PENSION INVESTMENT FUND | 0 | 11.713.378 | 11.713.378 |
| **D | RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 0 | 6.760 | 6.760 |
| **D | RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 0 | 3.202 | 3.202 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT | 0 | 57.662 | 57.662 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E PLUS FUND | 0 | 202.308 | 202.308 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC GLOBAL LISTED INFRA | 0 | 194.868 | 194.868 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET I-ASSET GROWTH FUND | 0 | 27.488 | 27.488 |
| **D | THE INCUBATION FUND LTD | 0 | 592 | 592 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 0 | 7.867 | 7.867 |
| **D | DEAM-FONDS CPT | 0 | 27.115 | 27.115 |
| **D | THRIVENT INTERNATIONAL INDEX PORTFOLIO | 0 | 23.752 | 23.752 |
| **D | RUSSELL INVESTMENTS GLOBAL INFRASTRUCTURE POOL | 0 | 951.895 | 951.895 |
| **D | RUSSELL OVERSEAS EQUITY POOL . | 0 | 31.149 | 31.149 |
| **D | STATE OF NEW JERSEY COMMON PENSION FUND D | 0 | 688.338 | 688.338 |
| **D | CITY OF NEW YORK GROUP TRUST | 0 | 705.702 | 705.702 |
| **D | BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO | 0 | 78.165 | 78.165 |
| **D | JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 0 | 2.700 | 2.700 |
| **D | RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 352.625 | 352.625 |
| **D | IBM RETIREMENT PLAN | 0 | 6.974 | 6.974 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 0 | 8.000 | 8.000 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR DEBEKAAKTIENEUROPAESG | 0 | 1.108.300 | 1.108.300 |
| **D | GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND |
0 | 152.813 | 152.813 |
| **D | GOLDMAN SACHS MULTIMANAGER REALASSETS STRATEGY FND | 0 | 852.132 | 852.132 |
| **D | GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND | 0 | 13.345 | 13.345 |
| **D | RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 148.126 | 148.126 |
| **D | ALLIANCEBERNSTEIN LP | 0 | 10.417 | 10.417 |
| **D | LAZARD EQUITY FRANCHISE PORTFOLIO | 0 | 1.582.400 | 1.582.400 |
| **D | LAZARD ESC GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 165.709 | 165.709 |
| **D | DEKA INVESTMENT GMBH FOR KDF 3 | 0 | 84.054 | 84.054 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 90.149.645 | 90.149.645 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR ARBOR I UI | 0 | 18.641 | 18.641 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 0 | 61.500 | 61.500 |
| **D | MERCER QIF COMMON CONTRACTUAL FUND | 0 | 482.752 | 482.752 |
| **D | MARIGOLD TACTICAL STRATEGIES LTD | 0 | 9.105 | 9.105 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 1.347.204 | 1.347.204 |
| **D | RHUMBLINE LOW CARBON INDEX FUNDLLC | 0 | 71.647 | 71.647 |
| **D | MDPIM INTERNATIONAL EQUITY INDEX POOL | 0 | 95.115 | 95.115 |
| **D | THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 0 | 71.455 | 71.455 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MGI FUNDS PLC | 0 | 120.963 | 120.963 |
| **D | MORG STI INSTITUTIONAL FUND GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 445.637 | 445.637 |
| **D | SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF | 0 | 34.427 | 34.427 |
| **D | SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 0 | 35.510 | 35.510 |
| **D | SPDR MSCI EAFE STRATEGICFACTORSETF | 0 | 289.382 | 289.382 |
| **D | LAZARD GLOBAL ACTIVE FUNDS PLC | 0 | 22.936.814 | 22.936.814 |
| **D | RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 0 | 59.240 | 59.240 |
| **D | LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 0 | 3.711.715 | 3.711.715 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES | 0 | 297.487 | 297.487 |
| **D | LVIP BLACKROCK GLOBAL ALLOCATION FUND | 0 | 50.339 | 50.339 |
| **D | LVIP MONDRIAN INTERNATIONAL VALUE FUND | 0 | 6.668.345 | 6.668.345 |
| **D | LVIP SSGA INTERNATIONAL INDEX FUND | 0 | 277.650 | 277.650 |
| **D | LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 0 | 23.121 | 23.121 |
| **D | INSTITUTIONAL RETIREMENT TRUST | 0 | 35.339 | 35.339 |
| **D | CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 0 | 11.344 | 11.344 |
| **D | STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 0 | 455.368 | 455.368 |
| **D | STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 0 | 379.104 | 379.104 |
| **D | LACERA MASTER OPEB TRUST | 0 | 42.685 | 42.685 |
| **D | SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 0 | 4.424 | 4.424 |
| **D | SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF | 0 | 11.123 | 11.123 |
| **D | SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT | 0 | 18.644 | 18.644 |
| **D | SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO |
0 | 88.412 | 88.412 |
| **D | OPENWORLD PUBLIC LIMITED COMPANY | 0 | 352.486 | 352.486 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE (CANADA) FUND | 0 | 5.277.566 | 5.277.566 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE (CANADA) FUND | 0 | 1.543.012 | 1.543.012 |
| **D | TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 0 | 17.239 | 17.239 |
| **D | TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 0 | 10.221 | 10.221 |
| **D | JNL/MELLON MSCI WORLD INDEX FUND | 0 | 13.874 | 13.874 |
| **D | JNL/JPMORGAN GLOBAL ALLOCATION FUND | 0 | 2.579 | 2.579 |
| **D | JNL/DFA INTERNATIONAL CORE EQUITY FUND | 0 | 9.377 | 9.377 |
| **D | TANGERINE DIVIDEND PORTFOLIO | 0 | 47.160 | 47.160 |
| **D | TANGERINE BALANCED INCOME PORTFOLIO | 0 | 2.734 | 2.734 |
| **D | TANGERINE BALANCED PORTFOLIO | 0 | 24.218 | 24.218 |
| **D | TANGERINE BALANCED GROWTH PORTFOLIO | 0 | 32.133 | 32.133 |
| **D | TANGERINE EQUITY GROWTH PORTFOLIO | 0 | 41.213 | 41.213 |
| **D | FIRST CHURCH OF CHRIST SCIENTIST | 0 | 6.811 | 6.811 |
| **D | PRESIMA GLOBAL REAL ESTATE SECURITIES ENHANCED YIELD FUND (TAXABLE) | 0 | 86.400 | 86.400 |
| **D | RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND | 0 | 30.484 | 30.484 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 0 | 28.817 | 28.817 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE TRUST | 0 | 2.956.945 | 2.956.945 |
| **D | FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 0 | 1.757 | 1.757 |
| **D | RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND | 0 | 409.057 | 409.057 |
| **D | RUSSELL INVESTMENT COMPANY GLOBAL INFRASTRUCTURE FUND | 0 | 340.057 | 340.057 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 0 | 5.071 | 5.071 |
| **D | RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND | 0 | 22.279 | 22.279 |
| **D | FRANKLIN TEMPLETON ICAV | 0 | 374.490 | 374.490 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF |
0 | 14.040 | 14.040 |
| **D | FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT`L EQUITY HEDG | 0 | 297.104 | 297.104 |
| **D | FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 0 | 21.840 | 21.840 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROZONE ETF |
0 | 8.084 | 8.084 |
| **D | VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK |
0 | 279.780 | 279.780 |
| **D | MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 0 | 2.236.549 | 2.236.549 |
| **D | EPOCH INVESTMENT FUNDS PUBLIC LIMITED COMPANY | 0 | 126.428 | 126.428 |
| **D | AEON GLOBAL EQUITY SHAREHOLDER YIELD FUND | 0 | 118.899 | 118.899 |
| **D | CUSTODY BANK OF JAPAN LTD ASTRUSTEE FOR SUMITOMOMITSUI TRUST BANK LIMITED ASTRUSTEE FOR ANCHORMF | 0 | 1.525.423 | 1.525.423 |
| **D | EATON VANCE TAXMANAGED GLOBAL BUYWRITE OPPORTUNITIES FUND | 0 | 152.501 | 152.501 |
| **D | PARAMETRIC INTERNATIONAL EQUITYFUND | 0 | 62.700 | 62.700 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 0 | 122.821 | 122.821 |
| **D | CALVERT IMPACT FUND INC CALVERT GLOBAL ENERGY SOLUTIONS FUND | 0 | 182.139 | 182.139 |
| **D | CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 0 | 18.440 | 18.440 |
| **D | XTRACKERS (IE) PUBLIC LIMITED COMPANY | 0 | 990.266 | 990.266 |
| **D | DESJARDINS SECURITE FINANCIERE COMPAGNIE D`ASSURANCE VIE | 0 | 7.155 | 7.155 |
| **D | REGIME DE RENTES DU MOUVEMENT DESJARDINS | 0 | 11.199 | 11.199 |
| **D | REGIME DE RETRAITE DE LA CONFEDERATION DES SYNDICATS NATIONAUX | 0 | 33.400 | 33.400 |
| **D | CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 0 | 60.129 | 60.129 |
| **D | CITY UNIVERSITY OF NEW YORK | 0 | 2.473 | 2.473 |
| **D | TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 0 | 79.569 | 79.569 |
| **D | BMO INTERNATIONAL DIVIDEND ETF | 0 | 275.550 | 275.550 |
| **D | BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 0 | 567.199 | 567.199 |
| **D | CAPULA TAIL RISK MASTER FUND LIMITED | 0 | 12.096 | 12.096 |
| **D | CARDANO COMMON CONTRACTUAL FUND | 0 | 38.777 | 38.777 |
| **D | CENTRAL PROVIDENT FUND BOARD | 0 | 7.398 | 7.398 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 0 | 384.018 | 384.018 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 0 | 28.121 | 28.121 |
| **D | MATB MSCI KOKUSAI INDEX MOTHER FUND | 0 | 25.768 | 25.768 |
| **D | AMERICAN BUREAU OF SHIPPING | 0 | 2.090 | 2.090 |
| **D | RTX SAVINGS PLAN MASTER TRUST | 0 | 558.757 | 558.757 |
| **D | THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 0 | 59.041 | 59.041 |
| **D | BMO MSCI EAFE INDEX ETF | 0 | 601.938 | 601.938 |
| **D | BRUNEL LOW VOLATILITY GLOBAL EQUITY FUND | 0 | 466.472 | 466.472 |
| **D | PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 0 | 15.041 | 15.041 |
| **D | HSBC BANK PLC AS TRUSTEE OF STATE STREET AUT EUROPE EX UK S CREENED INDEX EQUITY FUND | 0 | 1.877.301 | 1.877.301 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES`S PLACE STRATEGIC MANAGE | 0 | 43.497 | 43.497 |
| **D | FAMILY INVESTMENTS CHILD TRUST FUND | 0 | 47.362 | 47.362 |
| **D | FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND | 0 | 38.776 | 38.776 |
| **D | NATIONAL EMPLOYMENT SAVINGS TRUST | 0 | 3.497.717 | 3.497.717 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SUN CHEMICAL LIMITED PENSION SCHEME | 0 | 34.556 | 34.556 |
| **D | VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY INDEX FUND |
0 | 696.587 | 696.587 |
| **D | VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND | 0 | 1.272.645 | 1.272.645 |
| **D | VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 0 | 135.821 | 135.821 |
| **D | SCOTTISH WIDOWS INV.SOLUTIONS FUNDS ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND | 0 | 167.906 | 167.906 |
| **D | MULTI STYLE MULTI MANAGER FUNDSPLC | 0 | 97.622 | 97.622 |
| **D | DWS RREEF COLLECTIVE INVESTMENT TRUST | 0 | 178.390 | 178.390 |
| **D | DYNAMIC INFRASTRUCTURE SECURITIES FUND LP | 0 | 4.370 | 4.370 |
| **D | DWS RREEF REAL ASSETS FUND | 0 | 2.695.800 | 2.695.800 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 265.465 | 265.465 |
| **D | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 0 | 55.915 | 55.915 |
| **D | MARYLAND STATE RETIREMENT PENSION SYSTEM | 0 | 89.044 | 89.044 |
| **D | RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 0 | 5.024 | 5.024 |
| **D | NUVEEN REAL ASSET INCOME FUND | 0 | 1.997.825 | 1.997.825 |
| **D | FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 0 | 183.901 | 183.901 |
| **D | POLICE AND FIREMEN`S RETIREMENTSYSTEM OF NEW JERSEY | 0 | 315.128 | 315.128 |
| **D | PROCTER AND GAMBLE BELGIUM PENSION FUND | 0 | 5.128 | 5.128 |
| **D | PRUDENTIAL HONG KONG LIMITED | 0 | 1.626.494 | 1.626.494 |
| **D | PACIFIC SELECT FUND -PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO | 0 | 90.751 | 90.751 |
| **D | PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 0 | 20.616 | 20.616 |
| **D | NUVEEN MULTI-ASSET INCOME FUND | 0 | 139.528 | 139.528 |
| **D | NUVEEN REAL ASSET INCOME & GROWTH FUND | 0 | 977.152 | 977.152 |
| **D | NUVEEN INTERNATIONAL DIVIDEND GROWTH FUND | 0 | 27.926 | 27.926 |
| **D | TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 0 | 18.477 | 18.477 |
| **D | NORTHROP GRUMMAN PENSION MASTERTRUST | 0 | 45.189 | 45.189 |
| **D | THE BARCLAYS BANK UK RETIREMENTFUND | 0 | 27.368 | 27.368 |
| **D | GOLDMAN SACHS UK RETIREMENT PLAN | 0 | 97.433 | 97.433 |
| **D | STICHTING PHILIPS PENSIOENFONDS | 0 | 23.133 | 23.133 |
| **D | NOW PENSIONS TRUST | 0 | 43.699 | 43.699 |
| **D | COHEN & STEERS GLOBAL INFRASTRUCTURE FUND, INC. | 0 | 1.591.087 | 1.591.087 |
| **D | COHEN & STEERS, INC. | 0 | 5.135 | 5.135 |
| **D | COHEN + STEERS FUTURE OF ENERGYFUND, INC. | 0 | 247.033 | 247.033 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 0 | 898.801 | 898.801 |
| **D | LAZARD REAL ASSETS PORTFOLIO | 0 | 7.622 | 7.622 |
| 10689 | GRANDI ROI | 2.500 | 0 | 2.500 |
| 10796 | RINAUDO MAURO | 3.000 | 0 | 3.000 |
| 10892 | MAGNANI DUILIO | 100 | 0 | 100 |
| 11470 | MAGNANI MARZIO | 0 | 18.000 | 18.000 |
| 11582 | FIORENTINO ANNA MARIA | 7.387 | 0 | 7.387 |
| 11921 | MANUNTA DAVIDE | 0 | 0 | 0 |
| DE* | CDP RETI SPA | 0 | 1.053.692.127 | 1.053.692.127 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| **D | GRANITIFIANDRE SOCIETA` PER AZIONI | 0 | 27.652.190 | 27.652.190 |
| Azionisti: | 1.804 | Teste: | 11 |
|---|---|---|---|
| Azionisti in proprio: | 9 | Azionisti in delega: | 1.795 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| *** | MINOZZI ROMANO | 0 | 126.807.958 | 126.807.958 |
| **D | PREVEDI | 0 | 853 | 853 |
| **D | IRIS CERAMICA GROUP SOCIETA` PER AZIONI | 0 | 84.890.583 | 84.890.583 |
| **D | FINANZIARIA CERAMICA CASTELLARANO S P A | 0 | 10.958.722 | 10.958.722 |
| **D | FONDO GOMMA PLASTICA | 0 | 312.660 | 312.660 |
| **D | FONDO SCUOLA ESPERO CRESCITA AZIONARIO | 0 | 2.761 | 2.761 |
| **D | INARCASSA - CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA PER |
0 | 23.920.000 | 23.920.000 |
| *** | LOMBARDI GIANFRANCO | 0 | 2.275 | 2.275 |
| *** | DEVECCHI ORIANO | 0 | 500 | 500 |
| 12318 | BAVA MARCO GEREMIA CARLO | 4 | 0 | 4 |
| 8365 | PINTO DONATO | 4.000 | 0 | 4.000 |
| 8806 | OTTOLENGHI GUIDO | 0 | 0 | 0 |
| RL* | ESTROSA SOCIETA` PER AZIONI | 120.000 | 0 | 120.000 |
| RL* | LA PETROLIFERA ITALO RUMENA SPA | 850.000 | 0 | 850.000 |
| RL* | ZIPORA S.R.L. | 100.000 | 0 | 100.000 |
| Totale voti | 2.539.658.449 |
|---|---|
| Percentuale votanti % | 99,227585 |
| Percentuale Capitale % | 75,565781 |

Assemblea Ordinaria del 07 maggio 2024
ESITO VOTAZIONE
Oggetto : O.2. Destinazione dell'utile di esercizio e distribuzione del dividendo
Hanno partecipato alla votazione:
-n° 1.829 azionisti, portatori di n° 2.559.427.857 azioni ordinarie, di cui n° 2.559.427.857 ammesse al voto, pari
al 76,154006% del capitale sociale.
Hanno votato:
| %AZIONI ORDINARIE RAPPRESENTATE (Quorum deliberativo) |
%AZIONI AMMESSE AL VOTO |
%CAP.SOC. | ||
|---|---|---|---|---|
| Favorevoli | 2.539.658.449 | 99,227585 | 99,227585 | 75,565781 |
| Contrari | 19.730.748 | 0,770905 | 0,770905 | 0,587075 |
| SubTotale | 2.559.389.197 | 99,998490 | 99,998490 | 76,152856 |
| Astenuti | 5.260 | 0,000206 | 0,000206 | 0,000157 |
| Non Votanti | 33.400 | 0,001305 | 0,001305 | 0,000994 |
| SubTotale | 38.660 | 0,001510 | 0,001510 | 0,001150 |
| Totale | 2.559.427.857 | 100,000000 | 100,000000 | 76,154006 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
CONTRARI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA | 0 | 343.495 | 343.495 |
| **D | ZWITSERLEVEN INSTITUTIONELE BELEGGINGSFONDSEN - ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA |
0 | 93.875 | 93.875 |
| **D | CARDANO ESG TRANSITION ENHANCED INDEX EQUITY GLOBAL (I) | 0 | 174.844 | 174.844 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 0 | 943.147 | 943.147 |
| **D | CHURCH COMMISSIONERS FOR ENGLAND | 0 | 22.585 | 22.585 |
| **D | CITY OF AUSTIN EMPLOYEES RETIREMENT SYSTEM | 0 | 120.596 | 120.596 |
| **D | OFI INVEST DYNAMIQUE MONDE | 0 | 66.834 | 66.834 |
| **D | OFI INVEST EQUILIBRE MONDE | 0 | 66.354 | 66.354 |
| **D | OFI INVEST ESG EURO EQUITY SMA | 0 | 298.065 | 298.065 |
| **D | CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS. | 0 | 17.657 | 17.657 |
| **D | CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 0 | 935.515 | 935.515 |
| **D | WEST YORKSHIRE PENSION FUND | 0 | 1.003.311 | 1.003.311 |
| **D | IRCEC BEAUMARCHAIS | 0 | 128.870 | 128.870 |
| **D | DYNAMIS SOLIDAIRE ISR | 0 | 770.000 | 770.000 |
| **D | ECOFI ENJEUX FUTURS | 0 | 930.000 | 930.000 |
| **D | GLOBAL ALLOCATION M | 0 | 14.089 | 14.089 |
| **D | CARDANO COMMON CONTRACTUAL FUND | 0 | 38.777 | 38.777 |
| **D | NOW PENSIONS TRUST | 0 | 43.699 | 43.699 |
| 12318 | BAVA MARCO GEREMIA CARLO | 4 | 0 | 4 |
| Totale voti | 6.011.717 |
|---|---|
| Percentuale votanti % | 0,234885 |
| Percentuale Capitale % | 0,178874 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
ASTENUTI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | BBVA RETAIL | 0 | 5.260 | 5.260 |
| **D | RIVERFIELD SICAV - RIVERFIELD ALLROUNDER |
0 | 14.000 | 14.000 |
| **D | RIVERFIELD SICAV - RIVERFIELD EQUITIES |
0 | 36.826 | 36.826 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| *** | DEVECCHI ORIANO | 0 | 500 | 500 |
| Totale voti | 56.586 |
|---|---|
| Percentuale votanti % | 0,002211 |
| Percentuale Capitale % | 0,001684 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
NON VOTANTI
| Badge 10653 **D |
Ragione Sociale FERRERO ANDREA NMM5 GIEP DWS ACCOUNT |
Proprio 0 0 |
Delega 0 33.400 |
Totale 0 33.400 |
|
|---|---|---|---|---|---|
| Totale voti | 33.400 | ||||
| Percentuale votanti % | 0,001305 | ||||
| Percentuale Capitale % | 0,000994 |
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | HELABA INV KAPITALANL GES MBH HI HERMES | 0 | 9.023 | 9.023 |
| **D | UNIVERSAL INVESTMENT GMBH | 0 | 76.498 | 76.498 |
| **D | HELABA INV KAPITALANL GES MBH HI Z AKTIE | 0 | 502.027 | 502.027 |
| **D | HELABA INV KAPITALANL.GES.MBH HI-KAPPA-2 | 0 | 22.800 | 22.800 |
| **D | HELABA INV KAPITALANL GES MBH HI WIVK 21 | 0 | 29.484 | 29.484 |
| **D | HELABA INVEST KAG MBH FOR HI-AKTIEN LOW | 0 | 236.231 | 236.231 |
| **D | HELABA INV KAPITALANL GES MBH HI PENS TR | 0 | 23.603 | 23.603 |
| **D | HELABA INV. KAPITALANL.GES.MBH HI-HML-AK | 0 | 3.852 | 3.852 |
| **D | HELABA INV KAPITALANL GES MBH HI WORMS M | 0 | 24.927 | 24.927 |
| **D | HELABA INVEST KAG MBH FOR HI-SPAVO-FONDS | 0 | 19.244 | 19.244 |
| **D | DEGUSSA BANK NACHHALTIGKEITSFONDS AKZENT | 0 | 110.020 | 110.020 |
| **D | HELABA INV KAPITALANL GES MBH HI AKTIENS | 0 | 295.800 | 295.800 |
| **D | HELABA INVEST KAG MBH HI SZVA 10 SFONDS | 0 | 45.600 | 45.600 |
| **D | HELABA INV KAPITALANL GES MBH HI BGHM AR | 0 | 236.137 | 236.137 |
| **D | KAPITALANL GES MBH HI BGHM AR26 SFONDS | 0 | 155.394 | 155.394 |
| **D | HELABA INVEST KAG MBH HI PENS TRUST RH D | 0 | 144.185 | 144.185 |
| **D | HELABA INV KAPITALANL GES MBH HI SZVA 2 | 0 | 63.000 | 63.000 |
| **D | MASTERINVEST KAPITALANLAGE GMBH | 0 | 150.451 | 150.451 |
| **D | DEKA INVESTMENT GMBH GLOBALE AKTIEN | 0 | 25.957 | 25.957 |
| **D | DEKA INVESTMENT GMBH SAS FONDS U02 | 0 | 6.480 | 6.480 |
| **D | DEKA INVESTMENT GMBH BV PAR FONDS | 0 | 13.000 | 13.000 |
| **D | HELABA INV KAPITALANL GES MBH HI SLS MF2 | 0 | 47.606 | 47.606 |
| **D | DEKA INVESTMENT GMBH NECKAR FUNDMASTER 1 | 0 | 413.754 | 413.754 |
| **D | DEKA INVESTMENT GMBH DEKA VALUE EXTRA SE | 0 | 82.340 | 82.340 |
| **D | HELABA INVEST KAG MBH HI KAPPA 10 SFONDS | 0 | 51.300 | 51.300 |
| **D | UNION INVESTMENT INSTITUTIONAL GMBH | 0 | 46.478 | 46.478 |
| **D | HMT HANSEMERKUR AKTIEN INVEST | 0 | 1.499 | 1.499 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN I | 0 | 63.620 | 63.620 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN II | 0 | 181.890 | 181.890 |
| **D | TIMM INVEST EUROPA PLUS | 0 | 2.401 | 2.401 |
| **D | BASTI 1 METZLER | 0 | 13.200 | 13.200 |
| **D | GLOBAL ETHICAL VALUES SELECT FUND | 0 | 37.540 | 37.540 |
| **D | CNP LBPAM GLOBAL CONVERTIBLES | 0 | 52.000 | 52.000 |
| **D | ECOFI CONVERTIBLES EURO | 0 | 125.200 | 125.200 |
| **D | SWISS NATIONAL BANK | 0 | 5.099.090 | 5.099.090 |
| **D | NMM5-WIEQ-CNS ACCOUNT | 0 | 20.641 | 20.641 |
| **D | NMM5 GIEP BRI ACCOUNT | 0 | 26.709 | 26.709 |
| **D | NCF-GBL INFRAST STOCK FD | 0 | 2.046.400 | 2.046.400 |
| **D | WIF-GBL UNCONS INFRA EQTY | 0 | 698.430 | 698.430 |
| **D | QUANTUM LEBEN AG | 0 | 15.000 | 15.000 |
| *** | TOMASSI MARINANGELI GIULIANO GREGORIO | 0 | 2.500 | 2.500 |
| **D | WIF-LAZ GBL PFD LIS INFRA | 0 | 3.447.345 | 3.447.345 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | WIF-C&S GBL LISTED INFRA | 0 | 275.933 | 275.933 |
| **D | PICTET - EUROPE INDEX |
0 | 191.151 | 191.151 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER |
0 | 51.777 | 51.777 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER |
0 | 87.797 | 87.797 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE |
0 | 8.455 | 8.455 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL |
0 | 66.179 | 66.179 |
| **D | PICTET - QUEST AL-DRIVEN GLOBAL EQUITIES |
0 | 1.118 | 1.118 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES RENDEMENT ABSOLU |
0 | 56.999 | 56.999 |
| **D | RP - FONDS INSTITUTIONNEL - ACTIONS MARCHES DEVELOPPES LARGE CAP |
0 | 59.707 | 59.707 |
| **D | QUAERO CAPITAL FUNDS (LUX) - ACCESSIBLE CLEAN ENERGY |
0 | 654.079 | 654.079 |
| **D | PICTET-EUROLAND INDEX | 0 | 126.419 | 126.419 |
| **D | AEIS INSTITUTIONAL FUND - AKTIEN GLOBAL |
0 | 60.416 | 60.416 |
| **D | PICTET CH - GLOBAL EQUITIES |
0 | 15.637 | 15.637 |
| **D | PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL | 0 | 24.445 | 24.445 |
| **D | PICTET - MULTI ASSET GLOBAL OPPORTUNITIES |
0 | 29.673 | 29.673 |
| **D | WORLD TRADE ORGANIZATION PENSION PLAN | 0 | 18.370 | 18.370 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES |
0 | 16.015 | 16.015 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX SEL.DIV.30UC.ETF | 0 | 1.157.990 | 1.157.990 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPA AKTIEN SPEZIAL | 0 | 519.847 | 519.847 |
| **D | DEKA INVESTMENT GMBH W/A-DOR-FONDS W/U21 | 0 | 83.845 | 83.845 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT | 0 | 1.520.176 | 1.520.176 |
| **D | ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWLCO-AKTIEN | 0 | 16.999 | 16.999 |
| **D | DEKA INVESTMENT GMBH W/SVAM-FONDS | 0 | 63.134 | 63.134 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT 90 | 0 | 59.882 | 59.882 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROLAND AKT.LOWRISK | 0 | 492.425 | 492.425 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EUROPE UCITS ETF | 0 | 209.783 | 209.783 |
| **D | DEKA INVESTMENT GMBH W/BIA-STRATEGIEFONDS NR. 5 | 0 | 42.300 | 42.300 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT KOMMUNAL | 0 | 201.017 | 201.017 |
| **D | DEKA INVESTMENT GMBH W/DONAU-MULTI-ASSET-FUNDMASTER U01 AKTIEN | 0 | 275.275 | 275.275 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-GLOB.AKT.LOWRISK | 0 | 1.053.135 | 1.053.135 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT MULTI ASSET | 0 | 152.550 | 152.550 |
| **D | DEKA INVESTMENT GMBH W/A-VSA-FONDS W/SONSTIGES | 0 | 78.007 | 78.007 |
| **D | DEKA INVESTMENT GMBH W/MAINFRANKEN STRATEGIEKONZEPT | 0 | 360.397 | 360.397 |
| **D | DEKA INVESTMENT GMBH W/WELTINVEST NACHHALTIGKEIT | 0 | 99.300 | 99.300 |
| **D | DEKA INVESTMENT GMBH W/APOFONDS-KIEL | 0 | 191.538 | 191.538 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-LCR-FONDS | 0 | 9.241 | 9.241 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI EURO.CL.CH.ESG UCITS ETF | 0 | 23.713 | 23.713 |
| **D | DEKA INTERNATIONAL S.A. W/WFL INVEST FCP-FIS | 0 | 23.465 | 23.465 |
| **D | DEKA INVESTMENT GMBH W/SE-RENDITE SEGMENT 3 | 0 | 74.453 | 74.453 |
| **D | DEKA INVESTMENT GMBH W/DEKA-PRIVATVORSORGE AS | 0 | 62.000 | 62.000 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI WORLD UCITS ETF | 0 | 83.270 | 83.270 |
| **D | DEKA INVESTMENT GMBH W/PENSIONSFONDS MAINZ1 | 0 | 24.463 | 24.463 |
| **D | DEKA INVESTMENT GMBH W/DEKA-MULTI ASSET INCOME | 0 | 90.000 | 90.000 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DEKA INVESTMENT GMBH W/DDF 7 | 0 | 102.188 | 102.188 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI WOR.CL.CH.ESG UCITS ETF | 0 | 6.008 | 6.008 |
| **D | DEKA INVESTMENT GMBH W/SSH-FONDS W/U04 | 0 | 31.200 | 31.200 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EMU CL.C.ESG UCITS ETF | 0 | 22.731 | 22.731 |
| **D | DEKA INVESTMENT GMBH W/HD-PHILOSOPHENWEG | 0 | 5.540 | 5.540 |
| **D | DEKA INVESTMENT GMBH W/SK RHEIN NECKAR NORD NACHHALTIGKEIT INVEST | 0 | 27.343 | 27.343 |
| **D | DEKA INVESTMENT GMBH W/DEKA STARKENBURG U03 AKTIEN LOWRISK | 0 | 96.354 | 96.354 |
| **D | DEKA INVESTMENT GMBH W/DEKA-EURO-IST. EX FIN DI.+UC.ETF | 0 | 1.600.550 | 1.600.550 |
| **D | DEKA INVESTMENT GMBH W/NEBUS-MASTERFONDS W/AKTIEN - U02 |
0 | 16.335 | 16.335 |
| **D | DEKA INVESTMENT GMBH W/TREMONIUS-FONDS | 0 | 50.803 | 50.803 |
| **D | DEKA INVESTMENT GMBH W/S-MULTI ASSET ESG AUSGEWOGEN | 0 | 22.406 | 22.406 |
| **D | DEKA INVESTMENT GMBH W/DOHAMUN-FONDS | 0 | 8.689 | 8.689 |
| **D | DEKA INVESTMENT GMBH W/SCHNOOR | 0 | 115.182 | 115.182 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX 50 ESG UCITS ETF | 0 | 165.567 | 165.567 |
| **D | DEKA INVESTMENT GMBH W/MKG W/U2 MKG EUROLAND | 0 | 29.787 | 29.787 |
| **D | DEKA INVESTMENT GMBH W/A-HAM-FONDS W/U02 | 0 | 62.363 | 62.363 |
| **D | DEKA INVESTMENT GMBH W/DEKA BIV-B | 0 | 2.906 | 2.906 |
| **D | DEKA INVESTMENT GMBH W/VER 03-FONDS W/U1 | 0 | 21.960 | 21.960 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-BG ETEM A6-SFONDS | 0 | 48.536 | 48.536 |
| **D | MATIG ACT MONDE | 0 | 414.648 | 414.648 |
| **D | HI-172915-FONDS | 0 | 6.416 | 6.416 |
| **D | MATIGNON ACTIONS INTERNATIONALES | 0 | 395.045 | 395.045 |
| **D | HI MANPT FONDS | 0 | 116.436 | 116.436 |
| **D | HI PNWL DIVIDENDE PLUS FONDS | 0 | 2.865.071 | 2.865.071 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS | 0 | 46.855 | 46.855 |
| **D | ERI BAYERNINVEST FONDS AKTIEN EUROPA | 0 | 84.724 | 84.724 |
| **D | ARABELLE ROTHSCHILD | 0 | 11.245 | 11.245 |
| **D | HI-PROVINZIAL-LOWRISK-DIVIDENDENSTRATEGIE-FONDS | 0 | 220.780 | 220.780 |
| **D | PEGASUS-UI-FONDS | 0 | 25.000 | 25.000 |
| **D | AXA OR ET MATIERES PREMIERES | 0 | 54.767 | 54.767 |
| **D | FCP FCE PLCT INTERNATIONAL ESG PLUS | 0 | 508.071 | 508.071 |
| **D | AXA AA DIVERSIFIE INDICIEL 1 | 0 | 155.992 | 155.992 |
| **D | ARRCO QUANT 1 | 0 | 131.980 | 131.980 |
| **D | MH AMUNDI ACTIONS EURO | 0 | 320.865 | 320.865 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF EPOTIF MASTERFONDS | 0 | 158.556 | 158.556 |
| **D | HI-AKTIEN-AKTIV-VALUE-SFONDS | 0 | 761.585 | 761.585 |
| **D | AXA PEA REGULARITE | 0 | 3.934.959 | 3.934.959 |
| **D | FRANCE PLACEMENT EURO ESG PLUS | 0 | 683.473 | 683.473 |
| **D | HI-AKTIEN GLOBAL 2-FONDS | 0 | 580.000 | 580.000 |
| **D | PHOSPHORE | 0 | 96.088 | 96.088 |
| **D | LA FRANCAISE SYSTEMATIC GLOBAL LISTED INFRASTRUCTURE | 0 | 75.173 | 75.173 |
| **D | ERAFP ACTIONS EURO IV | 0 | 1.099.451 | 1.099.451 |
| **D | FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 0 | 116.835 | 116.835 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AXA EURO DIVIDEND L | 0 | 24.370 | 24.370 |
| **D | UI-GKR-FONDS | 0 | 43.827 | 43.827 |
| **D | STICHTING AHOLD DELHAIZE PENSIOEN | 0 | 143.447 | 143.447 |
| **D | ALLIANZGI S AKTIEN | 0 | 1.027.368 | 1.027.368 |
| **D | AMUNDI STOXX EUROPE 600 ESG II UCITS ETF | 0 | 13.344 | 13.344 |
| **D | DPCTA-MASTERFONDS | 0 | 9.852 | 9.852 |
| **D | ERAFP ACTIONS EURO II | 0 | 5.253.528 | 5.253.528 |
| **D | HI-AKTIEN EUROPA 1-FONDS | 0 | 26.816 | 26.816 |
| **D | ATCP-UI-FONDS | 0 | 7.725 | 7.725 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF DEBEKA-AKTIEN-EUROPA-DIVIDENDEN | 0 | 1.617.814 | 1.617.814 |
| **D | ALLIANZGI-FONDS GANO 2 | 0 | 20.669 | 20.669 |
| **D | AXA EURO DIVIDEND K | 0 | 133.514 | 133.514 |
| **D | ALLIANZGI-FONDS TSF | 0 | 4.013 | 4.013 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB-UNIVERSAL-FONDS | 0 | 3.354 | 3.354 |
| **D | MEAG PREMIUM | 0 | 2.185.247 | 2.185.247 |
| **D | FCP SODIUM I | 0 | 84.719 | 84.719 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 0 | 16.549 | 16.549 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY | 0 | 5.954 | 5.954 |
| **D | AXA VERSICHERUNGEN AG | 0 | 1.092.532 | 1.092.532 |
| **D | MERCER WHOLESALE FUNDS | 0 | 7.003 | 7.003 |
| **D | FONECONOMISTES, FONS DE PENSIONS | 0 | 1.993 | 1.993 |
| **D | MIR | 0 | 290.534 | 290.534 |
| **D | MERCER INVESTMENT FUNDS | 0 | 654.763 | 654.763 |
| **D | GLOBAL EQUITIES ENHANCED INDEX FUND | 0 | 252.564 | 252.564 |
| **D | FERROATLANTICA 92 FP | 0 | 1.877 | 1.877 |
| **D | JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND | 0 | 3.940 | 3.940 |
| **D | BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 0 | 29.548 | 29.548 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE INDEX FUND HEDGED | 0 | 406.962 | 406.962 |
| **D | IPAC SPECIALIST INVESTMENT STRATEGIES - LISTED GLO |
0 | 90.622 | 90.622 |
| **D | AZ FUND 1 AZ EQUITY GLOBAL INFRASTRUCTURE | 0 | 75.226 | 75.226 |
| **D | FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY |
0 | 14.674 | 14.674 |
| **D | AXA LEBEN AG | 0 | 138.196 | 138.196 |
| **D | CASTELLANA PENSIONES FP | 0 | 1.905 | 1.905 |
| **D | BUSS (QUEENSLAND) POOLED SUPERANNUATION TRUST | 0 | 888 | 888 |
| **D | AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 0 | 116.000 | 116.000 |
| **D | INVESTITORI FLESSIBILE | 0 | 250.000 | 250.000 |
| **D | INVESTITORI PIAZZA AFFARI | 0 | 124.600 | 124.600 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.144 | 59.144 |
| **D | GENERALI ITALIA SPA | 0 | 610.026 | 610.026 |
| **D | ALLIANZGI-FONDS PF1 SEGMENT PF1-AA2-E_EUA | 0 | 785.480 | 785.480 |
| **D | ALLIANZGI-H SEGMENT EFK | 0 | 41.230 | 41.230 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VSTBH-UNIVERSAL-FONDS | 0 | 9.262 | 9.262 |
| **D | AXA EURO DIVIDEND DBVL | 0 | 279.866 | 279.866 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MASTERFONDS HTPT | 0 | 105.482 | 105.482 |
| **D | HI-AKTIEN GLOBAL-FONDS | 0 | 190.000 | 190.000 |
| **D | BANSABADELL 36, F.P. | 0 | 6.786 | 6.786 |
| **D | SABADELL PLANIFICACION 25, FI | 0 | 25.145 | 25.145 |
| **D | MERCER PROPERTY AND INFRASTRUCTURE TRUST | 0 | 591.339 | 591.339 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE MARKET INDEX FUND | 0 | 586.034 | 586.034 |
| **D | MERCER UNHEDGED OVERSEAS SHARES TRUST | 0 | 75.429 | 75.429 |
| **D | INVERSABADELL 25, FI | 0 | 85.852 | 85.852 |
| **D | RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | 0 | 8.436 | 8.436 |
| **D | FONDO PENSIONE COMETA | 0 | 350.765 | 350.765 |
| **D | ENHANCED INDEX INTERNATIONAL SHARE FUND | 0 | 46.773 | 46.773 |
| **D | CONSERVATION INTERNATIONAL FOUNDATION, INC. | 0 | 545 | 545 |
| **D | FRONTIER MFG CORE INFRASTRUCTURE FUND | 0 | 1.981.741 | 1.981.741 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 0 | 8.000 | 8.000 |
| **D | BS PREVISION EMPRESAS EPSV DE EMPLEO | 0 | 4.103 | 4.103 |
| **D | SABADELL EUROPA BOLSA ESG, FI | 0 | 1.118.807 | 1.118.807 |
| **D | INVERSABADELL 50, FI | 0 | 59.021 | 59.021 |
| **D | KAIROS INTERNATIONAL SICAV-ITALIA | 0 | 407.065 | 407.065 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 0 | 495.000 | 495.000 |
| **D | AMP SUPER FUND | 0 | 584.750 | 584.750 |
| **D | INVERSABADELL 70, FI | 0 | 20.850 | 20.850 |
| **D | RLA LISTED REAL ASSETS FUND | 0 | 1.906.639 | 1.906.639 |
| **D | AMERICAN HEART ASSOCIATION, INC. | 0 | 4.809 | 4.809 |
| **D | AZ FUND 1 AZ ALTERNATIVE SMART RISK PREMIA | 0 | 40.200 | 40.200 |
| **D | AZ FUND 1-AZ ALLOCATION-STRATEGICBALANCED CATHOLIC VALUES | 0 | 1.200 | 1.200 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND | 0 | 122.386 | 122.386 |
| **D | PHILADELPHIA GAS WORKS PENSION PLAN | 0 | 3.174 | 3.174 |
| **D | FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES |
0 | 149 | 149 |
| **D | BNPP DUBLIN/SCHRODER STABLE GROWTH FUND MELLON | 0 | 10.381 | 10.381 |
| **D | AXA INSURANCE DESIGNATED ACTIVITY COMPANY | 0 | 41.023 | 41.023 |
| **D | KAIROS INTERNATIONAL SICAV-KEY | 0 | 730.000 | 730.000 |
| **D | FONSOLBANK FP | 0 | 17.555 | 17.555 |
| **D | BANSABADELL 2000 FP | 0 | 1.343 | 1.343 |
| **D | UNISUPER | 0 | 28.510 | 28.510 |
| **D | AAM S&P DEVELOPED MARKETS HIGH DIVIDEND VALUE ETF | 0 | 7.282 | 7.282 |
| **D | AXA-ARAG RECHTSSCHUTZ AG | 0 | 84.000 | 84.000 |
| **D | PACER TRENDPILOT INTERNATIONAL ETF | 0 | 18.642 | 18.642 |
| **D | PSVAG MASTERFONDS | 0 | 85.193 | 85.193 |
| **D | SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND | 0 | 956.872 | 956.872 |
| **D | SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 0 | 1.549.648 | 1.549.648 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) | 0 | 24.300 | 24.300 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) 195.612 |
0 | 195.612 |
Pagina 8
Azionisti: 1.805 Teste: 10 Azionisti in proprio: 8 Azionisti in delega: 1.797
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SIIT - WORLD SELECT EQUITY FUND |
0 | 3.202 | 3.202 |
| **D | ING DIRECT SICAV | 0 | 105.087 | 105.087 |
| **D | CREDIT SUISSE INDEX FUND (LUX) | 0 | 893.205 | 893.205 |
| **D | VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 0 | 2.030.984 | 2.030.984 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND | 0 | 2.842 | 2.842 |
| **D | MONDRIAN INTERNATIONAL VALUE EQUITY FUND | 0 | 5.142.429 | 5.142.429 |
| **D | MONDRIAN GLOBAL EQUITY VALUE FUND | 0 | 687.733 | 687.733 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 0 | 39.830 | 39.830 |
| **D | FIDELITY RETIREE HEALTH REIMBURSEMENT PLAN | 0 | 34.720 | 34.720 |
| **D | VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF |
0 | 123.028 | 123.028 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 0 | 29.636 | 29.636 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL QUALITY INDEX FUND | 0 | 625.297 | 625.297 |
| **D | MONDRIAN ALL COUNTRIES WORLD EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 2.665.063 | 2.665.063 |
| **D | NUVEEN TIAA INTERNATIONAL EQUITY INDEX FUND | 0 | 92.560 | 92.560 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND | 0 | 209.409 | 209.409 |
| **D | HESTA | 0 | 575.226 | 575.226 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD CIT | 0 | 167.713 | 167.713 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: TMA GLOBAL EQUITY INDEX MOTHER FUND | 0 | 50.123 | 50.123 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND | 0 | 50.074 | 50.074 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MORGAN STANLEY INFRASTRUCTURE STOCKS MOTHER FUND | 0 | 69.108 | 69.108 |
| **D | DEMOCRACY INTERNATIONAL FUND | 0 | 1.697 | 1.697 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 0 | 8.502 | 8.502 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND | 0 | 975 | 975 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 0 | 139.777 | 139.777 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 0 | 10.874 | 10.874 |
| **D | MONDRIAN GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 10.742 | 10.742 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND | 0 | 301.264 | 301.264 |
| **D | THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 0 | 368.704 | 368.704 |
| **D | MONDRIAN INTERNATIONAL EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 841.633 | 841.633 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND | 0 | 2.853.140 | 2.853.140 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD | 0 | 39.882 | 39.882 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD | 0 | 47.440 | 47.440 |
| **D | VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FTSE DEV EUR EX UK CCF |
0 | 52.238 | 52.238 |
| **D | VANGUARD FUNDS PUBLIC LIMITED COMPANY | 0 | 2.853.905 | 2.853.905 |
| **D | VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED EUROPE II CCF | 0 | 52.069 | 52.069 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND | 0 | 785.916 | 785.916 |
| **D | VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO | 0 | 41.217 | 41.217 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 0 | 751.618 | 751.618 |
| **D | NATIXIS AM FUNDS | 0 | 628.496 | 628.496 |
| **D | BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND |
0 | 3.737.541 | 3.737.541 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE CIT | 0 | 47.345 | 47.345 |
| **D | SCHRODER INTERNATIONAL SELECTION FUND | 0 | 204.510 | 204.510 |
| **D | NUVEEN GLOBAL INFRASTRUCTURE FUND | 0 | 1.782.007 | 1.782.007 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK INDEX SELECTION FUND | 0 | 965.147 | 965.147 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
0 | 36.477 | 36.477 |
| **D | ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND |
0 | 2.476 | 2.476 |
| **D | FUNDACAO CALOUSTE GULBENKIAN | 0 | 1.452 | 1.452 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 0 | 124.878 | 124.878 |
| **D | UNICARE SAVINGS PLAN | 0 | 106.269 | 106.269 |
| **D | DWS RREEF GLOBAL INFRASTRUCTURE FUND | 0 | 2.100.630 | 2.100.630 |
| **D | VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF | 0 | 56.714 | 56.714 |
| **D | SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
0 | 6.697 | 6.697 |
| **D | STATE OF WYOMING | 0 | 129.598 | 129.598 |
| **D | BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 0 | 48.561 | 48.561 |
| **D | BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 0 | 12.759.955 | 12.759.955 |
| **D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 0 | 17.627.736 | 17.627.736 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND - HEDGED |
0 | 5.369.428 | 5.369.428 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II | 0 | 15.192.572 | 15.192.572 |
| **D | MSCI EQUITY INDEX FUND B - ITALY (MSITB) |
0 | 730.417 | 730.417 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND V | 0 | 2.765 | 2.765 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND I | 0 | 750 | 750 |
| **D | ROBECO CAPITAL GROWTH FUNDS | 0 | 2.698.623 | 2.698.623 |
| **D | T. ROWE PRICE FUNDS SICAV | 0 | 70 | 70 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND III | 0 | 8.850 | 8.850 |
| **D | PROSHARES DJ BROOKFIELD GLOBAL INFRASTRUCTURE ETF | 0 | 240.649 | 240.649 |
| **D | MI-FONDS F47 | 0 | 22.089 | 22.089 |
| **D | MAIN I - UNIVERSAL - FONDS |
0 | 30.781 | 30.781 |
| **D | MOMENTUM GLOBAL FUNDS | 0 | 79.775 | 79.775 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400021974 | 0 | ||
| 25.906 | 25.906 | |||
| **D | FLEXSHARES DEVELOPED MARKETS EX - US QUALITY LOW VOLATILITY INDEX FUND |
0 | 35.730 | 35.730 |
| **D | SAS TRUSTEE CORPORATION POOLED FUND | 0 | 33.498 | 33.498 |
| **D | BLACKROCK FUNDS I ICAV | 0 | 24.051 | 24.051 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
0 | 17.085 | 17.085 |
| **D | STICHTING PENSIOENFONDS ABP | 0 | 4.466.476 | 4.466.476 |
| **D | GERANA SICAV-SIF, S.A. | 0 | 1.166.214 | 1.166.214 |
| **D | HC RENTE | 0 | 10.686 | 10.686 |
| **D | SCHRODER GLOBAL DIVERSIFIED INCOME FUND | 0 | 22.659 | 22.659 |
| **D | LVUI EQUITY EUROPE | 0 | 135.000 | 135.000 |
| **D | BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 0 | 47.547 | 47.547 |
| **D | CDN MSCI WORLD EX-CANADA MINIMUM VOLATILITY INDEX FUND | 0 | 52.643 | 52.643 |
| **D | MINE SUPERANNUATION FUND | 0 | 48.436 | 48.436 |
| **D | SBC MASTER PENSION TRUST | 0 | 293.247 | 293.247 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE ETF | 0 | 48.957 | 48.957 |
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 0 | 5.902.236 | 5.902.236 |
| **D | CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 0 | 39.595 | 39.595 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |||
|---|---|---|---|---|---|---|---|
| **D | BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 0 | 328.296 | 328.296 | |||
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
0 | 1.235.111 | 1.235.111 | |||
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND IV | 0 | 7.109 | 7.109 | |||
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO |
0 | 23.055 | 23.055 | |||
| **D | EARNEST INSTITUTIONAL LLC | 0 | 442 | 442 | |||
| **D | BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 0 | 3.637.917 | 3.637.917 | |||
| **D | JEFFREY LLC | 0 | 14.254 | 14.254 | |||
| **D | NFS LIMITED | 0 | 468.427 | 468.427 | |||
| **D | ISHARES ALL-COUNTRY EQUITY INDEX FUND | 0 | 4.881 | 4.881 | |||
| **D | THRIFT SAVINGS PLAN | 0 | 9.510.996 | 9.510.996 | |||
| **D | UBS ASSET MANAGEMENT LIFE LTD | 0 | 573.875 | 573.875 | |||
| **D | TEACHERS` RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 0 | 136.005 | 136.005 | |||
| **D | STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 0 | 225.637 | 225.637 | |||
| **D | FRANKLIN CLEARBRIDGE SUSTAINABLE GLOBAL INFRASTRUCTURE INCOME FUND | 0 | 426.667 | 426.667 | |||
| **D | BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 8.457 | 8.457 | |||
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 0 | 13.651 | 13.651 | |||
| **D | ROBECO UMBRELLA FUND I N.V. | 0 | 392.086 | 392.086 | |||
| **D | BLACKROCK CDN GLOBAL INFRASTRUCTURE EQUITY INDEX FUND | 0 | 3.775.970 | 3.775.970 | |||
| **D | JNL INTERNATIONAL INDEX FUND | 0 | 289.549 | 289.549 | |||
| **D | BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 0 | 383.497 | 383.497 | |||
| **D | AVIVA LIFE & PENSIONS UK LIMITED | 0 | 287.910 | 287.910 | |||
| **D | MINISTRY OF ECONOMY AND FINANCE | 0 | 648.095 | 648.095 | |||
| **D | AVIVA LIFE & PENSIONS IRELAND DAC | 0 | 113.839 | 113.839 | |||
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND II | 0 | 4.937 | 4.937 | |||
| **D | ROBECO GLOBAL DEVELOPED MARKETS EQUITIES CIT | 0 | 32.377 | 32.377 | |||
| **D | MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 0 | 76.834 | 76.834 | |||
| **D | PCFG EQUITY FUND LTD | 0 | 14.542 | 14.542 | |||
| **D | QANTAS SUPERANNUATION LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN | 0 | 1.466 | 1.466 | |||
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 0 | 230.945 | 230.945 | |||
| **D | MAINSTAY EPOCH GLOBAL EQUITY YIELD FUND | 0 | 1.104.910 | 1.104.910 | |||
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI 0 |
||||||
| 12.735 | 12.735 | ||||||
| **D | EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 0 | 31.418 | 31.418 | |||
| **D | MAINSTAY VP INCOME BUILDER PORTFOLIO | 0 | 437.751 | 437.751 | |||
| **D | KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 0 | 267.088 | 267.088 | |||
| **D | UBS FTSE RAFI DEVELOPED 1000 INDEX FUND | 0 | 33.883 | 33.883 | |||
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL MULTIFACTOR | 0 | 308.704 | 308.704 | |||
| **D | VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 0 | 80.786 | 80.786 | |||
| **D | BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 25.938 | 25.938 | |||
| **D | MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 0 | 136.571 | 136.571 | |||
| **D | NORDEA GLOBAL PASSIVE FUND | 0 | 80.868 | 80.868 | |||
| **D | INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC | 0 | 13.371 | 13.371 | |||
| **D | FORD PENSION UNIVERSAL | 0 | 7.355 | 7.355 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | DEKA VALUE PLUS | 0 | 585.459 | 585.459 | |
| **D | INTECH INTERNATIONAL LARGE CAP CORE FUND LLC | 0 | 13.582 | 13.582 | |
| **D | MAGELLAN WHOLESALE PLUS INFRASTRUCTURE FUND | 0 | 226.843 | 226.843 | |
| **D | UBS MSCI WORLD MINIMUM VOLATILITY INDEX FUND | 0 | 81.081 | 81.081 | |
| **D | AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND | 0 | 32.830 | 32.830 | |
| **D | FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND | 0 | 1.626.300 | 1.626.300 | |
| **D | ISHARES WORLD EQUITY FACTOR ETF | 0 | 29.310 | 29.310 | |
| **D | FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 0 | 11.280 | 11.280 | |
| **D | SANTANDER SICAV | 0 | 28.782 | 28.782 | |
| **D | AUSTRALIANSUPER | 0 | 1.635.509 | 1.635.509 | |
| **D | THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT TRUST | 0 | 1.902.448 | 1.902.448 | |
| **D | UNIVERSITIES SUPERANNUATION SCHEME | 0 | 987.034 | 987.034 | |
| **D | STELLAR INSURANCE, LTD. | 0 | 80.119 | 80.119 | |
| **D | MAIN VI-UNIVERSAL-FONDS | 0 | 3.778 | 3.778 | |
| **D | MAINSTAY INCOME BUILDER FUND | 0 | 901.153 | 901.153 | |
| **D | ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 0 | 9.781 | 9.781 | |
| **D | BLACKROCK CDN WORLD INDEX FUND | 0 | 174.598 | 174.598 | |
| **D | VGV POOLFONDS PA1 | 0 | 55.486 | 55.486 | |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400025501 | ||||
| 26.645 | 26.645 | 0 | |||
| **D | VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 0 | 46.169 | 46.169 | |
| **D | FOVERUKA PENSION UNIVERSAL | 0 | 31.756 | 31.756 | |
| **D | VERDIPAPIRFONDET EQUINOR AKSJER EUROPA | 0 | 109.500 | 109.500 | |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS - AKKUMULERENDE KL |
0 | 47.447 | 47.447 | |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA PENSION - AKTIER |
0 | 2.147.265 | 2.147.265 | |
| **D | SIEMENS-FONDS SIEMENS-RENTE | 0 | 220.991 | 220.991 | |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE KL | 0 | 470.020 | 470.020 | |
| **D | SCHRODER PENSION MANAGEMENT LIMITED | 0 | 93.298 | 93.298 | |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND |
0 | 311.724 | 311.724 | |
| **D | DANSKE INVEST SICAV | 0 | 490.167 | 490.167 | |
| **D | NEW YORK STATE COMMON RETIREMENT FUND | 0 | 13.300.786 | 13.300.786 | |
| **D | MI-FONDS 384 | 0 | 26.576 | 26.576 | |
| **D | MACQUARIE TRUE INDEX GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 1.435.611 | 1.435.611 | |
| **D | NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 0 | 151.529 | 151.529 | |
| **D | STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS | 0 | 31.728 | 31.728 | |
| **D | JPMORGAN INVESTMENT FUNDS | 0 | 825.313 | 825.313 | |
| **D | JPMORGAN CHASE RETIREMENT PLAN | 0 | 620.138 | 620.138 | |
| **D | BOOKOUT INTERESTS LTD E LB HOLDINGS 1 LLC | 0 | 2.454 | 2.454 | |
| **D | ISHARES CORE FTSE GLOBAL INFRASTRUCTURE (AUD HEDGED) ETF | 0 | 305.744 | 305.744 | |
| **D | BIL-UNIVERSAL-FONDS | 0 | 184.294 | 184.294 | |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKUMULERENDE KL |
0 | 330.459 | 330.459 | |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL | 0 | 15.696 | 15.696 | |
| **D | OB 2 | 0 | 12.796 | 12.796 | |
| Pagina 12 | ||||
|---|---|---|---|---|
| Azionisti: | 1.805 | Teste: | 10 | |
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK GLOBAL ALLOCATION V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC | 0 | 111.077 | 111.077 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 | 0 | 8.186 | 8.186 |
| **D | SCHRODER MANAGED BALANCED FUND | 0 | 37.301 | 37.301 |
| **D | TRINITY COLLEGE CAMBRIDGE | 0 | 36.735 | 36.735 |
| **D | EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
0 | 50.504 | 50.504 |
| **D | TELSTRA SUPERANNUATION SCHEME | 0 | 1.258.851 | 1.258.851 |
| **D | NATIONWIDE INTERNATIONAL INDEX FUND | 0 | 113.356 | 113.356 |
| **D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 0 | 751.456 | 751.456 |
| **D | EMBO-FONDS | 0 | 53.071 | 53.071 |
| **D | IRR K LLC | 0 | 19.778 | 19.778 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD (UNHEDGED) FUND | 0 | 1.883.522 | 1.883.522 |
| **D | STRATEGIC INFRASTRUCTURE FUND | 0 | 221.547 | 221.547 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 0 | 209.073 | 209.073 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUND | 0 | 881.368 | 881.368 |
| **D | VANGUARD GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.150.249 | 1.150.249 |
| **D | BLACKROCK GLOBAL ALLOCATION FUND (AUST) | 0 | 5.587 | 5.587 |
| **D | EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 136.252 | 136.252 |
| **D | EPS | 0 | 28.530 | 28.530 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
0 | 73.519 | 73.519 |
| **D | BLACKROCK GLOBAL ALLOCATION PORTFOLIO OF BLACKROCK SERIES FUND, INC. | 0 | 3.584 | 3.584 |
| **D | STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER TRUST | 0 | 95.607 | 95.607 |
| **D | FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND | 0 | 32.042 | 32.042 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 0 | 107.394 | 107.394 |
| **D | 1934 GLOBAL INVESTMENT FUND LP | 0 | 68.504 | 68.504 |
| **D | F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC | 0 | 5.802 | 5.802 |
| **D | TEACHERS RETIREMENT SYSTEM OF GEORGIA | 0 | 14.924.710 | 14.924.710 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND | 0 | 117.338 | 117.338 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 0 | 13.160 | 13.160 |
| **D | STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY MINIMUM VOLATILITY POOL | 0 | 1.570.384 | 1.570.384 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 209.139 | 209.139 |
| **D | GOVERNMENT INSTITUTIONS PENSION FUND | 0 | 604.310 | 604.310 |
| **D | SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 0 | 307 | 307 |
| **D | COHEN & STEERS REAL ASSETS MULTI-STRATEGY FUND | 0 | 101.492 | 101.492 |
| **D | FISHER INSTITUTIONAL INTERNATIONAL EQUITY FUND | 0 | 902.337 | 902.337 |
| **D | DANSKE INVEST EUROPE HIGH DIVIDEND FUND | 0 | 109.297 | 109.297 |
| **D | BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 0 | 178.596 | 178.596 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG ETF | 0 | 41.686 | 41.686 |
| **D | THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 0 | 1.950.351 | 1.950.351 |
| **D | SIJOITUSRAHASTO UB INFRA | 0 | 201.000 | 201.000 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND UNHEDGED | 0 | 531.320 | 531.320 |
| **D | KATHERINE C MOORE CHARITABLE LEAD ANNUIT | 0 | 1.914 | 1.914 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST | 0 | 2.150.013 | 2.150.013 |
| **D | LVUI EQUITY WORLD EX EUROPE | 0 | 6.758 | 6.758 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED | 0 | 553.068 | 553.068 |
| **D | BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 0 | 61.898 | 61.898 |
| **D | TF-EQUITY | 0 | 207.203 | 207.203 |
| **D | DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 0 | 5.875 | 5.875 |
| **D | MACQUARIE MULTI-FACTOR FUND | 0 | 23.521 | 23.521 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND |
0 | 187.648 | 187.648 |
| **D | BRUNEI SHELL RETIREMENT BENEFIT FUND | 0 | 1.967 | 1.967 |
| **D | MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND (UNHEDGED) | 0 | 875.358 | 875.358 |
| **D | EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 0 | 12.357 | 12.357 |
| **D | MACQUARIE INTERNATIONAL EQUITIES FUND | 0 | 48.533 | 48.533 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS BNP KL | 0 | 23.521 | 23.521 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS KL | 0 | 65.509 | 65.509 |
| **D | VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 0 | 104.851 | 104.851 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE | 0 | ||
| 317.518 | 317.518 | |||
| **D | FORSTA AP - FONDEN |
0 | 563.024 | 563.024 |
| **D | EQUINOR PENSJON | 0 | 100.000 | 100.000 |
| **D | JNL/BLACKROCK GLOBAL ALLOCATION FUND | 0 | 71.024 | 71.024 |
| **D | WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 0 | 3.516 | 3.516 |
| **D | VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 0 | 31.377.565 | 31.377.565 |
| **D | STRATEGIC INTERNATIONAL EQUITY FUND | 0 | 33.929 | 33.929 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER |
0 | 84.740 | 84.740 |
| **D | SAMPENSION LIVSFORSIKRING A/S | 0 | 1.039.130 | 1.039.130 |
| **D | SCHRODER SUSTAINABLE FUTURE MULTI-ASSET FUND | 0 | 56.299 | 56.299 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS KL | 0 | 136.958 | 136.958 |
| **D | ALASKA COMMON TRUST FUND | 0 | 68.653 | 68.653 |
| **D | VERDIPAPIRFONDET KRON INDEKS GLOBAL | 0 | 46.466 | 46.466 |
| **D | MORGAN STANLEY INVESTMENT FUNDS | 0 | 1.349.039 | 1.349.039 |
| **D | CARE SUPER | 0 | 32.739 | 32.739 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE INDEX FUND | 0 | 483 | 483 |
| **D | ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 0 | 247.348 | 247.348 |
| **D | NORDEA EUROPEAN PASSIVE FUND | 0 | 35.233 | 35.233 |
| **D | INVESTERINGSFORENINGEN BANKINVEST, BIX GLOBALE AKTIER ESG UNIVERSAL KL | 0 | 55.843 | 55.843 |
| **D | UI-FONDS BAV RBI AKTIEN | 0 | 246.373 | 246.373 |
| **D | NVIT INTERNATIONAL INDEX FUND | 0 | 171.556 | 171.556 |
| **D | SALT SUSTAINABLE GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.250 | 59.250 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 0 | 2.843.412 | 2.843.412 |
| **D | FOREIGN STOCK INDEX MOTHER FUND | 0 | 108.265 | 108.265 |
| **D | FUJIFILM BUSINESS INNOVATION CORP. | 0 | 402.100 | 402.100 |
| **D | COHEN & STEERS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 668.603 | 668.603 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG (AUD HEDGED) ETF | 0 | 17.730 | 17.730 |
| **D | FINREON WORLD EQUITY MULTI PREMIA DEFENSIVE PENSION CREDIT SUISSE FUNDS AG | 0 | 26.676 | 26.676 |
| **D | PK CSG WORLD EQUITY CREDIT SUISSE FUNDS AG | 0 | 63.497 | 63.497 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS CREDIT SUISSE FUNDS AG | 0 | 1.342.740 | 1.342.740 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND CREDIT SUISSE FUNDS AG | 0 | 183.310 | 183.310 |
| **D | CSIF CH EQUITY EUROPE EX CH BLUE CREDIT SUISSE FUNDS AG | 0 | 33.034 | 33.034 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS AG | 0 | 654.090 | 654.090 |
| **D | IPAC INCOME GENERATOR | 0 | 10.346 | 10.346 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - CARBON TRANSITION GLOBAL EQUITY (CTB) UCITS ETF |
0 | 169.664 | 169.664 |
| **D | RLA INTERNATIONAL EQUITIES FUND | 0 | 59.483 | 59.483 |
| **D | GIM SPECIALIST INVESTMENT FUNDS - GIM GL RESEARCH ENHNCD INX MIN VLTY EQTY FD |
0 | 37.976 | 37.976 |
| **D | JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 0 | 518.097 | 518.097 |
| **D | JPMORGAN INCOME BUILDER FUND | 0 | 490.122 | 490.122 |
| **D | JPMORGAN GLOBAL CORE REAL ASSETS LIMITED | 0 | 23.789 | 23.789 |
| **D | JPMORGAN FUND ICVC - JPM EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND |
0 | 14.411 | 14.411 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY PREMIUM INCOME UCITS ETF |
0 | 11.997 | 11.997 |
| **D | ONEPATH GLOBAL SHARES - GLOBAL INFRASTRUCTURE (HEDGED) INDEX POOL |
0 | 243.846 | 243.846 |
| **D | JPMORGAN BETABUILDERS EUROPE ETF | 0 | 1.538.646 | 1.538.646 |
| **D | JPMORGAN GLOBAL ALLOCATION FUND | 0 | 7.252 | 7.252 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400031129 | 0 | 8.233 | 8.233 |
| **D | ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL |
0 | 178.956 | 178.956 |
| **D | JPMORGAN FUND ICVC - JPM MULTI-ASSET INCOME FUND |
0 | 15.923 | 15.923 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY MULTI-FACTOR UCITS ETF |
0 | 67.477 | 67.477 |
| **D | COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. | 0 | 1.045.237 | 1.045.237 |
| **D | AQR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL TRADING |
0 | 81.753 | 81.753 |
| **D | CSIF 2 C SUISSE LUX THEMATIC OPPORTUNITIES EQUITY FUND | 0 | 198.805 | 198.805 |
| **D | CSIF2 CS LUX ENERGY EVOLUTION EQUITY FUND | 0 | 72.000 | 72.000 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND PENSION CREDIT SUISSE FUNDS AG | 0 | 33.514 | 33.514 |
| **D | CSIF4 CREDIT SUISSE LUX GLOBAL HIGH INCOME FUND USD | 0 | 50.280 | 50.280 |
| **D | CSIF CH III EQUITY WORLD EX CH CLIMATE CHANGE BLUE PENSION FUND PLUS CREDIT SUISSE FUNDS AG | 0 | 232 | 232 |
| **D | FINREON WORLD EQUITY ECONOMIC EXPOSURE PENSION CREDIT SUISSE FUNDS AG | 0 | 24.991 | 24.991 |
| **D | CSIF CH III EQUITY WORLD EX CH VALUE WEIGHTED PENSION FUND CREDIT SUISSE FUNDS AG | 0 | 6.578 | 6.578 |
| **D | PROFOND UMBRELLA AKTIEN AUSLAND MINIMUM VOLATILITY CREDIT SUISSE FUNDS AG | 0 | 78.480 | 78.480 |
| **D | CSIF CH III EQUITY WORLD EX CH MINIMUM VOLATILITY PF CREDIT SUISSE FUNDS AG | 0 | 121.468 | 121.468 |
| **D | CSIF CH EQUITY EMU CREDIT SUISSE FUNDS AG | 0 | 79.349 | 79.349 |
| **D | AMUNDI HK PORTFOLIOS | 0 | 267.461 | 267.461 |
| **D | HELSANA AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL DUEBENDORF | 0 | 7.888 | 7.888 |
| **D | BEST INVESTMENT CORPORATION | 0 | 573.094 | 573.094 |
| **D | HELSANA UNFALL AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 5.505 | 5.505 |
| **D | AMUNDI HK - GREEN PLANET FUND |
0 | 155.632 | 155.632 |
| **D | THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED DAILY RATED EMPLOYEES RETIREMENT FUND SCHEME | 0 | 14.468 | 14.468 |
| **D | HELSANA VERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 5.980 | |
| 5.980 | ||||
| **D | VITASOY INTERNATIONAL HOLDINGS LIMITED DEFINED BENEFIT SCHEME | 0 | 2.277 | 2.277 |
| **D | HELSANA ZUSATZVERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 12.305 | |
| 12.305 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | JPM MULTI INCOME FUND | 0 | 320.628 | 320.628 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 10 | 0 | 80.006 | 80.006 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED GLOBAL EQUITY FUND |
0 | 244.688 | 244.688 |
| **D | TAIPEI FUBON COMERCIAL BANK LTD | 0 | 230.000 | 230.000 |
| **D | JPMORGAN MULTI BALANCED FUND | 0 | 13.700 | 13.700 |
| **D | MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 0 | 376.525 | 376.525 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 | 0 | 6.628 | 6.628 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 | 0 | 11.945 | 11.945 |
| **D | SCHRODER INSTITUTIONAL POOLED FUNDS | 0 | 38.200 | 38.200 |
| **D | AVIVA LIFE AND PENSIONS UK LIMITED | 0 | 20.588 | 20.588 |
| **D | CIVIL SERVICE EMPLOYEES PENSION FUND | 0 | 23.014 | 23.014 |
| **D | AXA INSURANCE UK PLC | 0 | 63.030 | 63.030 |
| **D | HSBC POOLED INVESTMENT FUND | 0 | 25.743 | 25.743 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX FUND |
0 | 147.872 | 147.872 |
| **D | AIA GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 20.478 | 20.478 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 | 0 | 132.696 | 132.696 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED PENSION FUND |
0 | 110.641 | 110.641 |
| **D | REASSURE LIMITED | 0 | 638.648 | 638.648 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
0 | 67.363 | 67.363 |
| **D | AVIVA INVESTORS FUNDS ACS - AI CAUTIOUS PENSION FUND |
0 | 1.591 | 1.591 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND |
0 | 255.852 | 255.852 |
| **D | AMUNDI ETF ICAV | 0 | 58.597 | 58.597 |
| **D | WESLEYAN AUTHORISED UNIT TRUST - WESLEYAN LOW RISK/REWARD GROWTH FUND |
0 | 48.071 | 48.071 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED LIFE FUND |
0 | 6.177 | 6.177 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL EUROPEAN EQUITY INDEX FUND |
0 | 276.472 | 276.472 |
| **D | LAZARD FRERES BANQUE SA | 0 | 268.170 | 268.170 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 30:70 GLOBAL EQUITY (CURRENCY HEDGED) INDEX FUND |
0 | 21.168 | 21.168 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 60:40 GLOBAL EQUITY INDEX FUND |
0 | 67.755 | 67.755 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED WORLD EX UK EQUITY INDEX FUND |
0 | 11.621 | 11.621 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 50:50 GLOBAL EQUITY INDEX FUND |
0 | 207.334 | 207.334 |
| **D | ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
0 | 200.616 | 200.616 |
| **D | INVESTMENT FUND SERVICES LIMITED | 0 | 10.711 | 10.711 |
| **D | AMUNDI ETF ICAV - AMUNDI S&P GLOBAL UTILITIES ESG UCITS ETF |
0 | 164.696 | 164.696 |
| **D | AVIVA INVESTORS UK FUND SERVICES LIMITED | 0 | 223.329 | 223.329 |
| **D | AMUNDI ETF ICAV - AMUNDI SANDP 500 EQUAL WEIGHT ESG LEADERS UCITS ETF |
0 | 8.916 | 8.916 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND |
0 | 1.340.862 | 1.340.862 |
| **D | AXA PPP HEALTHCARE LIMITED | 0 | 27.810 | 27.810 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 0 | 431.477 | 431.477 |
| **D | THE PRUDENTIAL ASSURANCE COMPANY LIMITED | 0 | 2.022 | 2.022 |
| **D | RATHBONE ACTIVE INCOME AND GROWTH FUND | 0 | 270.209 | 270.209 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 0 | 453.777 | 453.777 |
| **D | HSBC GLOBAL INVESTMENT FUNDS | 0 | 65.689 | 65.689 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD UCITS ETF |
0 | 352.337 | 352.337 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF |
0 | 35.794 | 35.794 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 0 | 626.959 | 626.959 |
| **D | SCHWEIZERISCHE MOBILIAR ASSET MANAGEMENT AG | 0 | 350.500 | 350.500 |
| **D | BLKB EQUITY SWITZERLAND FOCUS | 0 | 1.458.437 | 1.458.437 |
| **D | AMUNDI DEUTSCHLAND GMBH | 0 | 215.011 | 215.011 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH | 0 | 248.639 | 248.639 |
| **D | IF IST - GLOBE INDEX |
0 | 70.420 | 70.420 |
| **D | IF IST - AKTIEN WELT |
0 | 63.086 | 63.086 |
| **D | VERTI VERSICHERUNG AG | 0 | 173.608 | 173.608 |
| **D | VERTI ASSICURAZIONI SPA | 0 | 101.033 | 101.033 |
| **D | ERAFP ACTIONS EURO I | 0 | 9.526.910 | 9.526.910 |
| **D | CERVURITEINTERNATIONALLLC | 0 | 20.155 | 20.155 |
| **D | UNIGEST, S.G.I.I.C., S.A.U. | 0 | 167.601 | 167.601 |
| **D | NANCY AND CLARKGIBBS LIVINGTRUST | 0 | 91 | 91 |
| **D | VIDACAIXA, S.A. | 0 | 831.838 | 831.838 |
| **D | INVESTERINGSFORENINGEN BANKINVEST BORSNOTEREDE ALTERNATIVER | 0 | 32.143 | 32.143 |
| **D | HYDRO ONE PENSION PLAN | 0 | 1.252.700 | 1.252.700 |
| **D | BMO CANADA PENSION PLAN | 0 | 731.034 | 731.034 |
| **D | IMCO GLOBAL PUBLIC EQUITY LP | 0 | 3.621.929 | 3.621.929 |
| **D | STATE OF WISCONSIN INVESTMENT BOARD | 0 | 8.436 | 8.436 |
| **D | AUTORIDADE MONETARIA DE MACAU | 0 | 37.052 | 37.052 |
| **D | SUBSIDIZED SCHOOLS PROVIDENT FUND | 0 | 94.146 | 94.146 |
| **D | WILLIS TOWERS WATSON GROUP TRUST | 0 | 37.204 | 37.204 |
| **D | CARGILL INC AND ASSOCIATED COMPANIES MASTER PENSION TRUST | 0 | 117.840 | 117.840 |
| **D | KAPITALFORENINGEN INVESTIN PRO LOW RISK EQUITIES II | 0 | 19.689 | 19.689 |
| **D | KAPITALFORENINGEN INVESTIN PRO ACADIAN GLOBAL VALUE | 0 | 56.718 | 56.718 |
| **D | NATWEST TDS DEP BNYM RM GLO EQ FUND | 0 | 23.775 | 23.775 |
| **D | BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 0 | 85.883 | 85.883 |
| **D | NEUALT LLC | 0 | 108.312 | 108.312 |
| **D | INVESCO MARKETS II PLC | 0 | 64.769 | 64.769 |
| **D | LEGAL AND GENERAL UCITS ETF PLC | 0 | 80.623 | 80.623 |
| **D | MACQUARIE MANAGEMENT HOLDINGS INC | 0 | 16.237 | 16.237 |
| **D | KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 0 | 121.443 | 121.443 |
| **D | VANGUARD FTSE ALL WORLD EX US INDEX FUND | 0 | 4.555.689 | 4.555.689 |
| **D | VANGUARD EUROPEAN STOCK INDEX FUND | 0 | 4.682.570 | 4.682.570 |
| **D | GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA TOTAL INTERNATIONAL EQUITY ETF | 0 | 34.275 | 34.275 |
| **D | CENTRAL PENSION FUND OF THE INT UNION OF OPERATING ENGINEERS AND PARTICIPATING EMPLOYERS | 0 | 201.970 | 201.970 |
| **D | RIVER PARTNERS GLOBAL EQUITY LLC | 0 | 2.349 | 2.349 |
| **D | MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 0 | 22.097 | 22.097 |
| **D | MCGILL UNIVERSITY PENSION PLAN | 0 | 9.239 | 9.239 |
| **D | TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 0 | 9.781 | 9.781 |
| **D | VOYA VACS INDEX SERIES I PORTFOLIO | 0 | 189.877 | 189.877 |
| **D | PURPOSE INTERNATIONAL DIVIDEND FUND | 0 | 41.248 | 41.248 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| D DANMARKS GRUNDFORSKNINGFOND 0 5.850 D CONSOLIDATED EDISON RETIREMENT PLAN 0 43.841 D HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND 0 15.440 D ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND 0 13.414 D BRUNSWICK UNIT 2 QUALIFIED NUCLEAR 0 30.975 D GENERAL MILLS GROUP TRUST 0 168.471 D WILSHIRE SOLUTIONS FUNDS TRUST 0 20.789 D POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST 0 2.622 D CERVURITE INTERNATIONAL LLC 0 41.669 D MASTERS I LLC 0 8.221 D DEUTSCHE DCG EQ 0 7.555 D NORTH CAROLINA SUPPLEMENTAL RETIREMENT PLANS GROUP TRUST 0 5.950.778 D DREXEL UNIVERSITY 0 50.616 D THE ACADEMY OF NATURAL SCIENCES OF PHILADELPHIA 0 4.986 D MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF 0 51.264 D CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATING 0 46.102 D THE COMMONWEALTH FUND 0 2.171 D CITW FUND LP 0 2.384 D THE BANK OF NEW YORK MELLON INTERNATIONAL 0 33.460 D MOTHER CABRINI HEALTH FOUNDATION INC 0 91.901 D FLORIDA GLOBAL EQUITY FUND LLC 0 27.258 D GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO 0 40.289 D WILMINGTON GLOBAL ALPHA EQUITIES FUND 0 14.677 D TEXAS UTILITIES QUAL NDT PARTNERSHIP 0 9.239 D DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS ZDV EVO 0 6.757 D TD EMERALD LOW CARBON GLOBAL EQUITY INDEX POOLED FUND TRUST 0 15.934 D THE PENSION FUND SOCIETY OF THE TORONTO DOMINIONBANK 0 215.272 D TD PENSION PLAN CANADA 0 98.968 D TD INTERNATIONAL EQUITY INDEX ETF 0 132.440 D TD Q INTERNATIONAL LOW VOLATILITY ETF 0 10.670 D TD EUROPEAN INDEX FUND 0 12.227 D TD GLOBAL LOW VOLATILITY FUND 0 183.501 D TD GLOBAL SHAREHOLDER YIELD FUND 0 871.910 D TD EMERALD LOW CARBON LOW VOLATILITY GLOBALEQUITY PFT 0 4.010 D TD EMERALD INTERNATIONAL EQUITY INDEX FUND 0 392.433 D TD EMERALD LOW VOLATILITY GLOBAL EQUITY POOLEDFUND TRUST 0 51.770 D TD EMERALD GLOBAL EQUITY SHARE HOLDER YIELD POOLEDFUND TRUST 0 707.488 D TD EMERALD LOW VOLATILITY GLBL EQTY NON-TAXABLEINVESTOR PFT 0 135.222 D MARGUERITE CASEY FOUNDATION 0 1.859 D WINDWISE MSCI EAFE INDEX NON LENDING 0 55.608 **D THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV 0 412.804 |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| 5.850 | |||||
| 43.841 | |||||
| 15.440 | |||||
| 13.414 | |||||
| 30.975 | |||||
| 168.471 | |||||
| 20.789 | |||||
| 2.622 | |||||
| 41.669 | |||||
| 8.221 | |||||
| 7.555 | |||||
| 5.950.778 | |||||
| 50.616 | |||||
| 4.986 | |||||
| 51.264 | |||||
| 46.102 | |||||
| 2.171 | |||||
| 2.384 | |||||
| 33.460 | |||||
| 91.901 | |||||
| 27.258 | |||||
| 40.289 | |||||
| 14.677 | |||||
| 9.239 | |||||
| 6.757 | |||||
| 15.934 | |||||
| 215.272 | |||||
| 98.968 | |||||
| 132.440 | |||||
| 10.670 | |||||
| 12.227 | |||||
| 183.501 | |||||
| 871.910 | |||||
| 4.010 | |||||
| 392.433 | |||||
| 51.770 | |||||
| 707.488 | |||||
| 135.222 | |||||
| 1.859 | |||||
| 55.608 | |||||
| 412.804 | |||||
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN | 0 | 942.248 | 942.248 | |
| **D BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND 0 159.896 |
159.896 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BLACKROCK FUND MANAGERS LTD | 0 | 1.441.616 | 1.441.616 |
| **D | NATIONAL BANK FINANCIAL INC | 0 | 1.378.632 | 1.378.632 |
| **D | PUBLIC SERVICE ELECTRIC AND GAS NON QUALIFIED TRUST | 0 | 631.763 | 631.763 |
| **D | KAPITALFORENINGEN INVESTIN PRO VELLIV WORLD EQUITY INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS | 0 | 1.399.893 | 1.399.893 |
| **D | THE GOLDMAN SACHS FOUNDATION | 0 | 61.690 | 61.690 |
| **D | THE UNIVERSITY COURT OF THE UNIVERSITY OF GLASGOW | 0 | 15.568 | 15.568 |
| **D | TEXAS PERMANENT SCHOOL FUND CORP | 0 | 207.300 | 207.300 |
| **D | BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 0 | 14.577 | 14.577 |
| **D | ARIZONA STATE RETIREMENT SYSTEM | 0 | 598.766 | 598.766 |
| **D | 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 0 | 2.009 | 2.009 |
| **D | RICHARD KING MELLON FDN | 0 | 538.369 | 538.369 |
| **D | R K MELLON INTERNATIONAL FUND | 0 | 310.659 | 310.659 |
| **D | SANTA BARBARA COUNTY EMPLOYEES RETIREMENT SYSTEM | 0 | 104.852 | 104.852 |
| **D | RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST | 0 | 3.481.252 | 3.481.252 |
| **D | COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS | 0 | 14.344 | 14.344 |
| **D | IMPERIAL INTERNATIONAL EQUITY POOL | 0 | 72.512 | 72.512 |
| **D | CIBC INTERNATIONAL EQUITY INDEX ETF | 0 | 4.000 | 4.000 |
| **D | CIBC QX INTERNATIONAL LOW VOLATILITY DIVIDEND ETF | 0 | 3.211 | 3.211 |
| **D | CIBC INTERNATIONAL INDEX FUND | 0 | 97.414 | 97.414 |
| **D | CIBC EUROPEAN INDEX FUND | 0 | 9.701 | 9.701 |
| **D | CIBC INTERNATIONAL EQUITY INDEX POOL | 0 | 3.041 | 3.041 |
| **D | BNY MELLON INTERNATIONAL EQUITY ETF | 0 | 63.464 | 63.464 |
| **D | XTRACKERS MSCI KOKUSAI EQUITY ETF | 0 | 18.569 | 18.569 |
| **D | PITTSBURGH THEOLOGICAL SEMINARY OF THE PRESBYTERIAN CHURCH | 0 | 11.756 | 11.756 |
| **D | WELLS FARGO AND COMPANY CASH BALANCE PLAN | 0 | 571.934 | 571.934 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA VALUE KL | 0 | 33.176 | 33.176 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL | 0 | 54.341 | 54.341 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 0 | 163.084 | 163.084 |
| **D | THE ESB PENSION FUND | 0 | 201.462 | 201.462 |
| **D | FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD | 0 | 9.729.162 | 9.729.162 |
| **D | XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 0 | 11.803 | 11.803 |
| **D | AIB GROUP IRISH PENSION SCHEME | 0 | 107.477 | 107.477 |
| **D | BANK OF KOREA | 0 | 5 | 5 |
| **D | LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 0 | 948 | 948 |
| **D | SIEMENS EMU EQUITIES | 0 | 195.880 | 195.880 |
| **D | KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 0 | 30.417 | 30.417 |
| **D | THE GREAT EASTERN LIFE ASSURANCE COMPANY LIMITED | 0 | 8.770 | 8.770 |
| **D | RARE GLOBAL INFRASTRUCTURE VALUE FUND | 0 | 734.247 | 734.247 |
| **D | INVESTERINGSFORENINGEN NYKREDIT INVEST GLOBALE AKTIER BASIS | 0 | 16.527 | 16.527 |
| **D | INVESCO MARKETS III PLC | 0 | 2.133 | 2.133 |
| **D | INVESCO FTSE RAFI EMERGING MARKETS UCITS ETF | 0 | 118.547 | 118.547 |
| **D | INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 0 | 230.957 | 230.957 |
| **D | GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 0 | 40.625 | 40.625 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHILDERS AFW ERKINGS ENGLASZETBEDRIJF | 0 | 13.611 | 13.611 |
| **D | BLACKROCK LIFE LIMITED | 0 | 13.202 | 13.202 |
| **D | FIRST TRUST STOXX EUROPEAN SELECT DIVIDEND INDEX FUND | 0 | 824.925 | 824.925 |
| **D | PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST | 0 | 83.448 | 83.448 |
| **D | GREAT WEST INTERNATIONAL INDEX FUND | 0 | 217.140 | 217.140 |
| **D | MUNICIPAL EMPLOYEES PENSION PLAN | 0 | 140.556 | 140.556 |
| **D | UNIVERSITY OF NOTRE DAME DU LAC | 0 | 45.412 | 45.412 |
| **D | MACQUARIE FIRST TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID | 0 | 809.284 | 809.284 |
| **D | ISHARES VII PUBLIC LIMITED COMPANY | 0 | 188.183 | 188.183 |
| **D | PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 0 | 137.656 | 137.656 |
| **D | THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 0 | 1.484.844 | 1.484.844 |
| **D | INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 0 | 34.010 | 34.010 |
| **D | LF MACQUARIE GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 972.410 | 972.410 |
| **D | PRINCIPAL FUNDS INC OVERSEAS FUND | 0 | 62.336 | 62.336 |
| **D | STANLIB FUNDS LIMITED | 0 | 904 | 904 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 0 | 87.467 | 87.467 |
| **D | TEXAS PERMANENT SCHOOL FUND CORPORATION | 0 | 642.892 | 642.892 |
| **D | ABB PENSION FUND | 0 | 1.772 | 1.772 |
| **D | INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 0 | 3.203 | 3.203 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND | 0 | 254.669 | 254.669 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 0 | 240.655 | 240.655 |
| **D | IMPERIAL GLOBAL EQUITY INCOME POOL | 0 | 50.306 | 50.306 |
| **D | IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 0 | 83.081 | 83.081 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 0 | 342.040 | 342.040 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | 0 | 1.646 | 1.646 |
| **D | BLACKROCK GLOBAL FUNDS | 0 | 630.583 | 630.583 |
| **D | XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 0 | 12.693 | 12.693 |
| **D | CANADA LIFE DIVERSIFIED REAL ASSETS FUND | 0 | 35.307 | 35.307 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 0 | 2.611 | 2.611 |
| **D | VOYA INTERNATIONAL INDEX PORTFOLIO | 0 | 136.776 | 136.776 |
| **D | COUNSEL DEFENSIVE GLOBAL EQUITY | 0 | 3.192 | 3.192 |
| **D | NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POWER PLANT 3.546 |
0 | 3.546 | |
| **D | ARIZONA PSPRS TRUST | 0 | 279.283 | 279.283 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 0 | 272.518 | 272.518 |
| **D | SEMPRA ENERGY PENSION MASTER TRUST | 0 | 18.098 | 18.098 |
| **D | DELAWARE GLOBAL LISTED REAL ASSETS FUND | 0 | 219.123 | 219.123 |
| **D | KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 0 | 10.488 | 10.488 |
| **D | BLACKROCK LIFE LTD | 0 | 551.132 | 551.132 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 3.724.077 | 3.724.077 |
| **D | XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 0 | 96.239 | 96.239 |
| **D | THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 0 | 2.588.006 | 2.588.006 |
| **D | STANDARD BANK OF SOUTH AFRICA LTD | 0 | 25.687 | 25.687 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | FARMERS GROUP INC 401 K SAVINGS PLAN | 0 | 1.281.614 | 1.281.614 |
| **D | XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 0 | 665.720 | 665.720 |
| **D | MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 0 | 74.878 | 74.878 |
| **D | XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 0 | 9.785 | 9.785 |
| **D | MACK EAFE EQUITY POOL | 0 | 51.638 | 51.638 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 123.074 | 123.074 |
| **D | FEDERATED HERMES INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND | 0 | 3.703.925 | 3.703.925 |
| **D | FEDERATED HERMES INTERNATIONAL DIVIDEND STRATEGY PORTFOLIO | 0 | 818.200 | 818.200 |
| **D | FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 0 | 5.832.158 | 5.832.158 |
| **D | CITIGROUP PENSION PLAN | 0 | 194.371 | 194.371 |
| **D | BNY MELLON INTERNATIONAL STOCK INDEX FUND | 0 | 40.181 | 40.181 |
| **D | MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 0 | 7.869 | 7.869 |
| **D | GLOBAL X MSCI SUPERDIVIDEND EAFE ETF | 0 | 38.560 | 38.560 |
| **D | GLOBAL X SANDP CATHOLIC VALUES DEVELOPED EX US ETF | 0 | 2.487 | 2.487 |
| **D | UPSTREAMCO PENSION TRUST | 0 | 53.720 | 53.720 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT | 0 | 94.275 | 94.275 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT GMBH | 0 | 59.049 | 59.049 |
| **D | INVESCO S AND P INTERNATIONAL DEVELOPED LOW VOLATILITY ETF | 0 | 415.026 | 415.026 |
| **D | FIRST TRUST HORIZON MANAGED VOLATILITY DEVELOPED INTERNATIONAL ETF | 0 | 26.340 | 26.340 |
| **D | VIRTUS WMC INTERNATIONAL DIVIDEND ETF | 0 | 5.802 | 5.802 |
| **D | TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 0 | 15.059.413 | 15.059.413 |
| **D | FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 0 | 26.052 | 26.052 |
| **D | DIOCESE OF VENICE PENSION PLAN AND TRUST | 0 | 906 | 906 |
| **D | PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 0 | 2.541.261 | 2.541.261 |
| **D | MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF OMAN | 0 | 80.350 | 80.350 |
| **D | STICHTING PENSIOENFONDS UWV | 0 | 148.374 | 148.374 |
| **D | NATIONAL TREASURY MANAGEMENT AGCY | 0 | 68.686 | 68.686 |
| **D | NSP MONTICELLO MINNESOTA RETAIL | 0 | 19.314 | 19.314 |
| **D | NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 0 | 6.330 | 6.330 |
| **D | NSP MINNESEOTA RETAIL PRAIRIE II | 0 | 13.281 | 13.281 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING FOR ACCOUNT OF BPT | 0 | 21.382 | 21.382 |
| **D | VANGUARD INTL HIGH DIV YLD INDEX FD | 0 | 1.365.146 | 1.365.146 |
| **D | GOLDMAN SACHS GLOBAL INFRASTRUCTURE FUND | 0 | 523.532 | 523.532 |
| **D | PGE CORPORATION RETIREMENT MASTER TRUST | 0 | 306.616 | 306.616 |
| **D | PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO | 0 | 292.613 | 292.613 |
| **D | KOOKMIN BANK ACTING AS TRUSTEE OF HANA ALTERNATIVE ASSET DWS GLOBAL LISTED INFRASTRUCTURE QUALIFIED 144.930 |
0 | 144.930 | |
| **D | STICHTING PENSIOENFONDS HOOGOVENS | 0 | 94.533 | 94.533 |
| **D | DEAM FONDS ZDV | 0 | 17.644 | 17.644 |
| **D | FIDELITY SAI INTERNATIONAL INDEX FUND | 0 | 801.674 | 801.674 |
| **D | SHELL CANADA 2007 PENSION PLAN | 0 | 1.754 | 1.754 |
| **D | AURION GLOBAL EQUITY FUND | 0 | 7.302 | 7.302 |
| **D | AZL INTERNATIONAL INDEX FUND | 0 | 153.285 | 153.285 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge Ragione Sociale Proprio Delega Totale D AZL DFA INTERNATIONAL CORE EQUITY FUND 0 15.113 15.113 D AGF SYSTEMATIC GLOBAL INFRASTRUCTURE ETF 0 619.547 619.547 D XTRACKERS MSCI ALL WORLD EX US HIGH DIVIDEND YIELD EQUITY E 0 5.349 5.349 D XTRACKERS MSCI EAFE HIGH DIVIDEND YIELD EQUITY ETF 0 1.140.106 1.140.106 D COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY 0 742.002 742.002 D EMPLOYEES RETIREMENT SYSTEM OF THE STATE OF HAWAII 0 848.815 848.815 D LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST 0 290.738 290.738 D SIEMENS BALANCED 0 42.573 42.573 D SISTERS OF CHARITY OF LEAVENWORTH HEALTH SYSTEM MASTER TRUST 0 117.893 117.893 D ISHARES PUBLIC LIMITED COMPANY 0 749.843 749.843 D ALASKA PERMANENT FUND CORPORATION 0 2.491.542 2.491.542 D GENERAL SYNOD PENSION PLAN 0 62.824 62.824 D PMPT INKA FONDS 0 105.701 105.701 D INKA PBEAKK 0 832.929 832.929 D COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR 0 323.267 323.267 D MICROSOFT CORPORATION 0 13.830 13.830 D IVY APOLLO MULTI ASSET INCOME FUND 0 85.717 85.717 D LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM 0 2.627.978 2.627.978 D PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA 0 931.725 931.725 D RETIREMENT BENEFITS INVESTMENT FUND 0 16.418 16.418 D POOL REINSURANCE CO LTD 0 13.584 13.584 D PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND 0 9.464 9.464 D HEALTHCARE EMPLOYEES PENSION PLAN MANITOBA 0 880.819 880.819 D LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL 1.872.859 1.872.859 D FLORIDA RETIREMENT SYSTEM TRUST FUND 0 77 D PENSION RESERVES INVESTMENT TRUST FUND 0 4.350.853 4.350.853 D HIGHMARK INC 0 188.400 188.400 D SOUTH DAKOTA RETIREMENT SYSTEM 0 96.400 96.400 **D THE HKSAR GOVERNMENT SCHOLARSHIP FUND 0 1.127 1.127 |
|---|
| **D DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING 0 69.015 69.015 |
| **D QUALITY EDUCATION FUND 0 3.990 3.990 |
| **D PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO 0 197.900 197.900 |
| **D ADVANCE PLANNING LIMITED 0 5.210 5.210 |
| **D DIGNITY PRE ARRANGEMENT LIMITED 0 7.377 7.377 |
| **D PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO 0 53.397 53.397 |
| **D BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA 0 46.837 46.837 |
| **D HSBC GLOBAL EQUITY VOLATILITY FOCUSED FUND 0 75.593 75.593 |
| **D HSBC INTERNATIONAL EQUITY INDEX FUND 0 26.935 26.935 |
| **D SOUTH CAROLINA RETIREMENT SYSTEMS GROUP TRUST 0 247.270 247.270 |
| **D STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR 0 5.136 5.136 |
| **D STICHTING BEDRIJFSPENSIOENFONDS VOOR HET 0 5.972 5.972 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 0 | 6.716 | 6.716 |
| **D | ENERGY INSURANCE MUTUAL LIMITED | 0 | 10.266 | 10.266 |
| **D | MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 0 | 9.984 | 9.984 |
| **D | METROPOLITAN LIFE INSURANCE COMPANY | 0 | 80.366 | 80.366 |
| **D | IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 0 | 101.216 | 101.216 |
| **D | MET WAT REC DST RF NRN TRUST GLV 997261 | 0 | 4.357 | 4.357 |
| **D | BOCI PRUDENTIAL TRUSTEE LIMITED BOCPIFS EUIF | 0 | 110.361 | 110.361 |
| **D | SEEYOND | 0 | 150.645 | 150.645 |
| **D | ICP PLACEMENT | 0 | 5.185 | 5.185 |
| **D | SILVER AMUNDI EUROPE EQUITY CO | 0 | 182.193 | 182.193 |
| **D | PROCURA FONDS TAUBE BL ACCOUNT | 0 | 11.840 | 11.840 |
| **D | AFS ICAV GLOBAL MULTI ASSET GR | 0 | 12.792 | 12.792 |
| **D | ECOFIN SUSTAINABLE LISTED INFR | 0 | 10.238 | 10.238 |
| **D | LYXOR FTSE MIB UCITS ETF | 0 | 1.968.642 | 1.968.642 |
| **D | LYXOR MSCI EUROPE UCITS ETF | 0 | 148.347 | 148.347 |
| **D | SG ACTIONS EURO RENDEMENT ISR | 0 | 74.385 | 74.385 |
| **D | SG ACTIONS ENERGIE EUROPE | 0 | 77.606 | 77.606 |
| **D | SG ACTIONS INTERNATIONALES | 0 | 62.014 | 62.014 |
| **D | SG BLACKROCK FLEXIBLE ISR | 0 | 12.677 | 12.677 |
| **D | LYXINDEX FUND - LYXOR MSCI EMU |
0 | 114.629 | 114.629 |
| **D | MULTI UNITS LUX-LYXOR CORE MSC | 0 | 166.453 | 166.453 |
| **D | LYXOR CORE MSCI WORLD (DR) UCI | 0 | 119.505 | 119.505 |
| **D | MUL- LYX FTSE IT ALL CAP PIR 2 |
0 | 55.707 | 55.707 |
| **D | LIF-LYXOR MSCI WORLD CATHOL PR | 0 | 24.303 | 24.303 |
| **D | ASI - PROGETTO SVILUPPO GLOBAL |
0 | 382.754 | 382.754 |
| **D | PSSF-PROGETTO AZIONE SOSTENIBI | 0 | 3.806 | 3.806 |
| **D | ASI - PROGETTO AZIONE SOSTENIB |
0 | 5.045 | 5.045 |
| **D | AMIF - EMU EQUITY |
0 | 137.392 | 137.392 |
| **D | AMIF - EUROPEAN EQUITY |
0 | 183.689 | 183.689 |
| **D | AIF- TACTICAL PORTFOLIO INCOME |
0 | 51.772 | 51.772 |
| **D | AMUNDI TOTAL RETURN | 0 | 61.771 | 61.771 |
| **D | ASI - BILANCIATO PERCORSO ATTI |
0 | 71.511 | 71.511 |
| **D | ASI BIL PER ATTIVO III | 0 | 50.265 | 50.265 |
| **D | MULTI UNITS LUX AM STX EU 600 | 0 | 2.011.991 | 2.011.991 |
| **D | AIF-MULTI-ASSET TEODORICO | 0 | 79.782 | 79.782 |
| **D | AMUNDI SGR SPA/SECONDAPENSIONE FONDO PENSIONE APERTO | 0 | 2.048.222 | 2.048.222 |
| **D | AMUNDI SGR SPA / AMUNDI RISPARMIO ITALIA | 0 | 826.883 | 826.883 |
| **D | AMUNDI SGR SPA/AMUNDI SVILUPPO ATTIVO ITALIA | 0 | 1.775.000 | 1.775.000 |
| **D | AMUNDI SGR SPA/CORE PENSION FONDO PENSIONE APERTO | 0 | 877.050 | 877.050 |
| **D | AMUNDI SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE | 0 | 584.657 | 584.657 |
| **D | AMUNDI SGR SPA / AMUNDI BILANCIATO PIU` | 0 | 358.368 | 358.368 |
| **D | AMUNDI SGR SPA / OBBLIGAZIONARIO PIU` A DIS TRIBUZIONE | 0 | 288.533 | 288.533 |
| **D | CHERRY TREE FUND A SERIES TRUS | 0 | 1.271.825 | 1.271.825 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SEI GLOBAL MASTER FUND PLC THE | 0 | 16.433 | 16.433 |
| **D | AB SICAV III - DYNAMIC ALL MAR |
0 | 5.132 | 5.132 |
| **D | KOKUSAI EQUITY INDEX FUND, A S | 0 | 46.838 | 46.838 |
| **D | MORGAN STANLEY PATHWAY FUNDS - | 0 | 58.564 | 58.564 |
| **D | CNS GLOBAL LIST INFRASTRUCTURE | 0 | 348.484 | 348.484 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE | 0 | 946.408 | 946.408 |
| **D | NORTHERN LIGHTS FUND TRUST IV | 0 | 58.760 | 58.760 |
| **D | BRIDGE BUILDER INTERNATIONAL E | 0 | 33.092.791 | 33.092.791 |
| **D | INSPIRE INTERNATIONAL ETF | 0 | 302.830 | 302.830 |
| **D | BLK MAGI FUND A SERIES TRUST O | 0 | 410 | 410 |
| **D | BRIDGE BUILDER TAX MANAGED | 0 | 18.398 | 18.398 |
| **D | DESTINATIONS INTERNATIONAL EQU | 0 | 51.082 | 51.082 |
| **D | BLACKROCK GLOBAL ALLOCATION FU | 0 | 448.635 | 448.635 |
| **D | AB CAYMAN MASTER TRUST - GLOBA |
0 | 75.731 | 75.731 |
| **D | AMUNDI AUSTRIA | 0 | 47.082 | 47.082 |
| **D | MLC INVESTMENTS MLC LIMITED | 0 | 182.241 | 182.241 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II |
0 | 805.669 | 805.669 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE |
0 | 269.492 | 269.492 |
| **D | MIGROS BANK (LUX) FONDS 30 | 0 | 3.200 | 3.200 |
| **D | MIGROS BANK (LUX) FONDS 40 (EUR) | 0 | 3.280 | 3.280 |
| **D | MIGROS BANK (LUX) FONDS 50 | 0 | 4.600 | 4.600 |
| **D | MIGROS BANK (LUX) FONDS INTERSTOCK | 0 | 6.200 | 6.200 |
| **D | UBS (LUX) SICAV 1 | 0 | 7.257 | 7.257 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
0 | 2.203 | 2.203 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) |
0 | 9.802 | 9.802 |
| **D | UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
0 | 8.330 | 8.330 |
| **D | STRATEGY SICAV | 0 | 10.846 | 10.846 |
| **D | UBS FUND MANAGEMENT(LUXEMBOURG) SA | 0 | 289.990 | 289.990 |
| **D | UBS (LUX) EQUITY SICAV - EUROPEAN - HIGH DIVIDEND (EUR) |
0 | 362.788 | 362.788 |
| **D | UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 0 | 3.951 | 3.951 |
| **D | UBS (LUX) EQUITY SICAV - EURO COUNTRIES INCOME |
0 | 681.914 | 681.914 |
| **D | LGIASUPER | 0 | 129.085 | 129.085 |
| **D | PRIME SUPER | 0 | 3.141 | 3.141 |
| **D | GENERATION LIFE LIMITED | 0 | 138.074 | 138.074 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 0 | 413.448 | 413.448 |
| **D | STIHL INTERNATIONAL GMBH | 0 | 780.849 | 780.849 |
| **D | NORGES BANK | 0 | 19.171.615 | 19.171.615 |
| **D | AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 0 | 2.776 | 2.776 |
| **D | FONDS DE PLACEMENT PROMUTUEL GROUPE PROMUTUEL FEDERATION DE SOCIETES MUTUELLES DASSURANCE GENERALE 91.715 |
0 | 91.715 | |
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 1.536.625 | 1.536.625 |
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 2.162.834 | 2.162.834 |
| **D | LGIM MANAGERS (EUROPE) LIMITED | 0 | 1.272.267 | 1.272.267 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GENERAL ORGANISATION FOR SOCIAL INSURANCE. | 0 | 1.616.406 | 1.616.406 |
| **D | INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 0 | 440.640 | 440.640 |
| **D | INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT | 0 | 31.366 | 31.366 |
| **D | INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN | 0 | 205.880 | 205.880 |
| **D | WHEELS COMMON INVESTMENT FUND. | 0 | 3.585 | 3.585 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 0 | 207.035 | 207.035 |
| **D | LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 0 | 35.491 | 35.491 |
| **D | LEGAL & GENERAL GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.806.933 | 1.806.933 |
| **D | LEGAL & GENERAL FUTURE WORLD CLIMATE CHANGE EQUITY FACTORS I | 0 | 5.969 | 5.969 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 0 | 74.003 | 74.003 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 0 | 31.528 | 31.528 |
| **D | LEGAL & GENERAL EUROPEAN INDEX TRUST | 0 | 1.201.772 | 1.201.772 |
| **D | LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 0 | 241.405 | 241.405 |
| **D | GARD UNIT TRUST | 0 | 33.808 | 33.808 |
| **D | MONDRIAN FUNDS PLC | 0 | 111.898 | 111.898 |
| **D | ATLAS GLOBAL INFRASTRUCTURE UCITS ICAV | 0 | 18.118.323 | 18.118.323 |
| **D | BARINGS INTERNATIONAL UMBRELLA FUND | 0 | 144.748 | 144.748 |
| **D | STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 0 | 13.024 | 13.024 |
| **D | MFG INVESTMENT FUND PLC | 0 | 229.958 | 229.958 |
| **D | OSMOSIS ICAV | 0 | 15.780 | 15.780 |
| **D | LEGAL & GENERAL ICAV. | 0 | 873 | 873 |
| **D | NORTHERN TRUST UCITS FGR FUND | 0 | 318.021 | 318.021 |
| **D | SCHLUMBERGER INTERNATIONAL STAFF RETIREMENT FUND FCP-SIF. | 0 | 9.119 | 9.119 |
| **D | VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS. | 0 | 95.336 | 95.336 |
| **D | VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEKS | 0 | 354.942 | 354.942 |
| **D | PUBLIC SECTOR PENSION INVESTMENT BOARD. | 0 | 11.020 | 11.020 |
| **D | SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 0 | 2.166.601 | 2.166.601 |
| **D | TRUST FOR RETIREE MEDICAL DENTAL AND LIFE INSURANCE OF THE | 0 | 70.132 | 70.132 |
| **D | THE RETIREMENT ANNUITY PLAN FOR EMPLOYEES OF THE ARMY AND AI | 0 | 156.921 | 156.921 |
| **D | CSAA INSURANCE EXCHANGE | 0 | 12.833 | 12.833 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING |
0 | 98.840 | 98.840 |
| **D | SCHLUMBERGER GROUP TRUST AGREEMENT | 0 | 48.715 | 48.715 |
| **D | MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT PLANS | 0 | 14.272 | 14.272 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX-US F | 0 | 114.460 | 114.460 |
| **D | GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 0 | 14.190 | 14.190 |
| **D | RETURN TO WORK CORPORATION OF SOUTH AUSTRALIA | 0 | 817.839 | 817.839 |
| **D | THE MINDEROO FOUNDATION TRUST | 0 | 11.576 | 11.576 |
| **D | EQUIPSUPER | 0 | 46.730 | 46.730 |
| **D | STICHTING PENSIOENFONDS SAGITTARIUS | 0 | 46.247 | 46.247 |
| **D | STICHTING HEINEKEN PENSIOENFONDS | 0 | 25.192 | 25.192 |
| **D | STICHTING PENSIOENFONDS APF. | 0 | 244.201 | 244.201 |
| **D | STICHTING PME PENSIOENFONDS | 0 | 280.987 | 280.987 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 0 | 9.516.731 | 9.516.731 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F | 0 | 347.915 | 347.915 |
| **D | FUTURE FUND INVESTMENT COMPANY NO.2 PTY LTD | 0 | 4.700.000 | 4.700.000 |
| **D | MRFF INVESTMENT COMPANY NO. 2 PTY LTD. | 0 | 575.546 | 575.546 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. | 0 | 81.261 | 81.261 |
| **D | NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 0 | 2.426.992 | 2.426.992 |
| **D | UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 0 | 12.116 | 12.116 |
| **D | THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 0 | 19.687 | 19.687 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE CIT | 0 | 971.248 | 971.248 |
| **D | FIDELITY INVESTMENTS CHARITABLE GIFT FUND DTD 8/18/2009 | 0 | 20.374 | 20.374 |
| **D | STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 0 | 5.250 | 5.250 |
| **D | EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 0 | 409.462 | 409.462 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | 0 | 96.190 | 96.190 |
| **D | R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 3.700 | 3.700 |
| **D | RUTGERS THE STATE UNIVERSITY | 0 | 23.624 | 23.624 |
| **D | PCA TAX SHELTERED ANNUITY PLAN | 0 | 10.740 | 10.740 |
| **D | CSX CORP MASTER PENSION TRUST | 0 | 70.380 | 70.380 |
| **D | CONSTELLATION FITZPATRICK QUALIFIED FUND | 0 | 9.186 | 9.186 |
| **D | CONSUMERS ENERGY COMPANY NON-UNION WELFARE BENEFIT TRUST TO PROVIDE FOR RETIREE HEALTH CARE AND | 0 | 4.859 | 4.859 |
| **D | MASTER TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL | 0 | 203.520 | 203.520 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT TWO QUALIFIED FUND | 0 | 4.800 | 4.800 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 0 | 200 | 200 |
| **D | THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT | 0 | 41 | 41 |
| **D | THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 0 | 31.443 | 31.443 |
| **D | ADVOCATE HEALTH AND HOSPITALS CORPORATION | 0 | 3.417.245 | 3.417.245 |
| **D | JOSHUA GREEN CORPORATION | 0 | 11.829 | 11.829 |
| **D | IBM PERSONAL PENSION PLAN TRUST | 0 | 5.206 | 5.206 |
| **D | NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 0 | 21.500 | 21.500 |
| **D | PFIZER INC. MASTER TRUST | 0 | 459.887 | 459.887 |
| **D | MOZILLA CORPORATION | 0 | 3.285 | 3.285 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 0 | 305.710 | 305.710 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE O | 0 | 26.251 | 26.251 |
| **D | WILSHIRE MULTI-MANAGER REAL ASSET FUND | 0 | 32.589 | 32.589 |
| **D | UNITED SERVICES AUTOMOBILE ASSOCIATION | 0 | 39.608 | 39.608 |
| **D | HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE | 0 | 1.191.901 | 1.191.901 |
| **D | HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 0 | 47.896 | 47.896 |
| **D | THE BOARD OF MANAGEMENT OF THE CHINESE PERMANENT CEMETERIES | 0 | 8.923 | 8.923 |
| **D | BEAT DRUGS FUND ASSOCIATION | 0 | 2.621 | 2.621 |
| **D | CARNELIAN INVESTMENT MANAGEMENT LLC. | 0 | 17.110 | 17.110 |
| **D | CARROLL AVENUE PARTNERS LLC. | 0 | 707 | 707 |
| **D | EVA VALLEY MA1 LLC | 0 | 13.180 | 13.180 |
| **D | FUNDO DE PENSOES | 0 | 20.946 | 20.946 |
| **D | DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 0 | 11.468 | 11.468 |
| **D | DFI LP EQUITY (PASSIVE | 0 | 1.373 | 1.373 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DYNASTY INVEST LTD | 0 | 4.845 | 4.845 |
| **D | ALICE L WALTON CHARITABLE LLC | 0 | 571.708 | 571.708 |
| **D | FIDDLER PARTNERS LLC | 0 | 1.095 | 1.095 |
| **D | FOURTH AVENUE INVESTMENT COMPANY LIMITED PARTNERSHIP | 0 | 28.854 | 28.854 |
| **D | HAWTHORN DM LLC | 0 | 30.202 | 30.202 |
| **D | INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 0 | 3.938 | 3.938 |
| **D | PINK CALI LLC | 0 | 81 | 81 |
| **D | OMEGA FFIP LIMITED PARTNERSHIP | 0 | 3.407 | 3.407 |
| **D | HAWAII LLC | 0 | 14.549 | 14.549 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP. | 0 | 824.536 | 824.536 |
| **D | BUILDERS ASSET MANAGEMENT LLC | 0 | 55.623 | 55.623 |
| **D | LEHMAN-STAMM FAMILY PARTNERS LLC | 0 | 264 | 264 |
| **D | LEGAL & GENERAL MSCI EAFE FUND LLC | 0 | 143.531 | 143.531 |
| **D | METIS EQUITY TRUST- METIS INTERNATIONAL CLIMATE ALIGNED INDE |
0 | 20.900 | 20.900 |
| **D | MONDRIAN INTERNATIONAL EQUITY ESG FUND L.P | 0 | 536.790 | 536.790 |
| **D | MONDRIAN INTERNATIONAL EQUITY FOCUSED FUND L.P. | 0 | 263.597 | 263.597 |
| **D | NELKE PARTNERSHIP | 0 | 8.665 | 8.665 |
| **D | INTERNATIONAL EQUITY FUND LLC | 0 | 16.312 | 16.312 |
| **D | HOLTEC INDIAN POINT 3 LLC MASTER DECOMMISSIONING TRUST | 0 | 22.393 | 22.393 |
| **D | AVALON PORTFOLIO II LLC | 0 | 426 | 426 |
| **D | 801 INVESTMENTS LLC | 0 | 9.547 | 9.547 |
| **D | RTPIP LP | 0 | 2.467 | 2.467 |
| **D | FCM INTERNATIONAL LLC | 0 | 4.450 | 4.450 |
| **D | ZOMA CAPITAL PORTFOLIO LLC. | 0 | 19.875 | 19.875 |
| **D | THYSSEN GLOBAL INVESTMENTS CORP. | 0 | 1.673 | 1.673 |
| **D | GLOBAL BOND FUND WAYCROSSE INC | 0 | 185.502 | 185.502 |
| **D | MFC INTERNATIONAL FUND LLC | 0 | 15.782 | 15.782 |
| **D | GLOBAL EQUITY SERIES OF SALT CREEK INVESTMENTS LLC | 0 | 8.486 | 8.486 |
| **D | SENTINEL INTERNATIONAL FUND | 0 | 658 | 658 |
| **D | SALIX LLC | 0 | 38.659 | 38.659 |
| **D | SLW PORTFOLIO LLC | 0 | 1.778 | 1.778 |
| **D | PRO-GEN INVESTMENTS LLC | 0 | 5.770 | 5.770 |
| **D | CINDY SPRINGS LLC | 0 | 164.372 | 164.372 |
| **D | RUM CAY LP | 0 | 9.483 | 9.483 |
| **D | RDM LIQUID LLC | 0 | 57.800 | 57.800 |
| **D | K INVESTMENTS SH LIMITED. | 0 | 198.313 | 198.313 |
| **D | LEGAL & GENERAL MSCI EAFE SL FUND LLC | 0 | 145.559 | 145.559 |
| **D | MBB PUBLIC MARKETS I LLC | 0 | 142.583 | 142.583 |
| **D | PROVIDENCE ST. JOSEPH HEALTH LONG TERM PORTFOLIO | 0 | 5.321 | 5.321 |
| **D | FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 0 | 7.724 | 7.724 |
| **D | INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 0 | 129.532 | 129.532 |
| **D | MONDRIAN GLOBAL EQUITY FUND L.P | 0 | 435.781 | 435.781 |
| **D | MONDRIAN ALL COUNRIES WORLD EX-US EQUITY FUND L.P. GLOBAL I | 0 | 4.390.123 | 4.390.123 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MONDRIAN INTERNATIONAL EQUITY FUND L.P. | 0 | 16.978.011 | 16.978.011 |
| **D | NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 0 | 551.197 | 551.197 |
| **D | CHEVRON UK PENSION PLAN | 0 | 8.657 | 8.657 |
| **D | FIFE COUNCIL PENSION FUND | 0 | 301.207 | 301.207 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 19.238 | 19.238 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 560.271 | 560.271 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND | 0 | 3.415.933 | 3.415.933 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 0 | 160.829 | 160.829 |
| **D | VI CAPITAL LTD. | 0 | 2.920 | 2.920 |
| **D | CBS INSURANCE COMPANY LIMITED | 0 | 2.726 | 2.726 |
| **D | STATE UNIVERSITIES RETIREMENT SYSTEM | 0 | 2.420.326 | 2.420.326 |
| **D | COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA | 0 | 21.148 | 21.148 |
| **D | MERCER PASSIVE INTERNATIONAL SHARES FUND | 0 | 124.772 | 124.772 |
| **D | MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 0 | 16.393 | 16.393 |
| **D | MERCER TAILORED 1 TRUST | 0 | 1.133.659 | 1.133.659 |
| **D | MERCER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 198.403 | 198.403 |
| **D | MAGELLAN INFRASTRUCTURE FUND (CURRENCY HEDGED) | 0 | 1.721.879 | 1.721.879 |
| **D | NT WORLD GREEN TRANSITION INDEX FUND | 0 | 2.465 | 2.465 |
| **D | INSURANCE COMMISSION OF WESTERN AUSTRALIA | 0 | 895.984 | 895.984 |
| **D | ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND | 0 | 4.597.232 | 4.597.232 |
| **D | AUSTRALIAN CAPITAL TERRITORY | 0 | 57.205 | 57.205 |
| **D | MERCER INDEXED INTERNATIONAL SHARES FUND | 0 | 150.054 | 150.054 |
| **D | INTERNATIONAL EQUITIES PASSIVE B UNIT TRUST | 0 | 3.595 | 3.595 |
| **D | SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL | 0 | 14.495 | 14.495 |
| **D | GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 0 | 338.432 | 338.432 |
| **D | MAGELLAN INFRASTRUCTURE FUND (UNHEDGED) | 0 | 2.054.837 | 2.054.837 |
| **D | QIC INTERNATIONAL EQUITIES FUND. | 0 | 16.964 | 16.964 |
| **D | MAGELLAN INFRASTRUCTURE FUND | 0 | 4.458.311 | 4.458.311 |
| **D | MAGELLAN CORE INFRASTRUCTURE FUND | 0 | 792.158 | 792.158 |
| **D | THE TRUSTEES OF THE HENRY SMITH CHARITY | 0 | 36.611 | 36.611 |
| **D | S. ROBSON WALTON 1999 CHILDRENS TRUST | 0 | 5.218 | 5.218 |
| **D | MOBIUS LIFE LIMITED | 0 | 31.044 | 31.044 |
| **D | HRW TESTAMENTARY TRUST NO. 1 | 0 | 14.863 | 14.863 |
| **D | HRW TESTAMENTARY TRUST NO. 3 | 0 | 17.306 | 17.306 |
| **D | S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 0 | 4.573 | 4.573 |
| **D | JOHN T. WALTON FAMILY TRUST | 0 | 50.037 | 50.037 |
| **D | HRW TESTAMENTARY TRUST NO. 6 | 0 | 1 | 1 |
| **D | HRW TESTAMENTARY TRUST NO. 4. | 0 | 5.361 | 5.361 |
| **D | HRW TESTAMENTARY TRUST NO. 9. | 0 | 4.439 | 4.439 |
| **D | HRW TESTAMENTARY TRUST NO. 8. | 0 | 83.727 | 83.727 |
| **D | HRW TESTAMENTARY TRUST NO. 2 | 0 | 14.383 | 14.383 |
| **D | HRW TRUST NO. 4 UAD 01/17/03 | 0 | 137.420 | 137.420 |
| **D | HRW TESTAMENTARY TRUST NO. 5 | 0 | 6.947 | 6.947 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HRW TESTAMENTARY TRUST NO. 12. | 0 | 13.597 | 13.597 |
| **D | HRW TRUST NO. 3 UAD 01/17/03 | 0 | 111.815 | 111.815 |
| **D | HRW TESTAMENTARY TRUST NO. 11. | 0 | 63.276 | 63.276 |
| **D | S. ROBSON WALTON 2010 TRUST | 0 | 8.791 | 8.791 |
| **D | HRW TRUST NO. 1 UAD 01/17/03 | 0 | 3.454 | 3.454 |
| **D | HRW TESTAMENTARY TRUST NO. 10. | 0 | 6.127 | 6.127 |
| **D | HRW TRUST NO. 2 UAD 01/17/03 | 0 | 14.918 | 14.918 |
| **D | PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS | 0 | 5.144 | 5.144 |
| **D | PRESBYTERIAN CHURCH (USA) FOUNDATION | 0 | 9.707 | 9.707 |
| **D | NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 0 | 4.225.300 | 4.225.300 |
| **D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 0 | 43.530 | 43.530 |
| **D | ARVEST FOUNDATION | 0 | 1.277 | 1.277 |
| **D | FALKIRK COUNCIL PENSION FUND | 0 | 418.449 | 418.449 |
| **D | FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 0 | 945.317 | 945.317 |
| **D | ESSENTIA HEALTH | 0 | 1.965 | 1.965 |
| **D | THE CALIFORNIA WELLNESS FOUNDATION | 0 | 13.453 | 13.453 |
| **D | RETIREMENT PLAN FOR CHICAGO TRANSIT AUTHORITY EMPLOYEES. | 0 | 27.315 | 27.315 |
| **D | CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 0 | 1.126 | 1.126 |
| **D | CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 4.746 | 4.746 |
| **D | ATRIUM HEALTH | 0 | 353.901 | 353.901 |
| **D | NORTHAMPTONSHIRE PENSION FUND | 0 | 6.868 | 6.868 |
| **D | ARIEL INTERNATIONAL FUND | 0 | 1.274.449 | 1.274.449 |
| **D | MICHIGAN CATHOLIC CONFERENCE | 0 | 13.823 | 13.823 |
| **D | NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND |
0 | 553.450 | 553.450 |
| **D | THE NEMOURS FOUNDATION PENSION PLAN | 0 | 1.940 | 1.940 |
| **D | NORTHERN MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 2.870.315 | 2.870.315 |
| **D | THE MOTOROLA PENSION SCHEME. | 0 | 65.616 | 65.616 |
| **D | THE MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND | 0 | 5.831 | 5.831 |
| **D | MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 0 | 6.408 | 6.408 |
| **D | JTW TRUST NO. 1 UAD 9/19/02. | 0 | 10.211 | 10.211 |
| **D | JTW TRUST NO. 3 UAD 9/19/02. | 0 | 10.536 | 10.536 |
| **D | JTW TRUST NO. 5 UAD 9/19/02. | 0 | 7.625 | 7.625 |
| **D | JTW TRUST NO. 2 UAD 9/19/02. | 0 | 12.155 | 12.155 |
| **D | JTW TRUST NO. 4 UAD 9/19/02. | 0 | 8.489 | 8.489 |
| **D | ILLINOIS MUNICIPAL RETIREMENT FUND | 0 | 5.767.768 | 5.767.768 |
| **D | CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 0 | 235.259 | 235.259 |
| **D | LOS ANGELES CITY EMPLOYEES` RETIREMENT SYSTEM. | 0 | 138.415 | 138.415 |
| **D | LOTHIAN PENSION FUND | 0 | 1.602.787 | 1.602.787 |
| **D | MORNINGSTAR UNCONSTRAINED ALLOCATION FUND A SERIES OF MORNINGSTAR FUNDS TRUST | 0 | 678.958 | 678.958 |
| **D | MONTGOMERY COUNTY CONSOLIDATED RETIREE HEALTH BENEFITS TRUST | 0 | 139.410 | 139.410 |
| **D | BAPTIST FOUNDATION OF TEXAS. | 0 | 440.014 | 440.014 |
| **D | NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 0 | 457.003 | 457.003 |
| **D | PROVIDENCE HEALTH & SERVICES CASH BALANCE RETIREMENT PLAN TR. | 0 | 3.897 | 3.897 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GENERAL PENSION AND SOCIAL SECURITY AUTHORITY | 0 | 38.842 | 38.842 |
| **D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0 | 116.668 | 116.668 |
| **D | ALFRED I. DUPONT CHARITABLE TRUST | 0 | 36.804 | 36.804 |
| **D | ABU DHABI PENSION FUND | 0 | 91.748 | 91.748 |
| **D | WYOMING RETIREMENT SYSTEM | 0 | 22.318 | 22.318 |
| **D | GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 0 | 8.180 | 8.180 |
| **D | USAA GENERAL INDEMNITY COMPANY | 0 | 13.240 | 13.240 |
| **D | TEACHERS` RETIREMENT SYSTEM OF OKLAHOMA | 0 | 255.753 | 255.753 |
| **D | UTAH STATE RETIREMENT SYSTEMS | 0 | 268.360 | 268.360 |
| **D | USAA CASUALTY INSURANCE COMPANY | 0 | 23.563 | 23.563 |
| **D | SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 0 | 186.012 | 186.012 |
| **D | SAN MATEO COUNTY EMPLOYEES` RETIREMENT ASSOCIATION | 0 | 1.325.788 | 1.325.788 |
| **D | EMPLOYEES RETIREMENT FUND OF THE CITY OF DALLAS. | 0 | 122.926 | 122.926 |
| **D | FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 0 | 4.554 | 4.554 |
| **D | REGIME DE RETRAITE DU PERSONNEL DES CPE ET DES GARDERIES PRI | 0 | 206.908 | 206.908 |
| **D | BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 0 | 3.782.803 | 3.782.803 |
| **D | ACS 30:70 GLOBAL EQUITY TRACKER FUND | 0 | 100 | 100 |
| **D | BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 0 | 667.391 | 667.391 |
| **D | STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 0 | 1.758.477 | 1.758.477 |
| **D | LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 0 | 200.000 | 200.000 |
| **D | UBS COMMON CONTRACTUAL FUND | 0 | 32.420 | 32.420 |
| **D | THE LF ACCESS POOL AUTHORISED CONTRACTUAL SCHEME | 0 | 1.640.272 | 1.640.272 |
| **D | BLACKROCK UCITS CCF | 0 | 186.898 | 186.898 |
| **D | RECORD INVEST SCA SICAV RAIF | 0 | 8.612 | 8.612 |
| **D | KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | 0 | 204.196 | 204.196 |
| **D | ELO MUTUAL PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY | 0 | 406.937 | 406.937 |
| **D | NOTHERN TRUST LUXEMBOURG MANAGEMENT COMPANY SA ACTING IN ITS | 0 | 407.544 | 407.544 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF | 0 | 81.818 | 81.818 |
| **D | STICHTING PENSIOENFONDS PGB | 0 | 556.811 | 556.811 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. | 0 | 9.472 | 9.472 |
| **D | STICHTING PENSIOENFONDS OPENBARE BIBLIOTHEKEN | 0 | 9.180 | 9.180 |
| **D | FJARDE AP-FONDEN. | 0 | 2.112.866 | 2.112.866 |
| **D | ROBECO INSTITUTIONAL UMBRELLA FUND | 0 | 294.164 | 294.164 |
| **D | POINT72 LONDON INVESTMENTS LTD. | 0 | 5.695.419 | 5.695.419 |
| **D | D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 0 | 2.498 | 2.498 |
| **D | NORTH ROCK SPC - NR 1 SP |
0 | 211.223 | 211.223 |
| **D | DE SHAW US BROAD MARKET CORE ALPHA EXTENSION CUSTOM FUND II L.L.C. | 0 | 113.928 | 113.928 |
| **D | DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 0 | 269 | 269 |
| **D | AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT L.P. PORTFOLIO MARGIN ACCT | 0 | 24.457 | 24.457 |
| **D | DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 0 | 7.816 | 7.816 |
| **D | D.E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS II L.L.C | 0 | 1.099 | 1.099 |
| **D | BG MASTER FUND ICAV | 0 | 403 | 403 |
| **D | CM GRAT LLC | 0 | 1.417 | 1.417 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ROSEDENE LLC | 0 | 4.415 | 4.415 |
| **D | SPRING 625 | 0 | 48.014 | 48.014 |
| **D | THE CHERYL D DUFFIELD TRUST UAD 09/12/96 CHERYL D DUFFIELD TTEE | 0 | 1.207 | 1.207 |
| **D | THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 0 | 25.982 | 25.982 |
| **D | LGT SELECT EQUITY GLOBAL | 0 | 1.096.632 | 1.096.632 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL CONVERTIBLE FUND |
0 | 120.039 | 120.039 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL LISTED INFRASTRU |
0 | 1.229.309 | 1.229.309 |
| **D | VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE |
0 | 103.691 | 103.691 |
| **D | MACT - SIF |
0 | 16.867 | 16.867 |
| **D | GBPO - QCF - GLOBAL BALANCED POOL |
0 | 5.997 | 5.997 |
| **D | UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO |
0 | 183.243 | 183.243 |
| **D | CDIL WHITEHELM CAP LS CR INFS FD | 0 | 1.078.824 | 1.078.824 |
| **D | CMLA INDEXED GLOBAL SHARE FUND | 0 | 7.056 | 7.056 |
| **D | JOHN HANCOCK FUNDS III GLOBAL SHAREHOLDER YIELD FUND | 0 | 2.947.350 | 2.947.350 |
| **D | JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. | 0 | 68.097 | 68.097 |
| **D | PRUDENTIAL ASSURANCE COMPANY SINGAPORE (PTE) LTD | 0 | 391.460 | 391.460 |
| **D | SCHWAB INTERNATIONAL INDEX FUND | 0 | 1.162.786 | 1.162.786 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX FUND | 0 | 235.198 | 235.198 |
| **D | TIMOTHY PLAN MARKET NEUTRAL ETF | 0 | 43.011 | 43.011 |
| **D | COLONIAL FIRST STATE INVESTMENT FUND 50. | 0 | 29.053 | 29.053 |
| **D | COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 0 | 110.842 | 110.842 |
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 6. | 0 | 988.762 | 988.762 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES FUND1 | 0 | 1.317.314 | 1.317.314 |
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 7 | 0 | 1.159.045 | 1.159.045 |
| **D | WM POOL - EQUITIES TRUST NO. 31 - ROBECO |
0 | 2.508 | 2.508 |
| **D | ONEMARKETS ITALY ICAV | 0 | 53.241 | 53.241 |
| **D | LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 0 | 18.670.981 | 18.670.981 |
| **D | ILA-LA WORLD ESG SCREENED FUND | 0 | 15.566 | 15.566 |
| **D | ILA - RAFIMF |
0 | 16.692 | 16.692 |
| **D | ILA-A-ILSDMH | 0 | 372.296 | 372.296 |
| **D | IRISH LIFE ASSURANCE. | 0 | 174.452 | 174.452 |
| **D | ILA-ILSEAFE - SUSTAINABLE EAFE EQUITY |
0 | 99.192 | 99.192 |
| **D | ILA - A-ILGLOEQN |
0 | 3.318 | 3.318 |
| **D | ILA - A-ILDSCG |
0 | 9.927 | 9.927 |
| **D | ILA - A-ILGLOEQG |
0 | 14.859 | 14.859 |
| **D | IRISH LIFE ASSURANCE PLC | 0 | 1.756.389 | 1.756.389 |
| **D | ILA - A-ILEZEQG |
0 | 46.146 | 46.146 |
| **D | ILA - A-ILHYEQG |
0 | 47.532 | 47.532 |
| **D | AEGON CUSTODY B.V. | 0 | 609.460 | 609.460 |
| **D | STICHTING PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES | 0 | 189.314 | 189.314 |
| **D | STICHTING MN SERVICES | 0 | 633.669 | 633.669 |
| **D | LARGE CAP INTL PORTFOLIO OF DFA INV | 0 | 381.578 | 381.578 |
| **D | STICHTING MN SERVICES AANDELENFO ND | 0 | 118.691 | 118.691 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LTD PMC FTSE TPI GLOBAL (EX FOSSIL FUELS) EQUITY INDEX FUND 29.573 |
0 | 29.573 | |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED | 0 | 327.393 | 327.393 |
| **D | LEGAL & GENERAL ASSURANCE SOCIETY LIMITED | 0 | 13.693 | 13.693 |
| **D | TSGX SOLACT ESG TBACO EX UNHG(3387) | 0 | 8.468 | 8.468 |
| **D | FUTURE WORLD DEVELOPED EQUITY INDEX FUND (3500) | 0 | 11.986 | 11.986 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 | 0 | 61.059 | 61.059 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 RAFI FUNDAMENTAL GLOBAL EQUITY LOW CARBON TRANSITION INDEX FUND3495 | 0 | 109.336 | 109.336 |
| **D | OETGEN COMMUNITY PROPERTY TRUST DTD 12/24/2008 AS AMENDED A | 0 | 6.124 | 6.124 |
| **D | CFSIL RE CNEALTH GS FD 16 | 0 | 45.140 | 45.140 |
| **D | INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC | 0 | 1.641.266 | 1.641.266 |
| **D | MANULIFE GLOBAL FUND (SICA | 0 | 93.165 | 93.165 |
| **D | CFSIL RE COMM GLB INFRA SEC FD 2 | 0 | 1.510.343 | 1.510.343 |
| **D | NMTB/NIK KOKUSAI-NH 935026 | 0 | 91.120 | 91.120 |
| **D | NMTB/NIK KOKUSAI-H 935034 | 0 | 7.266 | 7.266 |
| **D | BERESFORD FUNDS ICAV | 0 | 8.326 | 8.326 |
| **D | CFSIL-CFS GLOBAL SHARE FD 20 | 0 | 251.182 | 251.182 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE FUND 3 | 0 | 604.081 | 604.081 |
| **D | STICHTING PGGM DEPOSITARY | 0 | 1.205.227 | 1.205.227 |
| **D | PGGM SPD (DMAEMFGL)PGGM SPD DMAE MULTIFACTOR GLOBAL | 0 | 1.384.441 | 1.384.441 |
| **D | NATIONAL COUNCIL FOR SOCIAL SEC FUND | 0 | 39.645 | 39.645 |
| **D | TWO SIGMA INTERNATIONAL CORE | 0 | 29 | 29 |
| **D | BUREAU OF PUBLIC SERVICE PENSION FUND | 0 | 935.640 | 935.640 |
| **D | LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 0 | 6.086.133 | 6.086.133 |
| **D | HUTCHISON PROVIDENT FUND. | 0 | 24.710 | 24.710 |
| **D | VICTORY MARKET NEUTRAL INCOMEFUND | 0 | 1.870.673 | 1.870.673 |
| **D | SAMSUNG GLOBAL CORE EQUITY FUND | 0 | 4.767 | 4.767 |
| **D | VICTORY RS GLOBAL FUND | 0 | 1.040.398 | 1.040.398 |
| **D | VICTORY RS INTERNATIONAL FUND | 0 | 839.745 | 839.745 |
| **D | VICTORY RS INTERNATIONAL VIPSERIES | 0 | 249.165 | 249.165 |
| **D | JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND | 0 | 349.211 | 349.211 |
| **D | CITITRUST LIMITED | 0 | 58.878 | 58.878 |
| **D | VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 0 | 20.034 | 20.034 |
| **D | VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 0 | 52.674 | 52.674 |
| **D | CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND | 0 | 32.235 | 32.235 |
| **D | VICTORYSHARES INTERNATIONAL HIGHDIV VOLATILITY WTD INDEX ETF | 0 | 47.766 | 47.766 |
| **D | HOSTPLUS POOLED SUPERANNUATION TRUST | 0 | 196.122 | 196.122 |
| **D | AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE FUND | 0 | 332.696 | 332.696 |
| **D | ABRDN OEIC IV-ABRDN EUROPEAN EQUITY TRACKER FUND | 0 | 116.717 | 116.717 |
| **D | VICTORY CAPITAL GROWTH FUND | 0 | 338.435 | 338.435 |
| **D | VICTORY INTERNATIONAL FUND | 0 | 2.863.409 | 2.863.409 |
| **D | VICTORY SUSTAINABLE WORLD FUND | 0 | 959.373 | 959.373 |
| **D | TIMOTHY PLAN INTERNATIONAL ETF. | 0 | 81.054 | 81.054 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | THE NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN | 0 | 7.941 | 7.941 |
| **D | UAPF - BLACK ROCK PASSIVE EQUITY |
0 | 9.844 | 9.844 |
| **D | UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 0 | 9.472 | 9.472 |
| **D | MARSHALL WACE MASTER FUNDS SPC-SP ALPHA PLUS FUND | 0 | 22.692 | 22.692 |
| **D | MAN INSIGHT LIMITED | 0 | 327 | 327 |
| **D | MARSHALL WACE INVESTMENT STRATEGIES-WORLD TOPS ENVIRONMENTAL | 0 | 9.116 | 9.116 |
| **D | MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED | 0 | 6.000 | 6.000 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND | 0 | 46.925 | 46.925 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND - CLASS N |
0 | 2.813 | 2.813 |
| **D | NBIMC PUBLIC INFRASTRUCTURE (2017) FUND. | 0 | 44.745 | 44.745 |
| **D | MERCER PRIVATE WEALTH REAL ASSETS POOL | 0 | 37.816 | 37.816 |
| **D | FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 0 | 138.219 | 138.219 |
| **D | BIMCOR GLOBAL DIVIDEND YIELD POOLED FUND | 0 | 12.982 | 12.982 |
| **D | NORTHWATER ENHANCED IMMUNIZATION TRUST II | 0 | 20.728 | 20.728 |
| **D | BOMBARDIER TRUST (CANADA) REAL RETURN ASSETS FUND | 0 | 530.840 | 530.840 |
| **D | LETKO BROSSEAU INFRASTRUCTURE EQUITY FUND | 0 | 49.825 | 49.825 |
| **D | SUN LIFE REAL ASSETS PRIVATE POOL | 0 | 4.204.622 | 4.204.622 |
| **D | DIVERSIFIED FUND OF CANADA - DFC QUALITY LOW VOLATILITY GLOB |
0 | 7.488 | 7.488 |
| **D | NBIMC EAFE EQUITY INDEX FUND. | 0 | 27.586 | 27.586 |
| **D | AMUNDI DIVIDENDO ITALIA | 0 | 870.000 | 870.000 |
| **D | AMUNDI ESG SELECTION BILANCIATO | 0 | 95.870 | 95.870 |
| **D | AMUNDI ESG SELECTION DINAMICO | 0 | 51.763 | 51.763 |
| **D | AMUNDI VALORE ITALIA PIR | 0 | 150.000 | 150.000 |
| **D | AMUNDI ESG SELECTION CONSERVATIVO | 0 | 39.600 | 39.600 |
| **D | AMUNDI ACCUMULAZIONE INFRASTRUTTURE GLOBALI 2028 DUE | 0 | 32.775 | 32.775 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLOBALI 2028 | 0 | 43.527 | 43.527 |
| **D | AMUNDI PROGETTO INCOME 2028 | 0 | 6.208 | 6.208 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 QUATTRO | 0 | 7.819 | 7.819 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 TRE | 0 | 8.031 | 8.031 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 DUE | 0 | 21.848 | 21.848 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 | 0 | 37.754 | 37.754 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE | 0 | 110.890 | 110.890 |
| **D | AMUNDI PROG INC REALE 2026 | 0 | 29.514 | 29.514 |
| **D | AMUNDI PROGETTO INCOME AGOSTO 2026 | 0 | 23.729 | 23.729 |
| **D | AMUNDI PROGETTO INCOME 2026 DUE 20121 | 0 | 29.456 | 29.456 |
| **D | AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 | 0 | 193.674 | 193.674 |
| **D | FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME 2026 |
0 | 16.657 | 16.657 |
| **D | AMUNDI PRIVATE GLOBAL INFRASTRU 2024 | 0 | 90.876 | 90.876 |
| **D | AMUNDI PROGETTO INCOME 2025 | 0 | 27.354 | 27.354 |
| **D | CRELAN INVEST DYNAMIC | 0 | 36.712 | 36.712 |
| **D | CRELAN INVEST CONSERVATIVE | 0 | 9.854 | 9.854 |
| **D | CRELAN INVEST BALANCED | 0 | 77.017 | 77.017 |
| **D | ASR INSTITUT FONDSEN EUR AANDELEN | 0 | 276.053 | 276.053 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ING SELECT FUND - INKOMEN ZEER OFFENSIEF |
0 | 38.518 | 38.518 |
| **D | ING SELECT FUND - INKOMEN OFFENSIEF |
0 | 71.115 | 71.115 |
| **D | ING SELECT FUND - INKOMEN NEUTRAAL |
0 | 238.436 | 238.436 |
| **D | ING SELECT FUND - INKOMEN ZEER DEFENSIEF |
0 | 3.464 | 3.464 |
| **D | ING SELECT FUND - INKOMEN DEFENSIEF |
0 | 83.643 | 83.643 |
| **D | ONDERLINGE S GRAVEN | 0 | 312.024 | 312.024 |
| **D | BEVEILIGING MANDAAT SSGA RE AANDELEN | 0 | 81.581 | 81.581 |
| **D | SPA MANDATE BLACKROCK | 0 | 70.090 | 70.090 |
| **D | ST PFD PMA MANDATE BLACKROCK | 0 | 26.825 | 26.825 |
| **D | ST. PF VOOR DE ARCHITECTENBUREAUS-DME SS | 0 | 5.597 | 5.597 |
| **D | CENTRAL BANK OF IRELAND | 0 | 16.367 | 16.367 |
| **D | ONEMARKETS AMUNDI FLEXIBLE INCOME FUND | 0 | 235.729 | 235.729 |
| **D | CANDRIAM GF AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE | 0 | 65.401 | 65.401 |
| **D | CPR INVEST HYDROGEN | 0 | 1.734.994 | 1.734.994 |
| **D | AMUNDI STOXX EUROPE 600 | 0 | 1.521.684 | 1.521.684 |
| **D | AMUNDI MSCI EUROPE | 0 | 1.156.581 | 1.156.581 |
| **D | ONEMARKETS PIMCO GLOBAL BALANCED ALLOC | 0 | 21.813 | 21.813 |
| **D | AMUNDI FTSE MIB | 0 | 1.314.283 | 1.314.283 |
| **D | STRUCTURA - DIVERSIF GROWTH FD-CSA AMUND |
0 | 4.834 | 4.834 |
| **D | LUXCELLENCE-HELVETIA EUROP EQUITY | 0 | 24.600 | 24.600 |
| **D | CPR INVEST - EUROPEAN STRATEGIC AUTONOMY |
0 | 281.513 | 281.513 |
| **D | RCO LUX MONTJOLY INVEST POOL AMUNDI | 0 | 23.561 | 23.561 |
| **D | AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 0 | 9.882 | 9.882 |
| **D | AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 0 | 30.115 | 30.115 |
| **D | AMUNDI FD EUROPEAN EQUITY ESG IMPROVERS | 0 | 2.431.059 | 2.431.059 |
| **D | CLEOME INDEX - WORLD EQUITIES |
0 | 12.226 | 12.226 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY CONSERVATIVE |
0 | 2.860.846 | 2.860.846 |
| **D | LO FUNDS - ALL ROADS |
0 | 285.488 | 285.488 |
| **D | AMUNDI INDEX MSCI EUROPE | 0 | 797.057 | 797.057 |
| **D | AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 0 | 2.793 | 2.793 |
| **D | AMUNDI INDEX MSCI WORLD | 0 | 142.354 | 142.354 |
| **D | AMUNDI FUNDS EQUITY EURO RISK PARITY | 0 | 382.304 | 382.304 |
| **D | AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA | 0 | 1.917 | 1.917 |
| **D | LO FUNDS - ALL ROADS CONSERVATIVE |
0 | 32.588 | 32.588 |
| **D | LO FUNDS - ALL ROADS GROWTH |
0 | 193.435 | 193.435 |
| **D | AMUNDI FUNDS MULTI ASSET CONSERVATIVE | 0 | 61.442 | 61.442 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY |
0 | 51.941 | 51.941 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE |
0 | 16.430 | 16.430 |
| **D | AMUNDI PRIME EUROZONE | 0 | 40.585 | 40.585 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL |
0 | 31.989 | 31.989 |
| **D | AMUNDI FDS GLOBAL MULTI-ASSET TARGET INC | 0 | 180.459 | 180.459 |
| **D | AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 0 | 108.684 | 108.684 |
| **D | AMUNDI FUNDS REAL ASSETS TARGET INCOME | 0 | 250.000 | 250.000 |
| Pagina 34 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI FUNDS GLOBAL MULTI-ASSET | 0 | 199.508 | 199.508 |
| **D | AMUNDI FDS GLOB MULTI-ASSET CONSERVATIVE | 0 | 480.991 | 480.991 |
| **D | AMUNDI FUNDS EURO MULTI-ASSET TARGET INC | 0 | 186.711 | 186.711 |
| **D | CLEOME INDEX - EMU EQUITIES |
0 | 66.454 | 66.454 |
| **D | AMUNDI EURO STOXX SELECT DIVIDEND 30 | 0 | 451.795 | 451.795 |
| **D | AMUNDI MSCI EMU ESG CTB NET ZERO AMBIT | 0 | 354.855 | 354.855 |
| **D | EDMOND DE ROTHSCHILD FUND INCOME EUROPE | 0 | 332.910 | 332.910 |
| **D | EDR FUND II - INCOME 2024 |
0 | 40.362 | 40.362 |
| **D | NATWEST TDS DEP VT DWEUUNIN C | 0 | 340.780 | 340.780 |
| **D | SB CIF - ECOFIN ADVISORS |
0 | 77.055 | 77.055 |
| **D | SB CIF - MACQUARIE |
0 | 195.069 | 195.069 |
| **D | AMUNDI DEUTSCHLAND GMBH - SUEDINVEST 43 |
0 | 12.000 | 12.000 |
| **D | HI-LH FONDS | 0 | 13.004 | 13.004 |
| **D | AMUNDI ETHIK PLUS | 0 | 215.833 | 215.833 |
| **D | VPV-SPEZIAL AMUNDI | 0 | 24.669 | 24.669 |
| **D | AMUNDI WELTPORTFOLIO | 0 | 2.842 | 2.842 |
| **D | OSTRUM ASSET MANAGEMENT | 0 | 104.500 | 104.500 |
| **D | JUNON ACTIONS OBLIGATIONS | 0 | 613.859 | 613.859 |
| **D | PLURI-INVESTISSEMENTS | 0 | 6.925 | 6.925 |
| **D | FCP ARRCO LONG TERME D | 0 | 786.758 | 786.758 |
| **D | LBPAM 3 MOIS | 0 | 7.815.235 | 7.815.235 |
| **D | TONI ACTIONS ISR 100 | 0 | 65.997 | 65.997 |
| **D | FCP CARP - INDO |
0 | 722.315 | 722.315 |
| **D | FDRN AMUNDI | 0 | 272.843 | 272.843 |
| **D | CRN AMUNDI ACTIONS | 0 | 407.528 | 407.528 |
| **D | LBPAM ACTIONS DIVIDENDES EUROP | 0 | 267.634 | 267.634 |
| **D | ROPS EURO P | 0 | 260.142 | 260.142 |
| **D | INVESTISSEMENT N101 | 0 | 30.141 | 30.141 |
| **D | IRCEC CASSETTE DIVERSIFIE | 0 | 148.710 | 148.710 |
| **D | FGV ACTIONS EUROPE LM A | 0 | 82.079 | 82.079 |
| **D | CNP ACTIONS EUROPE AMUNDI | 0 | 393.161 | 393.161 |
| **D | DIEZE | 0 | 26.757 | 26.757 |
| **D | VILLIERS ALTO | 0 | 130.670 | 130.670 |
| **D | AA SSGA ACTIONS INDICE EURO | 0 | 573.535 | 573.535 |
| **D | STAR PASTEUR | 0 | 71.494 | 71.494 |
| **D | CONTI GESTION | 0 | 82.569 | 82.569 |
| **D | SACD INVESTISSEMENT | 0 | 83.902 | 83.902 |
| **D | ALLOCATION INVEST EQUITY CORE | 0 | 227.044 | 227.044 |
| **D | IP ACTIONS EURO | 0 | 49.532 | 49.532 |
| **D | BEL EQUITY EUROPE ESG | 0 | 88.005 | 88.005 |
| **D | ALLOCATION INVEST EQUITY SATELLITE | 0 | 33.896 | 33.896 |
| **D | GROUPAMA SELECTION EURO DIVERSIFIE | 0 | 5.451 | 5.451 |
| **D | MICHELET TUNNEL | 0 | 100.062 | 100.062 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GROUPAMA LOIRE BRETAGNE REGIONAL 1 | 0 | 18.726 | 18.726 |
| **D | WORLD EQUITIES | 0 | 4.597 | 4.597 |
| **D | ARRCO QUANT 2 | 0 | 106.826 | 106.826 |
| **D | AP ACTIONS 1 EURO | 0 | 99.401 | 99.401 |
| **D | ALLOCATION ACTIONS SATELLITE | 0 | 3.193 | 3.193 |
| **D | ROPS-SMART INDEX EURO | 0 | 1.132.228 | 1.132.228 |
| **D | AVENIR PROTECTION 90 | 0 | 109.245 | 109.245 |
| **D | AA NATIXIS ACTIONS MIN VAR | 0 | 177.926 | 177.926 |
| **D | EGEPARGNE 2 DIVERSIFIE | 0 | 37.734 | 37.734 |
| **D | FCP PEA COURT TERME | 0 | 2.439.466 | 2.439.466 |
| **D | BAD21 CAPITAL | 0 | 64.630 | 64.630 |
| **D | EMERAUDE | 0 | 32.258 | 32.258 |
| **D | AMUNDI STRATEGIES ACTIONS EURO OPTIM DIV HR | 0 | 151.278 | 151.278 |
| **D | AMUNDI STRATEGIES ACTIONS EURO CORE + | 0 | 73.248 | 73.248 |
| **D | LCL ACTIONS MONDE HORS EUROPE EURO | 0 | 128.035 | 128.035 |
| **D | AMUNDI RENDEMENT PLUS | 0 | 56.237 | 56.237 |
| **D | COVEA OBLIGATIONS CONVERTIBLES | 0 | 439.065 | 439.065 |
| **D | COVEA ACTIONS RENDEMENT | 0 | 1.425.806 | 1.425.806 |
| **D | ASSURDIX | 0 | 179.592 | 179.592 |
| **D | LCL ACTIONS FRANCE CORE PLUS | 0 | 9.470 | 9.470 |
| **D | CPR EURO HIGH DIVIDEND | 0 | 264.761 | 264.761 |
| **D | AMUNDI ACTIONS FRANCE ISR | 0 | 1.025.761 | 1.025.761 |
| **D | AMUNDI ESG IMPROVERS EURO | 0 | 2.831.253 | 2.831.253 |
| **D | AMUNDI EUROPE MONDE | 0 | 181.770 | 181.770 |
| **D | AMUNDI ACTIONS EURO ISR | 0 | 393.583 | 393.583 |
| **D | LCL ACTIONS EURO CORE+ | 0 | 47.736 | 47.736 |
| **D | ATOUT FRANCE CORE | 0 | 36.620 | 36.620 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE CORE + | 0 | 33.215 | 33.215 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE OPTIM DIV HR | 0 | 85.017 | 85.017 |
| **D | COLOMBES 6 | 0 | 112.000 | 112.000 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 0 | 7.314 | 7.314 |
| **D | GROUPAMA EURO EQUITIES | 0 | 17.157 | 17.157 |
| **D | AMUNDI PATRIMOINE PEA | 0 | 220.972 | 220.972 |
| **D | COVEA PATRIMOINE | 0 | 105.000 | 105.000 |
| **D | AMUNDI EQUITY EURO CONSERVATIV | 0 | 1.492.676 | 1.492.676 |
| **D | CPR EUROLAND PREMIUM ESG | 0 | 30.093 | 30.093 |
| **D | FINALTIS EFFICIENT BETA EURO | 0 | 56.506 | 56.506 |
| **D | STRATEGIE EURO ISR | 0 | 60.231 | 60.231 |
| **D | COVEA SOLIS | 0 | 1.647.050 | 1.647.050 |
| **D | LBPAM ISR ACTIONS EURO MIN VOL | 0 | 14.194 | 14.194 |
| **D | BETAMAX GLOBAL SMART FOR CLIMATE | 0 | 8.310 | 8.310 |
| **D | FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 0 | 161.411 | 161.411 |
| **D | GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 22.052 | 22.052 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI ETF PEA S P 500 UCITS E | 0 | 5.200.000 | 5.200.000 |
| **D | TOCQUEVILLE DIVIDENDE ISR | 0 | 750.000 | 750.000 |
| **D | ALLOCATION PROTECTION 80 | 0 | 1.950.000 | 1.950.000 |
| **D | REAUMUR ACTIONS | 0 | 2.510.423 | 2.510.423 |
| **D | OSTRUM SRI EURO MINVOL EQUITY | 0 | 83.027 | 83.027 |
| **D | VEGA EURO RENDEMENT ISR | 0 | 1.630.725 | 1.630.725 |
| **D | POLARIS CONVICTIONS | 0 | 17.824 | 17.824 |
| **D | VEGA EUROPE CONVICTIONS ISR | 0 | 1.174.069 | 1.174.069 |
| **D | EDR SICAV - EQUITY EURO SOLVE |
0 | 210.230 | 210.230 |
| **D | EDMOND DE ROTHSCHILD ASSET MANAGEMENT (EDRAM) | 0 | 9.829 | 9.829 |
| **D | POLLUX | 0 | 29.050 | 29.050 |
| **D | EDR SICAV - EUROPEAN IMPROVERS |
0 | 31.400 | 31.400 |
| **D | CNP ASSUR EDRAM ACTIONS EUROPE | 0 | 618.640 | 618.640 |
| **D | HELVETIA I EUROPA | 0 | 160.890 | 160.890 |
| **D | ING DIRECT FONDO NARANJA CONSERVADOR FI | 0 | 5.264 | 5.264 |
| **D | ING DIRECT FONDO NARANJA MODERADO FI | 0 | 32.463 | 32.463 |
| **D | ING DIRECT FONDO NARANJA DINAMICO FI | 0 | 46.575 | 46.575 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA |
0 | 6.700.000 | 6.700.000 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA |
0 | 1.200.000 | 1.200.000 |
| **D | ALLEANZA ASSICURAZIONI SPA | 0 | 895.060 | 895.060 |
| **D | TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV | 0 | 147.765 | 147.765 |
| **D | CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 0 | 1.889.963 | 1.889.963 |
| **D | PEOPLE`S BANK OF CHINA | 0 | 1.415.189 | 1.415.189 |
| **D | FLOURISH INVESTMENT CORPORATION | 0 | 163.170 | 163.170 |
| **D | INTERNATIONAL MONETARY FUND | 0 | 859.172 | 859.172 |
| **D | ABN AMRO FUNDS | 0 | 45.833 | 45.833 |
| **D | ISHARES EURO STOXX UCITS ETF (DE) | 0 | 780.555 | 780.555 |
| **D | ISHARES EURO STOXX SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 3.733.991 | 3.733.991 |
| **D | ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 0 | 693.503 | 693.503 |
| **D | ISHARES STOXX EUROPE SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 2.006.668 | 2.006.668 |
| **D | ISHARES STOXX GLOBAL SELECT DIVI100 UCITS ETF DE | 0 | 4.784.255 | 4.784.255 |
| **D | ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 0 | 1.250.680 | 1.250.680 |
| **D | ISHARES STOXX EUROPE 600 OIL GAS UCITS ETF DE | 0 | 2.258.767 | 2.258.767 |
| **D | GENERAL CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS | 0 | 264.201 | 264.201 |
| **D | PACE INTERNATIONAL EQUITY INVESTMENTS | 0 | 1.569.809 | 1.569.809 |
| **D | COLLEGE RETIREMENT EQUITIES FUND | 0 | 69.008 | 69.008 |
| **D | TIAACREF INTERNATIONAL EQUITY INDEX FUND | 0 | 2.883.365 | 2.883.365 |
| **D | BON SECOURS MERCY HEALTH | 0 | 450.049 | 450.049 |
| **D | DESJARDINS GLOBAL DIVIDEND FUND | 0 | 4.932.045 | 4.932.045 |
| **D | THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 0 | 803.152 | 803.152 |
| **D | BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 0 | 112.553 | 112.553 |
| **D | VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 0 | 217.192 | 217.192 |
| **D | STATE OF MINNESOTA | 0 | 868.764 | 868.764 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 0 | 119.526 | 119.526 |
| **D | RUSSELL INVESTMENT COMPANY PLC | 0 | 41.532 | 41.532 |
| **D | SPDR MSCI ACWI EXUS ETF | 0 | 166.424 | 166.424 |
| **D | SPDR S&P INTERNATIONAL DIVIDENDETF | 0 | 1.429.658 | 1.429.658 |
| **D | SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 0 | 1.818.382 | 1.818.382 |
| **D | MORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 111.523 | 111.523 |
| **D | MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO |
0 | 9.588 | 9.588 |
| **D | MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO | 0 | 608 | 608 |
| **D | PRINCIPAL DIVERSIFIED REAL ASSET CIT | 0 | 1.889.666 | 1.889.666 |
| **D | CALIFORNIA STATE TEACHERS` RETIREMENT SYSTEM | 0 | 11.778.868 | 11.778.868 |
| **D | TEACHER RETIREMENT SYSTEM OF TEXAS | 0 | 2.829 | 2.829 |
| **D | MERCY HEALTH RETIREMENT TRUST | 0 | 1.413 | 1.413 |
| **D | SPDR PORTFOLIO EUROPE ETF | 0 | 45.871 | 45.871 |
| **D | SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 0 | 8.710.704 | 8.710.704 |
| **D | SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 0 | 1.506.028 | 1.506.028 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 0 | 257.390 | 257.390 |
| **D | M INTERNATIONAL EQUITY FUND | 0 | 9.035 | 9.035 |
| **D | FRANK RUSSELL INVESTMENT CO II PLC | 0 | 9.667 | 9.667 |
| **D | IBM 401(K) PLUS PLAN TRUST | 0 | 325.042 | 325.042 |
| **D | THE MONETARY AUTHORITY OF SINGAPORE | 0 | 49.998 | 49.998 |
| **D | MANAGED PENSION FUNDS LIMITED | 0 | 541.379 | 541.379 |
| **D | SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND | 0 | 8.196 | 8.196 |
| **D | SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND |
0 | 311.917 | 311.917 |
| **D | EURIZON FUND | 0 | 3.174.290 | 3.174.290 |
| **D | INSTITUTIONAL SOLUTIONS FUND FCP-SIF | 0 | 724.685 | 724.685 |
| **D | STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 0 | 7.415 | 7.415 |
| **D | THE MONETARY AUTHORITY OF SINGAPORE MAS | 0 | 3.472 | 3.472 |
| **D | BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY INDEX | 0 | 81.652 | 81.652 |
| **D | ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 0 | 17.428 | 17.428 |
| **D | ISHARES II PUBLIC LIMITED COMPANY | 0 | 4.390.658 | 4.390.658 |
| **D | ISHARES V PUBLIC LIMITED COMPANY | 0 | 11.483 | 11.483 |
| **D | ISHARES III PUBLIC LIMITED COMPANY | 0 | 979 | 979 |
| **D | ISHARES VI PUBLIC LIMITED COMPANY | 0 | 200 | 200 |
| **D | ISHARES IV PUBLIC LIMITED COMPANY | 0 | 4.380.835 | 4.380.835 |
| **D | ARGO GLOBAL LISTED INFRASTRUCTURE LIMITED | 0 | 561.032 | 561.032 |
| **D | AUSTRALIAN RETIREMENT TRUST | 0 | 1.556.200 | 1.556.200 |
| **D | RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 0 | 29.333 | 29.333 |
| **D | RUSSELL INVESTMENTS GLOBAL SHARES INDEX FUND LEVEL 28 | 0 | 26.092 | 26.092 |
| **D | EMERGENCY SERVICES SUPERANNUATION SCHEME | 0 | 5.806 | 5.806 |
| **D | AWARE SUPER | 0 | 8.769 | 8.769 |
| **D | VANECK VECTORS FTSE GLOBAL INFRASTRUCTURE (HEDGED) ETF GOLD FIELD HOUSE | 0 | 455.604 | 455.604 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTUCTURE FUND HEDGED | 0 | 56.408 | 56.408 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 13.848.447 | 13.848.447 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND (HEDGED) | 0 | 396.377 | 396.377 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND | 0 | 1.703.657 | 1.703.657 |
| **D | RETAIL EMPLOYEES SUPERANNUATIONTRUST | 0 | 292.898 | 292.898 |
| **D | INTERNATIONAL EQUITIES SECTOR TRUST | 0 | 1.311 | 1.311 |
| **D | GMO MULTI-ASSET TRUST | 0 | 41.357 | 41.357 |
| **D | NEW AIRWAYS PENSION SCHEME | 0 | 5.813 | 5.813 |
| **D | FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU | 0 | 47.582 | 47.582 |
| **D | EURIZON PIR ITALIA AZIONI | 0 | 85.705 | 85.705 |
| **D | EURIZON CAP SGR-RENDITA | 0 | 8.336 | 8.336 |
| **D | EURIZON AZIONI ITALIA | 0 | 3.063.937 | 3.063.937 |
| **D | EURIZON PROGETTO ITALIA 40 | 0 | 351.592 | 351.592 |
| **D | EURIZON PROGETTO ITALIA 70 | 0 | 480.133 | 480.133 |
| **D | ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 0 | 1.188.259 | 1.188.259 |
| **D | ISHARES MSCI ACWI ETF | 0 | 578.941 | 578.941 |
| **D | ISHARES MSCI ACWI EX U.S. ETF | 0 | 362.897 | 362.897 |
| **D | ISHARES GLOBAL UTILITIES ETF | 0 | 165.558 | 165.558 |
| **D | ISHARES MSCI EUROZONE ETF | 0 | 2.736.314 | 2.736.314 |
| **D | ISHARES EUROPE ETF | 0 | 326.366 | 326.366 |
| **D | ISHARES MSCI EAFE ETF | 0 | 6.354.405 | 6.354.405 |
| **D | ISHARES MSCI EAFE VALUE ETF | 0 | 4.201.907 | 4.201.907 |
| **D | ISHARES MSCI KOKUSAI ETF | 0 | 6.301 | 6.301 |
| **D | ISHARES MSCI ITALY ETF | 0 | 2.631.595 | 2.631.595 |
| **D | ISHARES INTERNATIONAL SELECT DIVIDEND ETF | 0 | 9.295.330 | 9.295.330 |
| **D | ISHARES MSCI EAFE MIN VOL FACTOR ETF | 0 | 6.662.963 | 6.662.963 |
| **D | ISHARES CORE MSCI EUROPE ETF | 0 | 761.870 | 761.870 |
| **D | ISHARES INTERNATIONAL EQUITY FACTOR ETF | 0 | 394.415 | 394.415 |
| **D | ISHARES MSCI GLOBAL MULTIFACTORETF | 0 | 39.180 | 39.180 |
| **D | ISHARES MSCI ACWI LOW CARBON TARGET ETF | 0 | 167.543 | 167.543 |
| **D | ISHARES MSCI INTL SIZE FACTOR ETF | 0 | 1.176 | 1.176 |
| **D | ISHARES MSCI WORLD ETF | 0 | 101.998 | 101.998 |
| **D | ISHARES CORE MSCI EAFE ETF | 0 | 11.752.759 | 11.752.759 |
| **D | ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 0 | 2.384.742 | 2.384.742 |
| **D | ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 0 | 1.223.036 | 1.223.036 |
| **D | ISHARES CORE MSCI GLOBAL QUALITY DIVIDEND INDEX ETF | 0 | 39.535 | 39.535 |
| **D | ISHARES CORE MSCI EAFE IMI INDEX ETF | 0 | 564.712 | 564.712 |
| **D | ISHARES MSCI EUROPE IMI INDEX ETF | 0 | 39.227 | 39.227 |
| **D | ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 0 | 13.283 | 13.283 |
| **D | ISHARES GLOBAL MONTHLY DIVIDENDINDEX ETF (CAD-HEDGED) | 0 | 66.319 | 66.319 |
| **D | ACOMEA PMITALIA ESG | 0 | 421.800 | 421.800 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QVALUE |
0 | 7.792 | 7.792 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QRETURN |
0 | 21.501 | 21.501 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR DLONGRUN |
0 | 814 | 814 |
| **D | ACOMEA PATRIMONIO ESENTE | 0 | 30.000 | 30.000 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 0 | 18.056 | 18.056 |
| **D | STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 0 | 552.170 | 552.170 |
| **D | BLACKROCK STRATEGIC FUNDS | 0 | 100 | 100 |
| **D | BLACKROCK GLOBAL INDEX FUNDS | 0 | 200 | 200 |
| **D | COHEN AND STEERS SICAV | 0 | 260.087 | 260.087 |
| **D | XTRACKERS | 0 | 3.152.311 | 3.152.311 |
| **D | DWS MULTI ASSET PIR FUND | 0 | 215.000 | 215.000 |
| **D | DWS INVEST | 0 | 7.560.627 | 7.560.627 |
| **D | GOLDMAN SACHS FUNDS | 0 | 103.794 | 103.794 |
| **D | EPSILON FUND | 0 | 370.479 | 370.479 |
| **D | EURIZON INVESTMENT SICAV | 0 | 23.412 | 23.412 |
| **D | EURIZON NEXT 2.0 | 0 | 48.890 | 48.890 |
| **D | OSSIAM LUX | 0 | 54.825 | 54.825 |
| **D | EURIZON AM SICAV | 0 | 6.589 | 6.589 |
| **D | ARERO - DER WELTFONDS - ESG |
0 | 40.331 | 40.331 |
| **D | UBS LUX FUND SOLUTIONS | 0 | 2.436.922 | 2.436.922 |
| **D | AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO |
0 | 100 | 100 |
| **D | AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 0 | 21.938 | 21.938 |
| **D | AB GLOBAL RISK ALLOCATION FUND INC | 0 | 22.765 | 22.765 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 0 | 45.108 | 45.108 |
| **D | COMMONFUND STRATEGIC SOLUTIONS GLOBAL EQUITY, LLC | 0 | 21.642 | 21.642 |
| **D | VPV ALLGEMEINE VERSICHERUNGSAG | 0 | 70.000 | 70.000 |
| **D | INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST | 0 | 1.048.454 | 1.048.454 |
| **D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS | 0 | 74.982 | 74.982 |
| **D | COHEN & STEERS REAL ASSETS FUND, INC | 0 | 398.760 | 398.760 |
| **D | COHEN AND STEERS GLOBAL REALTY FOCUS FUND | 0 | 246.723 | 246.723 |
| **D | COHEN & STEERS INFRASTRUCTURE FUND, INC. | 0 | 3.661.538 | 3.661.538 |
| **D | JOHN HANCOCK TAX-ADVANTAGED GLOBAL SHAREHOLDER YIELD FUND | 0 | 143.000 | 143.000 |
| **D | JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST | 0 | 271.252 | 271.252 |
| **D | JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 0 | 116.641 | 116.641 |
| **D | JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 0 | 82.599 | 82.599 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 0 | 193.817 | 193.817 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 0 | 116.754 | 116.754 |
| **D | HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
0 | 104.597 | 104.597 |
| **D | JOHN HANCOCK FUNDS II INCOME ALLOCATION FUND | 0 | 45.818 | 45.818 |
| **D | SCHWAB INTERNATIONAL EQUITY ETF | 0 | 4.165.807 | 4.165.807 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX ETF | 0 | 1.162.996 | 1.162.996 |
| **D | FCA US LLC MASTER RETIREMENT TRUST | 0 | 611.709 | 611.709 |
| **D | KAISER FOUNDATION HOSPITALS | 0 | 27.152 | 27.152 |
| **D | KAISER PERMANENTE GROUP TRUST | 0 | 26.384 | 26.384 |
| **D | HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
0 | 82.141 | 82.141 |
| **D | HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO |
0 | 7.012 | 7.012 |
| **D | HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO |
0 | 1.265 | 1.265 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND | 0 | 66.552 | 66.552 |
| **D | STATE STREET TOTAL RETURN VIS FUND | 0 | 18.214 | 18.214 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST | 0 | 355.095 | 355.095 |
| **D | VANGUARD TOTAL WORLD STOCK INDEX FUND | 0 | 1.305.558 | 1.305.558 |
| **D | VANGUARD DEVELOPED MARKETS INDEX FUND | 0 | 18.898.040 | 18.898.040 |
| **D | INVESCO INCOME ADVANTAGE INTERNATIONAL FUND | 0 | 2.274 | 2.274 |
| **D | ZURICH INVEST ICAV | 0 | 150.523 | 150.523 |
| **D | SSB FTSE RAFI DEVELOPED 1000 INDEX NONLENDING COMMON TRUST FUND | 0 | 10.500 | 10.500 |
| **D | STATE STREET FACTORBASED NONLENDING COMMON TRUST FUND | 0 | 9.801 | 9.801 |
| **D | SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND | 0 | 22.978 | 22.978 |
| **D | PENSIOENFONDS METAAL OFP | 0 | 330.632 | 330.632 |
| **D | FCA CANADA INC. ELECTED MASTER TRUST | 0 | 170.589 | 170.589 |
| **D | NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 0 | 577.935 | 577.935 |
| **D | EMPOWER ANNUITY INSURANCE COMPANY | 0 | 82.371 | 82.371 |
| **D | MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND | 0 | 77.565 | 77.565 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUNDS - ZIF GREEN |
0 | 85.409 | 85.409 |
| **D | WISDOMTREE INTERNATIONAL EQUITYFUND | 0 | 7.077 | 7.077 |
| **D | WISDOMTREE GLOBAL HIGH DIVIDENDFUND | 0 | 395 | 395 |
| **D | WISDOMTREE INTERNATIONAL DIVIDEND EX-FINANCIALS FUND | 0 | 70.587 | 70.587 |
| **D | WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 0 | 153.521 | 153.521 |
| **D | WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 0 | 493 | 493 |
| **D | WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND | 0 | 69.066 | 69.066 |
| **D | VANGUARD FTSE DEVELOPED EX NORTH AMERICA HIGH DIVIDEND YIELD IND | 0 | 28.374 | 28.374 |
| **D | WISDOMTREE ISSUER ICAV | 0 | 44.019 | 44.019 |
| **D | WASHINGTON STATE INVESTMENT BOARD | 0 | 823.057 | 823.057 |
| **D | WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 0 | 94.150 | 94.150 |
| **D | UBS (IRL) ETF PLC | 0 | 729.814 | 729.814 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 0 | 51.024 | 51.024 |
| **D | AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - GLOBAL EQUITY CHF |
0 | 67.678 | 67.678 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 0 | 23.155 | 23.155 |
| **D | VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 0 | 24.423 | 24.423 |
| **D | VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 0 | 337.143 | 337.143 |
| **D | ASIAN DEVELOPMENT BANK | 0 | 1.102.876 | 1.102.876 |
| **D | UNITED INCOME FOCUS TRUST | 0 | 77.204 | 77.204 |
| **D | TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 0 | 5.440.588 | 5.440.588 |
| **D | PUBLIC EMPLOYEES` LONG-TERM CARE FUND | 0 | 12.192.303 | 12.192.303 |
| **D | ALBERTA INVESTMENT MANAGEMENT CORPORATION | 0 | 2.674.753 | 2.674.753 |
| **D | STATE STREET CCF | 0 | 29.042 | 29.042 |
| **D | INTEL RETIREMENT PLANS COLLECTIVE INVESTMENT TRUST | 0 | 103.315 | 103.315 |
| **D | THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 0 | 409.231 | 409.231 |
| **D | SIR DAVID TRENCH FUND FOR RECREATION | 0 | 2.586 | 2.586 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR SRV100 | 0 | 10.504 | 10.504 |
| **D | STATE STREET IRELAND UNIT TRUST | 0 | 85.182 | 85.182 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 0 | 975.128 | 975.128 |
| **D | SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 0 | 409.946 | 409.946 |
| **D | STICHTING PENSIOENFONDS TANDARTSEN EN TANDARTS-SPECIALISTEN | 0 | 6.791 | 6.791 |
| **D | DESJARDINS INTERNATIONAL EQUITYIND EX ETF | 0 | 15.663 | 15.663 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX FUND | 0 | 3.823 | 3.823 |
| **D | SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 0 | 11.017 | 11.017 |
| **D | THE BANK OF KOREA | 0 | 8.612 | 8.612 |
| **D | SELFFINANCING POSTSECONDARY EDUCATION FUND | 0 | 1.351 | 1.351 |
| **D | GOVERNMENT PENSION INVESTMENT FUND | 0 | 11.713.378 | 11.713.378 |
| **D | RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 0 | 6.760 | 6.760 |
| **D | RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 0 | 3.202 | 3.202 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT | 0 | 57.662 | 57.662 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E PLUS FUND | 0 | 202.308 | 202.308 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC GLOBAL LISTED INFRA | 0 | 194.868 | 194.868 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET I-ASSET GROWTH FUND | 0 | 27.488 | 27.488 |
| **D | THE INCUBATION FUND LTD | 0 | 592 | 592 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 0 | 7.867 | 7.867 |
| **D | DEAM-FONDS CPT | 0 | 27.115 | 27.115 |
| **D | THRIVENT INTERNATIONAL INDEX PORTFOLIO | 0 | 23.752 | 23.752 |
| **D | RUSSELL INVESTMENTS GLOBAL INFRASTRUCTURE POOL | 0 | 951.895 | 951.895 |
| **D | RUSSELL OVERSEAS EQUITY POOL . | 0 | 31.149 | 31.149 |
| **D | STATE OF NEW JERSEY COMMON PENSION FUND D | 0 | 688.338 | 688.338 |
| **D | CITY OF NEW YORK GROUP TRUST | 0 | 705.702 | 705.702 |
| **D | BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO | 0 | 78.165 | 78.165 |
| **D | JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 0 | 2.700 | 2.700 |
| **D | RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 352.625 | 352.625 |
| **D | IBM RETIREMENT PLAN | 0 | 6.974 | 6.974 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 | 0 | 1.414.825 | 1.414.825 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ATLAS | 0 | 546.310 | 546.310 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 0 | 8.000 | 8.000 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR DEBEKAAKTIENEUROPAESG | 0 | 1.108.300 | 1.108.300 |
| **D | GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND |
0 | 152.813 | 152.813 |
| **D | GOLDMAN SACHS MULTIMANAGER REALASSETS STRATEGY FND | 0 | 852.132 | 852.132 |
| **D | GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND | 0 | 13.345 | 13.345 |
| **D | RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 148.126 | 148.126 |
| **D | ALLIANCEBERNSTEIN LP | 0 | 10.417 | 10.417 |
| **D | LAZARD EQUITY FRANCHISE PORTFOLIO | 0 | 1.582.400 | 1.582.400 |
| **D | LAZARD ESC GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 165.709 | 165.709 |
| **D | DEKA INVESTMENT GMBH FOR KDF 3 | 0 | 84.054 | 84.054 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 90.149.645 | 90.149.645 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR ARBOR I UI | 0 | 18.641 | 18.641 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 0 | 61.500 | 61.500 |
| **D | MERCER QIF COMMON CONTRACTUAL FUND | 0 | 482.752 | 482.752 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| D MARIGOLD TACTICAL STRATEGIES LTD 0 9.105 9.105 D MERCER UCITS COMMON CONTRACTUALFUND 0 1.347.204 1.347.204 D RHUMBLINE LOW CARBON INDEX FUNDLLC 0 71.647 71.647 D MDPIM INTERNATIONAL EQUITY INDEX POOL 0 95.115 95.115 D THE PRUDENTIAL INSURANCE COMPANY OF AMERICA 0 71.455 71.455 D MGI FUNDS PLC 0 120.963 120.963 D MORG STI INSTITUTIONAL FUND GLOBAL INFRASTRUCTURE PORTFOLIO 0 445.637 445.637 D SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF 0 34.427 34.427 D SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF 0 35.510 35.510 D SPDR MSCI EAFE STRATEGICFACTORSETF 0 289.382 289.382 D LAZARD GLOBAL ACTIVE FUNDS PLC 0 22.936.814 22.936.814 D RHUMBLINE INTERNATIONAL POOLED INDEX TRUST 0 59.240 59.240 D LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI 0 3.711.715 3.711.715 D INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES 0 297.487 297.487 D LVIP BLACKROCK GLOBAL ALLOCATION FUND 0 50.339 50.339 D LVIP MONDRIAN INTERNATIONAL VALUE FUND 0 6.668.345 6.668.345 D LVIP SSGA INTERNATIONAL INDEX FUND 0 277.650 277.650 D LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND 0 23.121 23.121 D INSTITUTIONAL RETIREMENT TRUST 0 35.339 35.339 D CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND 0 11.344 11.344 D STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO 0 455.368 455.368 D STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO 0 379.104 379.104 D LACERA MASTER OPEB TRUST 0 42.685 42.685 D SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO 0 4.424 4.424 D SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF 0 11.123 11.123 D SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT 0 18.644 18.644 D SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO 0 88.412 88.412 D OPENWORLD PUBLIC LIMITED COMPANY 0 352.486 352.486 D LAZARD GLOBAL LISTED INFRASTRUCTURE (CANADA) FUND 0 5.277.566 5.277.566 D LAZARD GLOBAL EQUITY FRANCHISE (CANADA) FUND 0 1.543.012 1.543.012 D TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP 0 17.239 17.239 D TRANSAMERICA INTERNATIONAL EQUITY INDEX VP 0 10.221 10.221 D JNL/MELLON MSCI WORLD INDEX FUND 0 13.874 13.874 D JNL/JPMORGAN GLOBAL ALLOCATION FUND 0 2.579 2.579 D JNL/DFA INTERNATIONAL CORE EQUITY FUND 0 9.377 9.377 D TANGERINE DIVIDEND PORTFOLIO 0 47.160 47.160 D TANGERINE BALANCED INCOME PORTFOLIO 0 2.734 2.734 D TANGERINE BALANCED PORTFOLIO 0 24.218 24.218 D TANGERINE BALANCED GROWTH PORTFOLIO 0 32.133 32.133 D TANGERINE EQUITY GROWTH PORTFOLIO 0 41.213 41.213 D FIRST CHURCH OF CHRIST SCIENTIST 0 6.811 6.811 D PRESIMA GLOBAL REAL ESTATE SECURITIES ENHANCED YIELD FUND (TAXABLE) 0 86.400 86.400 **D RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND 0 30.484 30.484 |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 0 | 28.817 | 28.817 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE TRUST | 0 | 2.956.945 | 2.956.945 |
| **D | FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 0 | 1.757 | 1.757 |
| **D | RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND | 0 | 409.057 | 409.057 |
| **D | RUSSELL INVESTMENT COMPANY GLOBAL INFRASTRUCTURE FUND | 0 | 340.057 | 340.057 |
| **D | RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 0 | 5.071 | 5.071 |
| **D | RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND | 0 | 22.279 | 22.279 |
| **D | FRANKLIN TEMPLETON ICAV | 0 | 374.490 | 374.490 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF |
0 | 14.040 | 14.040 |
| **D | FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT`L EQUITY HEDG | 0 | 297.104 | 297.104 |
| **D | FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 0 | 21.840 | 21.840 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROZONE ETF |
0 | 8.084 | 8.084 |
| **D | VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK |
0 | 279.780 | 279.780 |
| **D | MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 0 | 2.236.549 | 2.236.549 |
| **D | EPOCH INVESTMENT FUNDS PUBLIC LIMITED COMPANY | 0 | 126.428 | 126.428 |
| **D | AEON GLOBAL EQUITY SHAREHOLDER YIELD FUND | 0 | 118.899 | 118.899 |
| **D | CUSTODY BANK OF JAPAN LTD ASTRUSTEE FOR SUMITOMOMITSUI TRUST BANK LIMITED ASTRUSTEE FOR ANCHORMF | 0 | 1.525.423 | 1.525.423 |
| **D | EATON VANCE TAXMANAGED GLOBAL BUYWRITE OPPORTUNITIES FUND | 0 | 152.501 | 152.501 |
| **D | PARAMETRIC INTERNATIONAL EQUITYFUND | 0 | 62.700 | 62.700 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 0 | 122.821 | 122.821 |
| **D | CALVERT IMPACT FUND INC CALVERT GLOBAL ENERGY SOLUTIONS FUND | 0 | 182.139 | 182.139 |
| **D | CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 0 | 18.440 | 18.440 |
| **D | XTRACKERS (IE) PUBLIC LIMITED COMPANY | 0 | 990.266 | 990.266 |
| **D | DESJARDINS SECURITE FINANCIERE COMPAGNIE D`ASSURANCE VIE | 0 | 7.155 | 7.155 |
| **D | REGIME DE RENTES DU MOUVEMENT DESJARDINS | 0 | 11.199 | 11.199 |
| **D | REGIME DE RETRAITE DE LA CONFEDERATION DES SYNDICATS NATIONAUX | 0 | 33.400 | 33.400 |
| **D | CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 0 | 60.129 | 60.129 |
| **D | CITY UNIVERSITY OF NEW YORK | 0 | 2.473 | 2.473 |
| **D | TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 0 | 79.569 | 79.569 |
| **D | BMO INTERNATIONAL DIVIDEND ETF | 0 | 275.550 | 275.550 |
| **D | BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 0 | 567.199 | 567.199 |
| **D | CAPULA TAIL RISK MASTER FUND LIMITED | 0 | 12.096 | 12.096 |
| **D | CENTRAL PROVIDENT FUND BOARD | 0 | 7.398 | 7.398 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 0 | 384.018 | 384.018 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 0 | 28.121 | 28.121 |
| **D | MATB MSCI KOKUSAI INDEX MOTHER FUND | 0 | 25.768 | 25.768 |
| **D | AMERICAN BUREAU OF SHIPPING | 0 | 2.090 | 2.090 |
| **D | RTX SAVINGS PLAN MASTER TRUST | 0 | 558.757 | 558.757 |
| **D | THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 0 | 59.041 | 59.041 |
| **D | BMO MSCI EAFE INDEX ETF | 0 | 601.938 | 601.938 |
| **D | BRUNEL LOW VOLATILITY GLOBAL EQUITY FUND | 0 | 466.472 | 466.472 |
| **D | PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 0 | 15.041 | 15.041 |
| **D | HSBC BANK PLC AS TRUSTEE OF STATE STREET AUT EUROPE EX UK S CREENED INDEX EQUITY FUND | 0 | 1.877.301 | 1.877.301 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES`S PLACE STRATEGIC MANAGE | 0 | 43.497 | 43.497 |
| **D | FAMILY INVESTMENTS CHILD TRUST FUND | 0 | 47.362 | 47.362 |
| **D | FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND | 0 | 38.776 | 38.776 |
| **D | NATIONAL EMPLOYMENT SAVINGS TRUST | 0 | 3.497.717 | 3.497.717 |
| **D | SUN CHEMICAL LIMITED PENSION SCHEME | 0 | 34.556 | 34.556 |
| **D | VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY INDEX FUND |
0 | 696.587 | 696.587 |
| **D | VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND | 0 | 1.272.645 | 1.272.645 |
| **D | VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 0 | 135.821 | 135.821 |
| **D | SCOTTISH WIDOWS INV.SOLUTIONS FUNDS ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND | 0 | 167.906 | 167.906 |
| **D | MULTI STYLE MULTI MANAGER FUNDSPLC | 0 | 97.622 | 97.622 |
| **D | DWS RREEF COLLECTIVE INVESTMENT TRUST | 0 | 178.390 | 178.390 |
| **D | DYNAMIC INFRASTRUCTURE SECURITIES FUND LP | 0 | 4.370 | 4.370 |
| **D | DWS RREEF REAL ASSETS FUND | 0 | 2.695.800 | 2.695.800 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 265.465 | 265.465 |
| **D | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 0 | 55.915 | 55.915 |
| **D | MARYLAND STATE RETIREMENT PENSION SYSTEM | 0 | 89.044 | 89.044 |
| **D | RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 0 | 5.024 | 5.024 |
| **D | NUVEEN REAL ASSET INCOME FUND | 0 | 1.997.825 | 1.997.825 |
| **D | FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 0 | 183.901 | 183.901 |
| **D | POLICE AND FIREMEN`S RETIREMENTSYSTEM OF NEW JERSEY | 0 | 315.128 | 315.128 |
| **D | PROCTER AND GAMBLE BELGIUM PENSION FUND | 0 | 5.128 | 5.128 |
| **D | PRUDENTIAL HONG KONG LIMITED | 0 | 1.626.494 | 1.626.494 |
| **D | PACIFIC SELECT FUND -PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO | 0 | 90.751 | 90.751 |
| **D | PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 0 | 20.616 | 20.616 |
| **D | NUVEEN MULTI-ASSET INCOME FUND | 0 | 139.528 | 139.528 |
| **D | NUVEEN REAL ASSET INCOME & GROWTH FUND | 0 | 977.152 | 977.152 |
| **D | NUVEEN INTERNATIONAL DIVIDEND GROWTH FUND | 0 | 27.926 | 27.926 |
| **D | TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 0 | 18.477 | 18.477 |
| **D | NORTHROP GRUMMAN PENSION MASTERTRUST | 0 | 45.189 | 45.189 |
| **D | THE BARCLAYS BANK UK RETIREMENTFUND | 0 | 27.368 | 27.368 |
| **D | GOLDMAN SACHS UK RETIREMENT PLAN | 0 | 97.433 | 97.433 |
| **D | STICHTING PHILIPS PENSIOENFONDS | 0 | 23.133 | 23.133 |
| **D | COHEN & STEERS GLOBAL INFRASTRUCTURE FUND, INC. | 0 | 1.591.087 | 1.591.087 |
| **D | COHEN & STEERS, INC. | 0 | 5.135 | 5.135 |
| **D | COHEN + STEERS FUTURE OF ENERGYFUND, INC. | 0 | 247.033 | 247.033 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 0 | 898.801 | 898.801 |
| **D | LAZARD REAL ASSETS PORTFOLIO | 0 | 7.622 | 7.622 |
| 10689 | GRANDI ROI | 2.500 | 0 | 2.500 |
| 10796 | RINAUDO MAURO | 3.000 | 0 | 3.000 |
| 10892 | MAGNANI DUILIO | 100 | 0 | 100 |
| 11470 | MAGNANI MARZIO | 0 | 18.000 | 18.000 |
| 11582 | FIORENTINO ANNA MARIA | 7.387 | 0 | 7.387 |
| 11921 | MANUNTA DAVIDE | 0 | 0 | 0 |
| Azionisti: | 1.805 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.797 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE Oggetto: O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| DE* | CDP RETI SPA | 0 | 1.053.692.127 | 1.053.692.127 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| **D | GRANITIFIANDRE SOCIETA` PER AZIONI | 0 | 27.652.190 | 27.652.190 |
| *** | MINOZZI ROMANO | 0 | 126.807.958 | 126.807.958 |
| **D | PREVEDI | 0 | 853 | 853 |
| **D | IRIS CERAMICA GROUP SOCIETA` PER AZIONI | 0 | 84.890.583 | 84.890.583 |
| **D | FINANZIARIA CERAMICA CASTELLARANO S P A | 0 | 10.958.722 | 10.958.722 |
| **D | FONDO GOMMA PLASTICA | 0 | 312.660 | 312.660 |
| **D | FONDO SCUOLA ESPERO CRESCITA AZIONARIO | 0 | 2.761 | 2.761 |
| **D | INARCASSA - CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA PER |
0 | 23.920.000 | 23.920.000 |
| *** | LOMBARDI GIANFRANCO | 0 | 2.275 | 2.275 |
| 8365 | PINTO DONATO | 4.000 | 0 | 4.000 |
| 8806 | OTTOLENGHI GUIDO | 0 | 0 | 0 |
| RL* | ESTROSA SOCIETA` PER AZIONI | 120.000 | 0 | 120.000 |
| RL* | LA PETROLIFERA ITALO RUMENA SPA | 850.000 | 0 | 850.000 |
| RL* | ZIPORA S.R.L. | 100.000 | 0 | 100.000 |
| Totale voti | 2.553.326.154 |
|---|---|
| Percentuale votanti % | 99,761599 |
| Percentuale Capitale % | 75,972454 |

Assemblea Ordinaria del 07 maggio 2024
ESITO VOTAZIONE
Oggetto : O.3. Autorizzazione all'acquisto e alla disposizione di azioni proprie
Hanno partecipato alla votazione:
-n° 1.829 azionisti, portatori di n° 2.559.427.857 azioni ordinarie, di cui n° 2.559.427.857 ammesse al voto, pari
al 76,154006% del capitale sociale.
Hanno votato:
| %AZIONI ORDINARIE RAPPRESENTATE (Quorum deliberativo) |
%AZIONI AMMESSE AL VOTO |
%CAP.SOC. | ||
|---|---|---|---|---|
| Favorevoli | 2.553.326.154 | 99,761599 | 99,761599 | 75,972454 |
| Contrari | 6.011.717 | 0,234885 | 0,234885 | 0,178874 |
| SubTotale | 2.559.337.871 | 99,996484 | 99,996484 | 76,151329 |
| Astenuti | 56.586 | 0,002211 | 0,002211 | 0,001684 |
| Non Votanti | 33.400 | 0,001305 | 0,001305 | 0,000994 |
| SubTotale | 89.986 | 0,003516 | 0,003516 | 0,002677 |
| Totale | 2.559.427.857 | 100,000000 | 100,000000 | 76,154006 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
CONTRARI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | UNION INVESTMENT INSTITUTIONAL GMBH | 0 | 46.478 | 46.478 |
| **D | ERAFP ACTIONS EURO IV | 0 | 1.099.451 | 1.099.451 |
| **D | ERAFP ACTIONS EURO II | 0 | 5.253.528 | 5.253.528 |
| **D | MEAG PREMIUM | 0 | 2.185.247 | 2.185.247 |
| **D | INVESTITORI FLESSIBILE | 0 | 250.000 | 250.000 |
| **D | INVESTITORI PIAZZA AFFARI | 0 | 124.600 | 124.600 |
| **D | MERCER PROPERTY AND INFRASTRUCTURE TRUST | 0 | 591.339 | 591.339 |
| **D | BNPP DUBLIN/SCHRODER STABLE GROWTH FUND MELLON | 0 | 10.381 | 10.381 |
| **D | NATIXIS AM FUNDS | 0 | 628.496 | 628.496 |
| **D | SCHRODER INTERNATIONAL SELECTION FUND | 0 | 204.510 | 204.510 |
| **D | STICHTING PENSIOENFONDS ABP | 0 | 4.466.476 | 4.466.476 |
| **D | SCHRODER GLOBAL DIVERSIFIED INCOME FUND | 0 | 22.659 | 22.659 |
| **D | SCHRODER PENSION MANAGEMENT LIMITED | 0 | 93.298 | 93.298 |
| **D | SCHRODER MANAGED BALANCED FUND | 0 | 37.301 | 37.301 |
| **D | STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY MINIMUM VOLATILITY POOL | 0 | 1.570.384 | 1.570.384 |
| **D | SCHRODER SUSTAINABLE FUTURE MULTI-ASSET FUND | 0 | 56.299 | 56.299 |
| **D | SCHRODER INSTITUTIONAL POOLED FUNDS | 0 | 38.200 | 38.200 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED PENSION FUND |
0 | 110.641 | 110.641 |
| **D | AVIVA INVESTORS FUNDS ACS - AI CAUTIOUS PENSION FUND |
0 | 1.591 | 1.591 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED LIFE FUND |
0 | 6.177 | 6.177 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 0 | 453.777 | 453.777 |
| **D | ERAFP ACTIONS EURO I | 0 | 9.526.910 | 9.526.910 |
| **D | NATWEST TDS DEP BNYM RM GLO EQ FUND | 0 | 23.775 | 23.775 |
| **D | BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 0 | 14.577 | 14.577 |
| **D | SEEYOND | 0 | 150.645 | 150.645 |
| **D | OFI INVEST DYNAMIQUE MONDE | 0 | 66.834 | 66.834 |
| **D | OFI INVEST EQUILIBRE MONDE | 0 | 66.354 | 66.354 |
| **D | OFI INVEST ESG EURO EQUITY SMA | 0 | 298.065 | 298.065 |
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 2.162.834 | 2.162.834 |
| **D | ATLAS GLOBAL INFRASTRUCTURE UCITS ICAV | 0 | 18.118.323 | 18.118.323 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 560.271 | 560.271 |
| **D | MERCER TAILORED 1 TRUST | 0 | 1.133.659 | 1.133.659 |
| **D | MERCER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 198.403 | 198.403 |
| **D | ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND | 0 | 4.597.232 | 4.597.232 |
| **D | WEST YORKSHIRE PENSION FUND | 0 | 1.003.311 | 1.003.311 |
| **D | OSTRUM ASSET MANAGEMENT | 0 | 104.500 | 104.500 |
| **D | AVENIR PROTECTION 90 | 0 | 109.245 | 109.245 |
| **D | AA NATIXIS ACTIONS MIN VAR | 0 | 177.926 | 177.926 |
| **D | EGEPARGNE 2 DIVERSIFIE | 0 | 37.734 | 37.734 |
| **D | FCP PEA COURT TERME | 0 | 2.439.466 | 2.439.466 |
| **D | BAD21 CAPITAL | 0 | 64.630 | 64.630 |
| **D | EMERAUDE | 0 | 32.258 | 32.258 |
| Azionisti: | 56 | Teste: | 2 |
|---|---|---|---|
| Azionisti in proprio: | 1 | Azionisti in delega: | 55 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
CONTRARI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | IRCEC BEAUMARCHAIS | 0 | 128.870 | 128.870 |
| **D | DYNAMIS SOLIDAIRE ISR | 0 | 770.000 | 770.000 |
| **D | ALLOCATION PROTECTION 80 | 0 | 1.950.000 | 1.950.000 |
| **D | REAUMUR ACTIONS | 0 | 2.510.423 | 2.510.423 |
| **D | OSTRUM SRI EURO MINVOL EQUITY | 0 | 83.027 | 83.027 |
| **D | VEGA EURO RENDEMENT ISR | 0 | 1.630.725 | 1.630.725 |
| **D | POLARIS CONVICTIONS | 0 | 17.824 | 17.824 |
| **D | VEGA EUROPE CONVICTIONS ISR | 0 | 1.174.069 | 1.174.069 |
| **D | ECOFI ENJEUX FUTURS | 0 | 930.000 | 930.000 |
| **D | GLOBAL ALLOCATION M | 0 | 14.089 | 14.089 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 | 0 | 1.414.825 | 1.414.825 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ATLAS | 0 | 546.310 | 546.310 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 265.465 | 265.465 |
| 12318 | BAVA MARCO GEREMIA CARLO | 4 | 0 | 4 |
| Totale voti | 69.573.416 |
| Percentuale votanti % | 2,718319 |
|---|---|
| Percentuale Capitale % | 2,070109 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione ASTENUTI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | BBVA RETAIL | 0 | 5.260 | 5.260 |
| **D | RIVERFIELD SICAV - RIVERFIELD ALLROUNDER |
0 | 14.000 | 14.000 |
| **D | RIVERFIELD SICAV - RIVERFIELD EQUITIES |
0 | 36.826 | 36.826 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| *** | LOMBARDI GIANFRANCO | 0 | 2.275 | 2.275 |
| *** | DEVECCHI ORIANO | 0 | 500 | 500 |
| Totale voti | 58.861 |
|---|---|
| Percentuale votanti % | 0,002300 |
| Percentuale Capitale % | 0,001751 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
| NON VOTANTI | |
|---|---|
| Badge 10653 |
Ragione Sociale FERRERO ANDREA NMM5 GIEP DWS ACCOUNT |
Proprio 0 |
Delega 0 |
Totale 0 |
|
|---|---|---|---|---|---|
| **D | 0 | 33.400 | 33.400 | ||
| Totale voti | 33.400 | ||||
| Percentuale votanti % | 0,001305 | ||||
| Percentuale Capitale % | 0,000994 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | HELABA INV KAPITALANL GES MBH HI HERMES | 0 | 9.023 | 9.023 |
| **D | UNIVERSAL INVESTMENT GMBH | 0 | 76.498 | 76.498 |
| **D | HELABA INV KAPITALANL GES MBH HI Z AKTIE | 0 | 502.027 | 502.027 |
| **D | HELABA INV KAPITALANL.GES.MBH HI-KAPPA-2 | 0 | 22.800 | 22.800 |
| **D | HELABA INV KAPITALANL GES MBH HI WIVK 21 | 0 | 29.484 | 29.484 |
| **D | HELABA INVEST KAG MBH FOR HI-AKTIEN LOW | 0 | 236.231 | 236.231 |
| **D | HELABA INV KAPITALANL GES MBH HI PENS TR | 0 | 23.603 | 23.603 |
| **D | HELABA INV. KAPITALANL.GES.MBH HI-HML-AK | 0 | 3.852 | 3.852 |
| **D | HELABA INV KAPITALANL GES MBH HI WORMS M | 0 | 24.927 | 24.927 |
| **D | HELABA INVEST KAG MBH FOR HI-SPAVO-FONDS | 0 | 19.244 | 19.244 |
| **D | DEGUSSA BANK NACHHALTIGKEITSFONDS AKZENT | 0 | 110.020 | 110.020 |
| **D | HELABA INV KAPITALANL GES MBH HI AKTIENS | 0 | 295.800 | 295.800 |
| **D | HELABA INVEST KAG MBH HI SZVA 10 SFONDS | 0 | 45.600 | 45.600 |
| **D | HELABA INV KAPITALANL GES MBH HI BGHM AR | 0 | 236.137 | 236.137 |
| **D | KAPITALANL GES MBH HI BGHM AR26 SFONDS | 0 | 155.394 | 155.394 |
| **D | HELABA INVEST KAG MBH HI PENS TRUST RH D | 0 | 144.185 | 144.185 |
| **D | HELABA INV KAPITALANL GES MBH HI SZVA 2 | 0 | 63.000 | 63.000 |
| **D | MASTERINVEST KAPITALANLAGE GMBH | 0 | 150.451 | 150.451 |
| **D | DEKA INVESTMENT GMBH GLOBALE AKTIEN | 0 | 25.957 | 25.957 |
| **D | DEKA INVESTMENT GMBH SAS FONDS U02 | 0 | 6.480 | 6.480 |
| **D | DEKA INVESTMENT GMBH BV PAR FONDS | 0 | 13.000 | 13.000 |
| **D | HELABA INV KAPITALANL GES MBH HI SLS MF2 | 0 | 47.606 | 47.606 |
| **D | DEKA INVESTMENT GMBH NECKAR FUNDMASTER 1 | 0 | 413.754 | 413.754 |
| **D | DEKA INVESTMENT GMBH DEKA VALUE EXTRA SE | 0 | 82.340 | 82.340 |
| **D | HELABA INVEST KAG MBH HI KAPPA 10 SFONDS | 0 | 51.300 | 51.300 |
| **D | HMT HANSEMERKUR AKTIEN INVEST | 0 | 1.499 | 1.499 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN I | 0 | 63.620 | 63.620 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN II | 0 | 181.890 | 181.890 |
| **D | TIMM INVEST EUROPA PLUS | 0 | 2.401 | 2.401 |
| **D | BASTI 1 METZLER | 0 | 13.200 | 13.200 |
| **D | GLOBAL ETHICAL VALUES SELECT FUND | 0 | 37.540 | 37.540 |
| **D | CNP LBPAM GLOBAL CONVERTIBLES | 0 | 52.000 | 52.000 |
| **D | ECOFI CONVERTIBLES EURO | 0 | 125.200 | 125.200 |
| **D | SWISS NATIONAL BANK | 0 | 5.099.090 | 5.099.090 |
| **D | NMM5-WIEQ-CNS ACCOUNT | 0 | 20.641 | 20.641 |
| **D | NMM5 GIEP BRI ACCOUNT | 0 | 26.709 | 26.709 |
| **D | NCF-GBL INFRAST STOCK FD | 0 | 2.046.400 | 2.046.400 |
| **D | WIF-GBL UNCONS INFRA EQTY | 0 | 698.430 | 698.430 |
| **D | QUANTUM LEBEN AG | 0 | 15.000 | 15.000 |
| *** | TOMASSI MARINANGELI GIULIANO GREGORIO | 0 | 2.500 | 2.500 |
| **D | WIF-LAZ GBL PFD LIS INFRA | 0 | 3.447.345 | 3.447.345 |
| **D | WIF-C&S GBL LISTED INFRA | 0 | 275.933 | 275.933 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PICTET - EUROPE INDEX |
0 | 191.151 | 191.151 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER |
0 | 51.777 | 51.777 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER |
0 | 87.797 | 87.797 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE |
0 | 8.455 | 8.455 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL |
0 | 66.179 | 66.179 |
| **D | PICTET - QUEST AL-DRIVEN GLOBAL EQUITIES |
0 | 1.118 | 1.118 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES RENDEMENT ABSOLU |
0 | 56.999 | 56.999 |
| **D | RP - FONDS INSTITUTIONNEL - ACTIONS MARCHES DEVELOPPES LARGE CAP |
0 | 59.707 | 59.707 |
| **D | QUAERO CAPITAL FUNDS (LUX) - ACCESSIBLE CLEAN ENERGY |
0 | 654.079 | 654.079 |
| **D | PICTET-EUROLAND INDEX | 0 | 126.419 | 126.419 |
| **D | AEIS INSTITUTIONAL FUND - AKTIEN GLOBAL |
0 | 60.416 | 60.416 |
| **D | PICTET CH - GLOBAL EQUITIES |
0 | 15.637 | 15.637 |
| **D | PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL | 0 | 24.445 | 24.445 |
| **D | PICTET - MULTI ASSET GLOBAL OPPORTUNITIES |
0 | 29.673 | 29.673 |
| **D | WORLD TRADE ORGANIZATION PENSION PLAN | 0 | 18.370 | 18.370 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES |
0 | 16.015 | 16.015 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX SEL.DIV.30UC.ETF | 0 | 1.157.990 | 1.157.990 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPA AKTIEN SPEZIAL | 0 | 519.847 | 519.847 |
| **D | DEKA INVESTMENT GMBH W/A-DOR-FONDS W/U21 | 0 | 83.845 | 83.845 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT | 0 | 1.520.176 | 1.520.176 |
| **D | ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWLCO-AKTIEN | 0 | 16.999 | 16.999 |
| **D | DEKA INVESTMENT GMBH W/SVAM-FONDS | 0 | 63.134 | 63.134 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT 90 | 0 | 59.882 | 59.882 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROLAND AKT.LOWRISK | 0 | 492.425 | 492.425 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EUROPE UCITS ETF | 0 | 209.783 | 209.783 |
| **D | DEKA INVESTMENT GMBH W/BIA-STRATEGIEFONDS NR. 5 | 0 | 42.300 | 42.300 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT KOMMUNAL | 0 | 201.017 | 201.017 |
| **D | DEKA INVESTMENT GMBH W/DONAU-MULTI-ASSET-FUNDMASTER U01 AKTIEN | 0 | 275.275 | 275.275 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-GLOB.AKT.LOWRISK | 0 | 1.053.135 | 1.053.135 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT MULTI ASSET | 0 | 152.550 | 152.550 |
| **D | DEKA INVESTMENT GMBH W/A-VSA-FONDS W/SONSTIGES | 0 | 78.007 | 78.007 |
| **D | DEKA INVESTMENT GMBH W/MAINFRANKEN STRATEGIEKONZEPT | 0 | 360.397 | 360.397 |
| **D | DEKA INVESTMENT GMBH W/WELTINVEST NACHHALTIGKEIT | 0 | 99.300 | 99.300 |
| **D | DEKA INVESTMENT GMBH W/APOFONDS-KIEL | 0 | 191.538 | 191.538 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-LCR-FONDS | 0 | 9.241 | 9.241 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI EURO.CL.CH.ESG UCITS ETF | 0 | 23.713 | 23.713 |
| **D | DEKA INTERNATIONAL S.A. W/WFL INVEST FCP-FIS | 0 | 23.465 | 23.465 |
| **D | DEKA INVESTMENT GMBH W/SE-RENDITE SEGMENT 3 | 0 | 74.453 | 74.453 |
| **D | DEKA INVESTMENT GMBH W/DEKA-PRIVATVORSORGE AS | 0 | 62.000 | 62.000 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI WORLD UCITS ETF | 0 | 83.270 | 83.270 |
| **D | DEKA INVESTMENT GMBH W/PENSIONSFONDS MAINZ1 | 0 | 24.463 | 24.463 |
| **D | DEKA INVESTMENT GMBH W/DEKA-MULTI ASSET INCOME | 0 | 90.000 | 90.000 |
| **D | DEKA INVESTMENT GMBH W/DDF 7 | 0 | 102.188 | 102.188 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DEKA INVESTMENT GMBH W/DK.MSCI WOR.CL.CH.ESG UCITS ETF | 0 | 6.008 | 6.008 |
| **D | DEKA INVESTMENT GMBH W/SSH-FONDS W/U04 | 0 | 31.200 | 31.200 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EMU CL.C.ESG UCITS ETF | 0 | 22.731 | 22.731 |
| **D | DEKA INVESTMENT GMBH W/HD-PHILOSOPHENWEG | 0 | 5.540 | 5.540 |
| **D | DEKA INVESTMENT GMBH W/SK RHEIN NECKAR NORD NACHHALTIGKEIT INVEST | 0 | 27.343 | 27.343 |
| **D | DEKA INVESTMENT GMBH W/DEKA STARKENBURG U03 AKTIEN LOWRISK | 0 | 96.354 | 96.354 |
| **D | DEKA INVESTMENT GMBH W/DEKA-EURO-IST. EX FIN DI.+UC.ETF | 0 | 1.600.550 | 1.600.550 |
| **D | DEKA INVESTMENT GMBH W/NEBUS-MASTERFONDS W/AKTIEN - U02 |
0 | 16.335 | 16.335 |
| **D | DEKA INVESTMENT GMBH W/TREMONIUS-FONDS | 0 | 50.803 | 50.803 |
| **D | DEKA INVESTMENT GMBH W/S-MULTI ASSET ESG AUSGEWOGEN | 0 | 22.406 | 22.406 |
| **D | DEKA INVESTMENT GMBH W/DOHAMUN-FONDS | 0 | 8.689 | 8.689 |
| **D | DEKA INVESTMENT GMBH W/SCHNOOR | 0 | 115.182 | 115.182 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX 50 ESG UCITS ETF | 0 | 165.567 | 165.567 |
| **D | DEKA INVESTMENT GMBH W/MKG W/U2 MKG EUROLAND | 0 | 29.787 | 29.787 |
| **D | DEKA INVESTMENT GMBH W/A-HAM-FONDS W/U02 | 0 | 62.363 | 62.363 |
| **D | DEKA INVESTMENT GMBH W/DEKA BIV-B | 0 | 2.906 | 2.906 |
| **D | DEKA INVESTMENT GMBH W/VER 03-FONDS W/U1 | 0 | 21.960 | 21.960 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-BG ETEM A6-SFONDS | 0 | 48.536 | 48.536 |
| **D | MATIG ACT MONDE | 0 | 414.648 | 414.648 |
| **D | HI-172915-FONDS | 0 | 6.416 | 6.416 |
| **D | MATIGNON ACTIONS INTERNATIONALES | 0 | 395.045 | 395.045 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA | 0 | 343.495 | 343.495 |
| **D | HI MANPT FONDS | 0 | 116.436 | 116.436 |
| **D | HI PNWL DIVIDENDE PLUS FONDS | 0 | 2.865.071 | 2.865.071 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS | 0 | 46.855 | 46.855 |
| **D | ERI BAYERNINVEST FONDS AKTIEN EUROPA | 0 | 84.724 | 84.724 |
| **D | ARABELLE ROTHSCHILD | 0 | 11.245 | 11.245 |
| **D | ZWITSERLEVEN INSTITUTIONELE BELEGGINGSFONDSEN - ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA |
0 | 93.875 | 93.875 |
| **D | HI-PROVINZIAL-LOWRISK-DIVIDENDENSTRATEGIE-FONDS | 0 | 220.780 | 220.780 |
| **D | PEGASUS-UI-FONDS | 0 | 25.000 | 25.000 |
| **D | AXA OR ET MATIERES PREMIERES | 0 | 54.767 | 54.767 |
| **D | FCP FCE PLCT INTERNATIONAL ESG PLUS | 0 | 508.071 | 508.071 |
| **D | AXA AA DIVERSIFIE INDICIEL 1 | 0 | 155.992 | 155.992 |
| **D | ARRCO QUANT 1 | 0 | 131.980 | 131.980 |
| **D | MH AMUNDI ACTIONS EURO | 0 | 320.865 | 320.865 |
| **D | CARDANO ESG TRANSITION ENHANCED INDEX EQUITY GLOBAL (I) | 0 | 174.844 | 174.844 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF EPOTIF MASTERFONDS | 0 | 158.556 | 158.556 |
| **D | HI-AKTIEN-AKTIV-VALUE-SFONDS | 0 | 761.585 | 761.585 |
| **D | AXA PEA REGULARITE | 0 | 3.934.959 | 3.934.959 |
| **D | FRANCE PLACEMENT EURO ESG PLUS | 0 | 683.473 | 683.473 |
| **D | HI-AKTIEN GLOBAL 2-FONDS | 0 | 580.000 | 580.000 |
| **D | PHOSPHORE | 0 | 96.088 | 96.088 |
| **D | LA FRANCAISE SYSTEMATIC GLOBAL LISTED INFRASTRUCTURE | 0 | 75.173 | 75.173 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 0 | 943.147 | 943.147 |
| **D | FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 0 | 116.835 | 116.835 |
| **D | AXA EURO DIVIDEND L | 0 | 24.370 | 24.370 |
| **D | UI-GKR-FONDS | 0 | 43.827 | 43.827 |
| **D | STICHTING AHOLD DELHAIZE PENSIOEN | 0 | 143.447 | 143.447 |
| **D | ALLIANZGI S AKTIEN | 0 | 1.027.368 | 1.027.368 |
| **D | AMUNDI STOXX EUROPE 600 ESG II UCITS ETF | 0 | 13.344 | 13.344 |
| **D | DPCTA-MASTERFONDS | 0 | 9.852 | 9.852 |
| **D | HI-AKTIEN EUROPA 1-FONDS | 0 | 26.816 | 26.816 |
| **D | ATCP-UI-FONDS | 0 | 7.725 | 7.725 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF DEBEKA-AKTIEN-EUROPA-DIVIDENDEN | 0 | 1.617.814 | 1.617.814 |
| **D | ALLIANZGI-FONDS GANO 2 | 0 | 20.669 | 20.669 |
| **D | AXA EURO DIVIDEND K | 0 | 133.514 | 133.514 |
| **D | ALLIANZGI-FONDS TSF | 0 | 4.013 | 4.013 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB-UNIVERSAL-FONDS | 0 | 3.354 | 3.354 |
| **D | FCP SODIUM I | 0 | 84.719 | 84.719 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 0 | 16.549 | 16.549 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY | 0 | 5.954 | 5.954 |
| **D | AXA VERSICHERUNGEN AG | 0 | 1.092.532 | 1.092.532 |
| **D | MERCER WHOLESALE FUNDS | 0 | 7.003 | 7.003 |
| **D | FONECONOMISTES, FONS DE PENSIONS | 0 | 1.993 | 1.993 |
| **D | MIR | 0 | 290.534 | 290.534 |
| **D | MERCER INVESTMENT FUNDS | 0 | 654.763 | 654.763 |
| **D | GLOBAL EQUITIES ENHANCED INDEX FUND | 0 | 252.564 | 252.564 |
| **D | FERROATLANTICA 92 FP | 0 | 1.877 | 1.877 |
| **D | JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND | 0 | 3.940 | 3.940 |
| **D | BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 0 | 29.548 | 29.548 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE INDEX FUND HEDGED | 0 | 406.962 | 406.962 |
| **D | IPAC SPECIALIST INVESTMENT STRATEGIES - LISTED GLO |
0 | 90.622 | 90.622 |
| **D | AZ FUND 1 AZ EQUITY GLOBAL INFRASTRUCTURE | 0 | 75.226 | 75.226 |
| **D | FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY |
0 | 14.674 | 14.674 |
| **D | AXA LEBEN AG | 0 | 138.196 | 138.196 |
| **D | CASTELLANA PENSIONES FP | 0 | 1.905 | 1.905 |
| **D | BUSS (QUEENSLAND) POOLED SUPERANNUATION TRUST | 0 | 888 | 888 |
| **D | AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 0 | 116.000 | 116.000 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.144 | 59.144 |
| **D | GENERALI ITALIA SPA | 0 | 610.026 | 610.026 |
| **D | ALLIANZGI-FONDS PF1 SEGMENT PF1-AA2-E_EUA | 0 | 785.480 | 785.480 |
| **D | ALLIANZGI-H SEGMENT EFK | 0 | 41.230 | 41.230 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VSTBH-UNIVERSAL-FONDS | 0 | 9.262 | 9.262 |
| **D | AXA EURO DIVIDEND DBVL | 0 | 279.866 | 279.866 |
| **D | MASTERFONDS HTPT | 0 | 105.482 | 105.482 |
| **D | HI-AKTIEN GLOBAL-FONDS | 0 | 190.000 | 190.000 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BANSABADELL 36, F.P. | 0 | 6.786 | 6.786 |
| **D | SABADELL PLANIFICACION 25, FI | 0 | 25.145 | 25.145 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE MARKET INDEX FUND | 0 | 586.034 | 586.034 |
| **D | MERCER UNHEDGED OVERSEAS SHARES TRUST | 0 | 75.429 | 75.429 |
| **D | INVERSABADELL 25, FI | 0 | 85.852 | 85.852 |
| **D | RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | 0 | 8.436 | 8.436 |
| **D | FONDO PENSIONE COMETA | 0 | 350.765 | 350.765 |
| **D | ENHANCED INDEX INTERNATIONAL SHARE FUND | 0 | 46.773 | 46.773 |
| **D | CONSERVATION INTERNATIONAL FOUNDATION, INC. | 0 | 545 | 545 |
| **D | FRONTIER MFG CORE INFRASTRUCTURE FUND | 0 | 1.981.741 | 1.981.741 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 0 | 8.000 | 8.000 |
| **D | BS PREVISION EMPRESAS EPSV DE EMPLEO | 0 | 4.103 | 4.103 |
| **D | SABADELL EUROPA BOLSA ESG, FI | 0 | 1.118.807 | 1.118.807 |
| **D | INVERSABADELL 50, FI | 0 | 59.021 | 59.021 |
| **D | KAIROS INTERNATIONAL SICAV-ITALIA | 0 | 407.065 | 407.065 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 0 | 495.000 | 495.000 |
| **D | AMP SUPER FUND | 0 | 584.750 | 584.750 |
| **D | INVERSABADELL 70, FI | 0 | 20.850 | 20.850 |
| **D | RLA LISTED REAL ASSETS FUND | 0 | 1.906.639 | 1.906.639 |
| **D | AMERICAN HEART ASSOCIATION, INC. | 0 | 4.809 | 4.809 |
| **D | AZ FUND 1 AZ ALTERNATIVE SMART RISK PREMIA | 0 | 40.200 | 40.200 |
| **D | AZ FUND 1-AZ ALLOCATION-STRATEGICBALANCED CATHOLIC VALUES | 0 | 1.200 | 1.200 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND | 0 | 122.386 | 122.386 |
| **D | PHILADELPHIA GAS WORKS PENSION PLAN | 0 | 3.174 | 3.174 |
| **D | FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES |
0 | 149 | 149 |
| **D | AXA INSURANCE DESIGNATED ACTIVITY COMPANY | 0 | 41.023 | 41.023 |
| **D | KAIROS INTERNATIONAL SICAV-KEY | 0 | 730.000 | 730.000 |
| **D | FONSOLBANK FP | 0 | 17.555 | 17.555 |
| **D | BANSABADELL 2000 FP | 0 | 1.343 | 1.343 |
| **D | UNISUPER | 0 | 28.510 | 28.510 |
| **D | AAM S&P DEVELOPED MARKETS HIGH DIVIDEND VALUE ETF | 0 | 7.282 | 7.282 |
| **D | AXA-ARAG RECHTSSCHUTZ AG | 0 | 84.000 | 84.000 |
| **D | PACER TRENDPILOT INTERNATIONAL ETF | 0 | 18.642 | 18.642 |
| **D | PSVAG MASTERFONDS | 0 | 85.193 | 85.193 |
| **D | SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND | 0 | 956.872 | 956.872 |
| **D | SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 0 | 1.549.648 | 1.549.648 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) | 0 | 24.300 | 24.300 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) 195.612 |
0 | 195.612 | |
| **D | SIIT - WORLD SELECT EQUITY FUND |
0 | 3.202 | 3.202 |
| **D | ING DIRECT SICAV | 0 | 105.087 | 105.087 |
| **D | CREDIT SUISSE INDEX FUND (LUX) | 0 | 893.205 | 893.205 |
| **D | VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 0 | 2.030.984 | 2.030.984 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND | 0 | 2.842 | 2.842 |
| **D | MONDRIAN INTERNATIONAL VALUE EQUITY FUND | 0 | 5.142.429 | 5.142.429 |
| **D | MONDRIAN GLOBAL EQUITY VALUE FUND | 0 | 687.733 | 687.733 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 0 | 39.830 | 39.830 |
| **D | FIDELITY RETIREE HEALTH REIMBURSEMENT PLAN | 0 | 34.720 | 34.720 |
| **D | VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF |
0 | 123.028 | 123.028 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 0 | 29.636 | 29.636 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL QUALITY INDEX FUND | 0 | 625.297 | 625.297 |
| **D | MONDRIAN ALL COUNTRIES WORLD EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 2.665.063 | 2.665.063 |
| **D | NUVEEN TIAA INTERNATIONAL EQUITY INDEX FUND | 0 | 92.560 | 92.560 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND | 0 | 209.409 | 209.409 |
| **D | HESTA | 0 | 575.226 | 575.226 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD CIT | 0 | 167.713 | 167.713 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: TMA GLOBAL EQUITY INDEX MOTHER FUND | 0 | 50.123 | 50.123 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND | 0 | 50.074 | 50.074 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MORGAN STANLEY INFRASTRUCTURE STOCKS MOTHER FUND | 0 | 69.108 | 69.108 |
| **D | DEMOCRACY INTERNATIONAL FUND | 0 | 1.697 | 1.697 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 0 | 8.502 | 8.502 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND | 0 | 975 | 975 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 0 | 139.777 | 139.777 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 0 | 10.874 | 10.874 |
| **D | MONDRIAN GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 10.742 | 10.742 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND | 0 | 301.264 | 301.264 |
| **D | THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 0 | 368.704 | 368.704 |
| **D | MONDRIAN INTERNATIONAL EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 841.633 | 841.633 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND | 0 | 2.853.140 | 2.853.140 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD | 0 | 39.882 | 39.882 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD | 0 | 47.440 | 47.440 |
| **D | VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FTSE DEV EUR EX UK CCF |
0 | 52.238 | 52.238 |
| **D | VANGUARD FUNDS PUBLIC LIMITED COMPANY | 0 | 2.853.905 | 2.853.905 |
| **D | VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED EUROPE II CCF | 0 | 52.069 | 52.069 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND | 0 | 785.916 | 785.916 |
| **D | VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO | 0 | 41.217 | 41.217 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 0 | 751.618 | 751.618 |
| **D | BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND |
0 | 3.737.541 | 3.737.541 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE CIT | 0 | 47.345 | 47.345 |
| **D | NUVEEN GLOBAL INFRASTRUCTURE FUND | 0 | 1.782.007 | 1.782.007 |
| **D | BLACKROCK INDEX SELECTION FUND | 0 | 965.147 | 965.147 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
0 | 36.477 | 36.477 |
| **D | ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND |
0 | 2.476 | 2.476 |
| **D | FUNDACAO CALOUSTE GULBENKIAN | 0 | 1.452 | 1.452 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 0 | 124.878 | 124.878 |
| **D | UNICARE SAVINGS PLAN | 0 | 106.269 | 106.269 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DWS RREEF GLOBAL INFRASTRUCTURE FUND | 0 | 2.100.630 | 2.100.630 |
| **D | VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF | 0 | 56.714 | 56.714 |
| **D | SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
0 | 6.697 | 6.697 |
| **D | STATE OF WYOMING | 0 | 129.598 | 129.598 |
| **D | BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 0 | 48.561 | 48.561 |
| **D | BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 0 | 12.759.955 | 12.759.955 |
| **D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 0 | 17.627.736 | 17.627.736 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND - HEDGED |
0 | 5.369.428 | 5.369.428 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II | 0 | 15.192.572 | 15.192.572 |
| **D | MSCI EQUITY INDEX FUND B - ITALY (MSITB) |
0 | 730.417 | 730.417 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND V | 0 | 2.765 | 2.765 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND I | 0 | 750 | 750 |
| **D | ROBECO CAPITAL GROWTH FUNDS | 0 | 2.698.623 | 2.698.623 |
| **D | T. ROWE PRICE FUNDS SICAV | 0 | 70 | 70 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND III | 0 | 8.850 | 8.850 |
| **D | PROSHARES DJ BROOKFIELD GLOBAL INFRASTRUCTURE ETF | 0 | 240.649 | 240.649 |
| **D | MI-FONDS F47 | 0 | 22.089 | 22.089 |
| **D | MAIN I - UNIVERSAL - FONDS |
0 | 30.781 | 30.781 |
| **D | MOMENTUM GLOBAL FUNDS | 0 | 79.775 | 79.775 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400021974 | 0 | ||
| 25.906 | 25.906 | |||
| **D | FLEXSHARES DEVELOPED MARKETS EX - US QUALITY LOW VOLATILITY INDEX FUND |
0 | 35.730 | 35.730 |
| **D | SAS TRUSTEE CORPORATION POOLED FUND | 0 | 33.498 | 33.498 |
| **D | BLACKROCK FUNDS I ICAV | 0 | 24.051 | 24.051 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
0 | 17.085 | 17.085 |
| **D | GERANA SICAV-SIF, S.A. | 0 | 1.166.214 | 1.166.214 |
| **D | HC RENTE | 0 | 10.686 | 10.686 |
| **D | LVUI EQUITY EUROPE | 0 | 135.000 | 135.000 |
| **D | BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 0 | 47.547 | 47.547 |
| **D | CDN MSCI WORLD EX-CANADA MINIMUM VOLATILITY INDEX FUND | 0 | 52.643 | 52.643 |
| **D | MINE SUPERANNUATION FUND | 0 | 48.436 | 48.436 |
| **D | SBC MASTER PENSION TRUST | 0 | 293.247 | 293.247 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE ETF | 0 | 48.957 | 48.957 |
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 0 | 5.902.236 | 5.902.236 |
| **D | CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 0 | 39.595 | 39.595 |
| **D | BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 0 | 328.296 | 328.296 |
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
0 | 1.235.111 | 1.235.111 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND IV | 0 | 7.109 | 7.109 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO |
0 | 23.055 | 23.055 |
| **D | EARNEST INSTITUTIONAL LLC | 0 | 442 | 442 |
| **D | BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 0 | 3.637.917 | 3.637.917 |
| **D | JEFFREY LLC | 0 | 14.254 | 14.254 |
| **D | NFS LIMITED | 0 | 468.427 | 468.427 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ISHARES ALL-COUNTRY EQUITY INDEX FUND | 0 | 4.881 | 4.881 |
| **D | THRIFT SAVINGS PLAN | 0 | 9.510.996 | 9.510.996 |
| **D | UBS ASSET MANAGEMENT LIFE LTD | 0 | 573.875 | 573.875 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 0 | 136.005 | 136.005 |
| **D | STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 0 | 225.637 | 225.637 |
| **D | FRANKLIN CLEARBRIDGE SUSTAINABLE GLOBAL INFRASTRUCTURE INCOME FUND | 0 | 426.667 | 426.667 |
| **D | BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 8.457 | 8.457 |
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 0 | 13.651 | 13.651 |
| **D | ROBECO UMBRELLA FUND I N.V. | 0 | 392.086 | 392.086 |
| **D | BLACKROCK CDN GLOBAL INFRASTRUCTURE EQUITY INDEX FUND | 0 | 3.775.970 | 3.775.970 |
| **D | JNL INTERNATIONAL INDEX FUND | 0 | 289.549 | 289.549 |
| **D | BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 0 | 383.497 | 383.497 |
| **D | AVIVA LIFE & PENSIONS UK LIMITED | 0 | 287.910 | 287.910 |
| **D | MINISTRY OF ECONOMY AND FINANCE | 0 | 648.095 | 648.095 |
| **D | AVIVA LIFE & PENSIONS IRELAND DAC | 0 | 113.839 | 113.839 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND II | 0 | 4.937 | 4.937 |
| **D | ROBECO GLOBAL DEVELOPED MARKETS EQUITIES CIT | 0 | 32.377 | 32.377 |
| **D | MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 0 | 76.834 | 76.834 |
| **D | PCFG EQUITY FUND LTD | 0 | 14.542 | 14.542 |
| **D | QANTAS SUPERANNUATION LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN | 0 | 1.466 | 1.466 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 0 | 230.945 | 230.945 |
| **D | MAINSTAY EPOCH GLOBAL EQUITY YIELD FUND | 0 | 1.104.910 | 1.104.910 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI | 0 | ||
| 12.735 | 12.735 | |||
| **D | EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 0 | 31.418 | 31.418 |
| **D | MAINSTAY VP INCOME BUILDER PORTFOLIO | 0 | 437.751 | 437.751 |
| **D | KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 0 | 267.088 | 267.088 |
| **D | UBS FTSE RAFI DEVELOPED 1000 INDEX FUND | 0 | 33.883 | 33.883 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL MULTIFACTOR | 0 | 308.704 | 308.704 |
| **D | VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 0 | 80.786 | 80.786 |
| **D | BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 25.938 | 25.938 |
| **D | MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 0 | 136.571 | 136.571 |
| **D | NORDEA GLOBAL PASSIVE FUND | 0 | 80.868 | 80.868 |
| **D | INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC | 0 | 13.371 | 13.371 |
| **D | FORD PENSION UNIVERSAL | 0 | 7.355 | 7.355 |
| **D | DEKA VALUE PLUS | 0 | 585.459 | 585.459 |
| **D | INTECH INTERNATIONAL LARGE CAP CORE FUND LLC | 0 | 13.582 | 13.582 |
| **D | MAGELLAN WHOLESALE PLUS INFRASTRUCTURE FUND | 0 | 226.843 | 226.843 |
| **D | UBS MSCI WORLD MINIMUM VOLATILITY INDEX FUND | 0 | 81.081 | 81.081 |
| **D | AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND | 0 | 32.830 | 32.830 |
| **D | FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND | 0 | 1.626.300 | 1.626.300 |
| **D | ISHARES WORLD EQUITY FACTOR ETF | 0 | 29.310 | 29.310 |
| **D | FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 0 | 11.280 | 11.280 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SANTANDER SICAV | 0 | 28.782 | 28.782 |
| **D | AUSTRALIANSUPER | 0 | 1.635.509 | 1.635.509 |
| **D | THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT TRUST | 0 | 1.902.448 | 1.902.448 |
| **D | UNIVERSITIES SUPERANNUATION SCHEME | 0 | 987.034 | 987.034 |
| **D | STELLAR INSURANCE, LTD. | 0 | 80.119 | 80.119 |
| **D | MAIN VI-UNIVERSAL-FONDS | 0 | 3.778 | 3.778 |
| **D | MAINSTAY INCOME BUILDER FUND | 0 | 901.153 | 901.153 |
| **D | ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 0 | 9.781 | 9.781 |
| **D | BLACKROCK CDN WORLD INDEX FUND | 0 | 174.598 | 174.598 |
| **D | VGV POOLFONDS PA1 | 0 | 55.486 | 55.486 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400025501 | 0 | ||
| 26.645 | 26.645 | |||
| **D | VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 0 | 46.169 | 46.169 |
| **D | FOVERUKA PENSION UNIVERSAL | 0 | 31.756 | 31.756 |
| **D | VERDIPAPIRFONDET EQUINOR AKSJER EUROPA | 0 | 109.500 | 109.500 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS - AKKUMULERENDE KL |
0 | 47.447 | 47.447 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA PENSION - AKTIER |
0 | 2.147.265 | 2.147.265 |
| **D | SIEMENS-FONDS SIEMENS-RENTE | 0 | 220.991 | 220.991 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE KL | 0 | 470.020 | 470.020 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND |
0 | 311.724 | 311.724 |
| **D | DANSKE INVEST SICAV | 0 | 490.167 | 490.167 |
| **D | NEW YORK STATE COMMON RETIREMENT FUND | 0 | 13.300.786 | 13.300.786 |
| **D | MI-FONDS 384 | 0 | 26.576 | 26.576 |
| **D | MACQUARIE TRUE INDEX GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 1.435.611 | 1.435.611 |
| **D | NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 0 | 151.529 | 151.529 |
| **D | STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS | 0 | 31.728 | 31.728 |
| **D | JPMORGAN INVESTMENT FUNDS | 0 | 825.313 | 825.313 |
| **D | JPMORGAN CHASE RETIREMENT PLAN | 0 | 620.138 | 620.138 |
| **D | BOOKOUT INTERESTS LTD E LB HOLDINGS 1 LLC | 0 | 2.454 | 2.454 |
| **D | ISHARES CORE FTSE GLOBAL INFRASTRUCTURE (AUD HEDGED) ETF | 0 | 305.744 | 305.744 |
| **D | BIL-UNIVERSAL-FONDS | 0 | 184.294 | 184.294 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKUMULERENDE KL |
0 | 330.459 | 330.459 |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL | 0 | 15.696 | 15.696 |
| **D | OB 2 | 0 | 12.796 | 12.796 |
| **D | CHURCH COMMISSIONERS FOR ENGLAND | 0 | 22.585 | 22.585 |
| **D | BLACKROCK GLOBAL ALLOCATION V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC | 0 | 111.077 | 111.077 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 | 0 | 8.186 | 8.186 |
| **D | TRINITY COLLEGE CAMBRIDGE | 0 | 36.735 | 36.735 |
| **D | EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
0 | 50.504 | 50.504 |
| **D | TELSTRA SUPERANNUATION SCHEME | 0 | 1.258.851 | 1.258.851 |
| **D | NATIONWIDE INTERNATIONAL INDEX FUND | 0 | 113.356 | 113.356 |
| **D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 0 | 751.456 | 751.456 |
| **D | EMBO-FONDS | 0 | 53.071 | 53.071 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge Ragione Sociale Proprio D IRR K LLC D EPOCH GLOBAL EQUITY SHAREHOLDER YIELD (UNHEDGED) FUND D STRATEGIC INFRASTRUCTURE FUND D VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS |
Delega 0 19.778 0 1.883.522 0 221.547 0 209.073 0 881.368 |
Totale 19.778 1.883.522 221.547 209.073 |
|---|---|---|
| **D FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUND |
881.368 | |
| **D VANGUARD GLOBAL INFRASTRUCTURE INDEX FUND |
0 1.150.249 |
1.150.249 |
| **D BLACKROCK GLOBAL ALLOCATION FUND (AUST) |
0 5.587 |
5.587 |
| **D EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 136.252 |
136.252 |
| **D EPS |
0 28.530 |
28.530 |
| **D EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
0 73.519 |
73.519 |
| **D BLACKROCK GLOBAL ALLOCATION PORTFOLIO OF BLACKROCK SERIES FUND, INC. |
0 3.584 |
3.584 |
| **D STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER TRUST |
0 95.607 |
95.607 |
| **D FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
0 32.042 |
32.042 |
| **D T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND |
0 107.394 |
107.394 |
| **D 1934 GLOBAL INVESTMENT FUND LP |
0 68.504 |
68.504 |
| **D F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC |
0 5.802 |
5.802 |
| **D TEACHERS RETIREMENT SYSTEM OF GEORGIA |
0 14.924.710 |
14.924.710 |
| **D FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND |
0 117.338 |
117.338 |
| **D CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF |
0 13.160 |
13.160 |
| **D EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 209.139 |
209.139 |
| **D GOVERNMENT INSTITUTIONS PENSION FUND |
0 604.310 |
604.310 |
| **D SHINKO GLOBAL EQUITY INDEX MOTHER FUND |
0 307 |
307 |
| **D COHEN & STEERS REAL ASSETS MULTI-STRATEGY FUND |
0 101.492 |
101.492 |
| **D FISHER INSTITUTIONAL INTERNATIONAL EQUITY FUND |
0 902.337 |
902.337 |
| **D DANSKE INVEST EUROPE HIGH DIVIDEND FUND |
0 109.297 |
109.297 |
| **D BANCO CENTRAL DE TIMOR-LESTE (BCTL) |
0 178.596 |
178.596 |
| **D ISHARES CORE MSCI WORLD EX AUSTRALIA ESG ETF |
0 41.686 |
41.686 |
| **D THE PUBLIC INSTITUTION FOR SOCIAL SECURITY |
0 1.950.351 |
1.950.351 |
| **D SIJOITUSRAHASTO UB INFRA |
0 201.000 |
201.000 |
| **D CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND UNHEDGED |
0 531.320 |
531.320 |
| **D KATHERINE C MOORE CHARITABLE LEAD ANNUIT |
0 1.914 |
1.914 |
| **D VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
0 2.150.013 |
2.150.013 |
| **D LVUI EQUITY WORLD EX EUROPE |
0 6.758 |
6.758 |
| **D KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED |
0 553.068 |
553.068 |
| **D BLACKROCK INSTITUTIONAL POOLED FUNDS PLC |
0 61.898 |
61.898 |
| **D TF-EQUITY |
0 207.203 |
207.203 |
| **D DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) |
0 5.875 |
5.875 |
| **D MACQUARIE MULTI-FACTOR FUND |
0 23.521 |
23.521 |
| **D FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND |
0 187.648 |
187.648 |
| **D BRUNEI SHELL RETIREMENT BENEFIT FUND |
0 1.967 |
1.967 |
| **D MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND (UNHEDGED) |
0 875.358 |
875.358 |
| **D EQUITABLE FINANCIAL LIFE INSURANCE COMPANY |
0 12.357 |
12.357 |
| **D MACQUARIE INTERNATIONAL EQUITIES FUND |
0 48.533 |
48.533 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS BNP KL | 0 | 23.521 | 23.521 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS KL | 0 | 65.509 | 65.509 |
| **D | VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 0 | 104.851 | 104.851 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE | 0 | ||
| 317.518 | 317.518 | |||
| **D | FORSTA AP - FONDEN |
0 | 563.024 | 563.024 |
| **D | EQUINOR PENSJON | 0 | 100.000 | 100.000 |
| **D | JNL/BLACKROCK GLOBAL ALLOCATION FUND | 0 | 71.024 | 71.024 |
| **D | WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 0 | 3.516 | 3.516 |
| **D | VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 0 | 31.377.565 | 31.377.565 |
| **D | STRATEGIC INTERNATIONAL EQUITY FUND | 0 | 33.929 | 33.929 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER |
0 | 84.740 | 84.740 |
| **D | SAMPENSION LIVSFORSIKRING A/S | 0 | 1.039.130 | 1.039.130 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS KL | 0 | 136.958 | 136.958 |
| **D | ALASKA COMMON TRUST FUND | 0 | 68.653 | 68.653 |
| **D | VERDIPAPIRFONDET KRON INDEKS GLOBAL | 0 | 46.466 | 46.466 |
| **D | MORGAN STANLEY INVESTMENT FUNDS | 0 | 1.349.039 | 1.349.039 |
| **D | CARE SUPER | 0 | 32.739 | 32.739 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE INDEX FUND | 0 | 483 | 483 |
| **D | ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 0 | 247.348 | 247.348 |
| **D | NORDEA EUROPEAN PASSIVE FUND | 0 | 35.233 | 35.233 |
| **D | INVESTERINGSFORENINGEN BANKINVEST, BIX GLOBALE AKTIER ESG UNIVERSAL KL | 0 | 55.843 | 55.843 |
| **D | UI-FONDS BAV RBI AKTIEN | 0 | 246.373 | 246.373 |
| **D | NVIT INTERNATIONAL INDEX FUND | 0 | 171.556 | 171.556 |
| **D | SALT SUSTAINABLE GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.250 | 59.250 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 0 | 2.843.412 | 2.843.412 |
| **D | FOREIGN STOCK INDEX MOTHER FUND | 0 | 108.265 | 108.265 |
| **D | FUJIFILM BUSINESS INNOVATION CORP. | 0 | 402.100 | 402.100 |
| **D | COHEN & STEERS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 668.603 | 668.603 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG (AUD HEDGED) ETF | 0 | 17.730 | 17.730 |
| **D | FINREON WORLD EQUITY MULTI PREMIA DEFENSIVE PENSION CREDIT SUISSE FUNDS AG | 0 | 26.676 | 26.676 |
| **D | PK CSG WORLD EQUITY CREDIT SUISSE FUNDS AG | 0 | 63.497 | 63.497 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS CREDIT SUISSE FUNDS AG | 0 | 1.342.740 | 1.342.740 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND CREDIT SUISSE FUNDS AG | 0 | 183.310 | 183.310 |
| **D | CSIF CH EQUITY EUROPE EX CH BLUE CREDIT SUISSE FUNDS AG | 0 | 33.034 | 33.034 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS AG | 0 | 654.090 | 654.090 |
| **D | IPAC INCOME GENERATOR | 0 | 10.346 | 10.346 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - CARBON TRANSITION GLOBAL EQUITY (CTB) UCITS ETF |
0 | 169.664 | 169.664 |
| **D | RLA INTERNATIONAL EQUITIES FUND | 0 | 59.483 | 59.483 |
| **D | GIM SPECIALIST INVESTMENT FUNDS - GIM GL RESEARCH ENHNCD INX MIN VLTY EQTY FD |
0 | 37.976 | 37.976 |
| **D | JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 0 | 518.097 | 518.097 |
| **D | JPMORGAN INCOME BUILDER FUND | 0 | 490.122 | 490.122 |
| **D | JPMORGAN GLOBAL CORE REAL ASSETS LIMITED | 0 | 23.789 | 23.789 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| D JPMORGAN FUND ICVC - JPM EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND 0 14.411 D JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY PREMIUM INCOME UCITS ETF 0 11.997 D ONEPATH GLOBAL SHARES - GLOBAL INFRASTRUCTURE (HEDGED) INDEX POOL 0 243.846 D JPMORGAN BETABUILDERS EUROPE ETF 0 1.538.646 D JPMORGAN GLOBAL ALLOCATION FUND 0 7.252 D THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400031129 0 8.233 D ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL 0 178.956 D JPMORGAN FUND ICVC - JPM MULTI-ASSET INCOME FUND 0 15.923 D JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY MULTI-FACTOR UCITS ETF 0 67.477 D COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. 0 1.045.237 D AQR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL TRADING 0 81.753 D CSIF 2 C SUISSE LUX THEMATIC OPPORTUNITIES EQUITY FUND 0 198.805 D CSIF2 CS LUX ENERGY EVOLUTION EQUITY FUND 0 72.000 D BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND PENSION CREDIT SUISSE FUNDS AG 0 33.514 D CSIF4 CREDIT SUISSE LUX GLOBAL HIGH INCOME FUND USD 0 50.280 D CSIF CH III EQUITY WORLD EX CH CLIMATE CHANGE BLUE PENSION FUND PLUS CREDIT SUISSE FUNDS AG 0 232 D FINREON WORLD EQUITY ECONOMIC EXPOSURE PENSION CREDIT SUISSE FUNDS AG 0 24.991 D CSIF CH III EQUITY WORLD EX CH VALUE WEIGHTED PENSION FUND CREDIT SUISSE FUNDS AG 0 6.578 D PROFOND UMBRELLA AKTIEN AUSLAND MINIMUM VOLATILITY CREDIT SUISSE FUNDS AG 0 78.480 D CSIF CH III EQUITY WORLD EX CH MINIMUM VOLATILITY PF CREDIT SUISSE FUNDS AG 0 121.468 D CSIF CH EQUITY EMU CREDIT SUISSE FUNDS AG 0 79.349 D AMUNDI HK PORTFOLIOS 0 267.461 D HELSANA AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL DUEBENDORF 0 7.888 D BEST INVESTMENT CORPORATION 0 573.094 D HELSANA UNFALL AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF 0 5.505 D AMUNDI HK - GREEN PLANET FUND 0 155.632 D THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED DAILY RATED EMPLOYEES RETIREMENT FUND SCHEME 0 14.468 D HELSANA VERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF 0 5.980 D VITASOY INTERNATIONAL HOLDINGS LIMITED DEFINED BENEFIT SCHEME 0 2.277 D HELSANA ZUSATZVERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF 0 12.305 D JPM MULTI INCOME FUND 0 320.628 D TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 10 0 80.006 D HSBC POOLED INVESTMENT FUND - HSBC POOLED GLOBAL EQUITY FUND 0 244.688 D TAIPEI FUBON COMERCIAL BANK LTD 0 230.000 D JPMORGAN MULTI BALANCED FUND 0 13.700 D MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED 0 376.525 D TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 0 6.628 D TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 0 11.945 **D AVIVA LIFE AND PENSIONS UK LIMITED 0 20.588 |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| 14.411 | |||||
| 11.997 | |||||
| 243.846 | |||||
| 1.538.646 | |||||
| 7.252 | |||||
| 8.233 | |||||
| 178.956 | |||||
| 15.923 | |||||
| 67.477 | |||||
| 1.045.237 | |||||
| 81.753 | |||||
| 198.805 | |||||
| 72.000 | |||||
| 33.514 | |||||
| 50.280 | |||||
| 232 | |||||
| 24.991 | |||||
| 6.578 | |||||
| 78.480 | |||||
| 121.468 | |||||
| 79.349 | |||||
| 267.461 | |||||
| 7.888 | |||||
| 573.094 | |||||
| 5.505 | |||||
| 155.632 | |||||
| 14.468 | |||||
| 5.980 | |||||
| 2.277 | |||||
| 12.305 | |||||
| 320.628 | |||||
| 80.006 | |||||
| 244.688 | |||||
| 230.000 | |||||
| 13.700 | |||||
| 376.525 | |||||
| 6.628 | |||||
| 11.945 | |||||
| 20.588 | |||||
| **D | CIVIL SERVICE EMPLOYEES PENSION FUND | 0 | 23.014 | 23.014 | |
| **D AXA INSURANCE UK PLC 0 63.030 |
63.030 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | HSBC POOLED INVESTMENT FUND | 0 | 25.743 | 25.743 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX FUND |
0 | 147.872 | 147.872 |
| **D | AIA GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 20.478 | 20.478 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 | 0 | 132.696 | 132.696 |
| **D | REASSURE LIMITED | 0 | 638.648 | 638.648 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
0 | 67.363 | 67.363 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND |
0 | 255.852 | 255.852 |
| **D | AMUNDI ETF ICAV | 0 | 58.597 | 58.597 |
| **D | WESLEYAN AUTHORISED UNIT TRUST - WESLEYAN LOW RISK/REWARD GROWTH FUND |
0 | 48.071 | 48.071 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL EUROPEAN EQUITY INDEX FUND |
0 | 276.472 | 276.472 |
| **D | LAZARD FRERES BANQUE SA | 0 | 268.170 | 268.170 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 30:70 GLOBAL EQUITY (CURRENCY HEDGED) INDEX FUND |
0 | 21.168 | 21.168 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 60:40 GLOBAL EQUITY INDEX FUND |
0 | 67.755 | 67.755 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED WORLD EX UK EQUITY INDEX FUND |
0 | 11.621 | 11.621 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 50:50 GLOBAL EQUITY INDEX FUND |
0 | 207.334 | 207.334 |
| **D | ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
0 | 200.616 | 200.616 |
| **D | INVESTMENT FUND SERVICES LIMITED | 0 | 10.711 | 10.711 |
| **D | AMUNDI ETF ICAV - AMUNDI S&P GLOBAL UTILITIES ESG UCITS ETF |
0 | 164.696 | 164.696 |
| **D | AVIVA INVESTORS UK FUND SERVICES LIMITED | 0 | 223.329 | 223.329 |
| **D | AMUNDI ETF ICAV - AMUNDI SANDP 500 EQUAL WEIGHT ESG LEADERS UCITS ETF |
0 | 8.916 | 8.916 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND |
0 | 1.340.862 | 1.340.862 |
| **D | AXA PPP HEALTHCARE LIMITED | 0 | 27.810 | 27.810 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 0 | 431.477 | 431.477 |
| **D | THE PRUDENTIAL ASSURANCE COMPANY LIMITED | 0 | 2.022 | 2.022 |
| **D | RATHBONE ACTIVE INCOME AND GROWTH FUND | 0 | 270.209 | 270.209 |
| **D | HSBC GLOBAL INVESTMENT FUNDS | 0 | 65.689 | 65.689 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD UCITS ETF |
0 | 352.337 | 352.337 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF |
0 | 35.794 | 35.794 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 0 | 626.959 | 626.959 |
| **D | SCHWEIZERISCHE MOBILIAR ASSET MANAGEMENT AG | 0 | 350.500 | 350.500 |
| **D | BLKB EQUITY SWITZERLAND FOCUS | 0 | 1.458.437 | 1.458.437 |
| **D | AMUNDI DEUTSCHLAND GMBH | 0 | 215.011 | 215.011 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH | 0 | 248.639 | 248.639 |
| **D | IF IST - GLOBE INDEX |
0 | 70.420 | 70.420 |
| **D | IF IST - AKTIEN WELT |
0 | 63.086 | 63.086 |
| **D | VERTI VERSICHERUNG AG | 0 | 173.608 | 173.608 |
| **D | VERTI ASSICURAZIONI SPA | 0 | 101.033 | 101.033 |
| **D | CERVURITEINTERNATIONALLLC | 0 | 20.155 | 20.155 |
| **D | UNIGEST, S.G.I.I.C., S.A.U. | 0 | 167.601 | 167.601 |
| **D | NANCY AND CLARKGIBBS LIVINGTRUST | 0 | 91 | 91 |
| **D | VIDACAIXA, S.A. | 0 | 831.838 | 831.838 |
| **D | INVESTERINGSFORENINGEN BANKINVEST BORSNOTEREDE ALTERNATIVER | 0 | 32.143 | 32.143 |
| **D | HYDRO ONE PENSION PLAN | 0 | 1.252.700 | 1.252.700 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BMO CANADA PENSION PLAN | 0 | 731.034 | 731.034 |
| **D | IMCO GLOBAL PUBLIC EQUITY LP | 0 | 3.621.929 | 3.621.929 |
| **D | STATE OF WISCONSIN INVESTMENT BOARD | 0 | 8.436 | 8.436 |
| **D | AUTORIDADE MONETARIA DE MACAU | 0 | 37.052 | 37.052 |
| **D | SUBSIDIZED SCHOOLS PROVIDENT FUND | 0 | 94.146 | 94.146 |
| **D | WILLIS TOWERS WATSON GROUP TRUST | 0 | 37.204 | 37.204 |
| **D | CARGILL INC AND ASSOCIATED COMPANIES MASTER PENSION TRUST | 0 | 117.840 | 117.840 |
| **D | KAPITALFORENINGEN INVESTIN PRO LOW RISK EQUITIES II | 0 | 19.689 | 19.689 |
| **D | KAPITALFORENINGEN INVESTIN PRO ACADIAN GLOBAL VALUE | 0 | 56.718 | 56.718 |
| **D | BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 0 | 85.883 | 85.883 |
| **D | NEUALT LLC | 0 | 108.312 | 108.312 |
| **D | INVESCO MARKETS II PLC | 0 | 64.769 | 64.769 |
| **D | LEGAL AND GENERAL UCITS ETF PLC | 0 | 80.623 | 80.623 |
| **D | MACQUARIE MANAGEMENT HOLDINGS INC | 0 | 16.237 | 16.237 |
| **D | KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 0 | 121.443 | 121.443 |
| **D | VANGUARD FTSE ALL WORLD EX US INDEX FUND | 0 | 4.555.689 | 4.555.689 |
| **D | VANGUARD EUROPEAN STOCK INDEX FUND | 0 | 4.682.570 | 4.682.570 |
| **D | GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA TOTAL INTERNATIONAL EQUITY ETF | 0 | 34.275 | 34.275 |
| **D | CENTRAL PENSION FUND OF THE INT UNION OF OPERATING ENGINEERS AND PARTICIPATING EMPLOYERS | 0 | 201.970 | 201.970 |
| **D | RIVER PARTNERS GLOBAL EQUITY LLC | 0 | 2.349 | 2.349 |
| **D | MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 0 | 22.097 | 22.097 |
| **D | MCGILL UNIVERSITY PENSION PLAN | 0 | 9.239 | 9.239 |
| **D | TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 0 | 9.781 | 9.781 |
| **D | VOYA VACS INDEX SERIES I PORTFOLIO | 0 | 189.877 | 189.877 |
| **D | PURPOSE INTERNATIONAL DIVIDEND FUND | 0 | 41.248 | 41.248 |
| **D | DANMARKS GRUNDFORSKNINGFOND | 0 | 5.850 | 5.850 |
| **D | CONSOLIDATED EDISON RETIREMENT PLAN | 0 | 43.841 | 43.841 |
| **D | HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 15.440 | 15.440 |
| **D | ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 13.414 | 13.414 |
| **D | BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 0 | 30.975 | 30.975 |
| **D | GENERAL MILLS GROUP TRUST | 0 | 168.471 | 168.471 |
| **D | WILSHIRE SOLUTIONS FUNDS TRUST | 0 | 20.789 | 20.789 |
| **D | POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 0 | 2.622 | 2.622 |
| **D | CERVURITE INTERNATIONAL LLC | 0 | 41.669 | 41.669 |
| **D | MASTERS I LLC | 0 | 8.221 | 8.221 |
| **D | DEUTSCHE DCG EQ | 0 | 7.555 | 7.555 |
| **D | NORTH CAROLINA SUPPLEMENTAL RETIREMENT PLANS GROUP TRUST | 0 | 5.950.778 | 5.950.778 |
| **D | DREXEL UNIVERSITY | 0 | 50.616 | 50.616 |
| **D | THE ACADEMY OF NATURAL SCIENCES OF PHILADELPHIA | 0 | 4.986 | 4.986 |
| **D | MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 0 | 51.264 | 51.264 |
| **D | CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATING | 0 | 46.102 | 46.102 |
| **D | THE COMMONWEALTH FUND | 0 | 2.171 | 2.171 |
| **D | CITW FUND LP | 0 | 2.384 | 2.384 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL | 0 | 33.460 | 33.460 |
| **D | MOTHER CABRINI HEALTH FOUNDATION INC | 0 | 91.901 | 91.901 |
| **D | FLORIDA GLOBAL EQUITY FUND LLC | 0 | 27.258 | 27.258 |
| **D | GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO | 0 | 40.289 | 40.289 |
| **D | WILMINGTON GLOBAL ALPHA EQUITIES FUND | 0 | 14.677 | 14.677 |
| **D | TEXAS UTILITIES QUAL NDT PARTNERSHIP | 0 | 9.239 | 9.239 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS ZDV EVO | 0 | 6.757 | 6.757 |
| **D | TD EMERALD LOW CARBON GLOBAL EQUITY INDEX POOLED FUND TRUST | 0 | 15.934 | 15.934 |
| **D | THE PENSION FUND SOCIETY OF THE TORONTO DOMINIONBANK | 0 | 215.272 | 215.272 |
| **D | TD PENSION PLAN CANADA | 0 | 98.968 | 98.968 |
| **D | TD INTERNATIONAL EQUITY INDEX ETF | 0 | 132.440 | 132.440 |
| **D | TD Q INTERNATIONAL LOW VOLATILITY ETF | 0 | 10.670 | 10.670 |
| **D | TD EUROPEAN INDEX FUND | 0 | 12.227 | 12.227 |
| **D | TD GLOBAL LOW VOLATILITY FUND | 0 | 183.501 | 183.501 |
| **D | TD GLOBAL SHAREHOLDER YIELD FUND | 0 | 871.910 | 871.910 |
| **D | TD EMERALD LOW CARBON LOW VOLATILITY GLOBALEQUITY PFT | 0 | 4.010 | 4.010 |
| **D | TD EMERALD INTERNATIONAL EQUITY INDEX FUND | 0 | 392.433 | 392.433 |
| **D | TD EMERALD LOW VOLATILITY GLOBAL EQUITY POOLEDFUND TRUST | 0 | 51.770 | 51.770 |
| **D | TD EMERALD GLOBAL EQUITY SHARE HOLDER YIELD POOLEDFUND TRUST | 0 | 707.488 | 707.488 |
| **D | TD EMERALD LOW VOLATILITY GLBL EQTY NON-TAXABLEINVESTOR PFT | 0 | 135.222 | 135.222 |
| **D | MARGUERITE CASEY FOUNDATION | 0 | 1.859 | 1.859 |
| **D | WINDWISE MSCI EAFE INDEX NON LENDING | 0 | 55.608 | 55.608 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 0 | 412.804 | 412.804 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN | 0 | 942.248 | 942.248 |
| **D | BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 0 | 159.896 | 159.896 |
| **D | BLACKROCK FUND MANAGERS LTD | 0 | 1.441.616 | 1.441.616 |
| **D | NATIONAL BANK FINANCIAL INC | 0 | 1.378.632 | 1.378.632 |
| **D | PUBLIC SERVICE ELECTRIC AND GAS NON QUALIFIED TRUST | 0 | 631.763 | 631.763 |
| **D | KAPITALFORENINGEN INVESTIN PRO VELLIV WORLD EQUITY INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS | 0 | 1.399.893 | 1.399.893 |
| **D | THE GOLDMAN SACHS FOUNDATION | 0 | 61.690 | 61.690 |
| **D | THE UNIVERSITY COURT OF THE UNIVERSITY OF GLASGOW | 0 | 15.568 | 15.568 |
| **D | TEXAS PERMANENT SCHOOL FUND CORP | 0 | 207.300 | 207.300 |
| **D | ARIZONA STATE RETIREMENT SYSTEM | 0 | 598.766 | 598.766 |
| **D | 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 0 | 2.009 | 2.009 |
| **D | RICHARD KING MELLON FDN | 0 | 538.369 | 538.369 |
| **D | R K MELLON INTERNATIONAL FUND | 0 | 310.659 | 310.659 |
| **D | SANTA BARBARA COUNTY EMPLOYEES RETIREMENT SYSTEM | 0 | 104.852 | 104.852 |
| **D | RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST | 0 | 3.481.252 | 3.481.252 |
| **D | COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS | 0 | 14.344 | 14.344 |
| **D | IMPERIAL INTERNATIONAL EQUITY POOL | 0 | 72.512 | 72.512 |
| **D | CIBC INTERNATIONAL EQUITY INDEX ETF | 0 | 4.000 | 4.000 |
| **D | CIBC QX INTERNATIONAL LOW VOLATILITY DIVIDEND ETF | 0 | 3.211 | 3.211 |
| **D | CIBC INTERNATIONAL INDEX FUND | 0 | 97.414 | 97.414 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CIBC EUROPEAN INDEX FUND | 0 | 9.701 | 9.701 |
| **D | CIBC INTERNATIONAL EQUITY INDEX POOL | 0 | 3.041 | 3.041 |
| **D | BNY MELLON INTERNATIONAL EQUITY ETF | 0 | 63.464 | 63.464 |
| **D | XTRACKERS MSCI KOKUSAI EQUITY ETF | 0 | 18.569 | 18.569 |
| **D | PITTSBURGH THEOLOGICAL SEMINARY OF THE PRESBYTERIAN CHURCH | 0 | 11.756 | 11.756 |
| **D | WELLS FARGO AND COMPANY CASH BALANCE PLAN | 0 | 571.934 | 571.934 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA VALUE KL | 0 | 33.176 | 33.176 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL | 0 | 54.341 | 54.341 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 0 | 163.084 | 163.084 |
| **D | THE ESB PENSION FUND | 0 | 201.462 | 201.462 |
| **D | FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD | 0 | 9.729.162 | 9.729.162 |
| **D | XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 0 | 11.803 | 11.803 |
| **D | AIB GROUP IRISH PENSION SCHEME | 0 | 107.477 | 107.477 |
| **D | BANK OF KOREA | 0 | 5 | 5 |
| **D | LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 0 | 948 | 948 |
| **D | SIEMENS EMU EQUITIES | 0 | 195.880 | 195.880 |
| **D | KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 0 | 30.417 | 30.417 |
| **D | THE GREAT EASTERN LIFE ASSURANCE COMPANY LIMITED | 0 | 8.770 | 8.770 |
| **D | RARE GLOBAL INFRASTRUCTURE VALUE FUND | 0 | 734.247 | 734.247 |
| **D | INVESTERINGSFORENINGEN NYKREDIT INVEST GLOBALE AKTIER BASIS | 0 | 16.527 | 16.527 |
| **D | INVESCO MARKETS III PLC | 0 | 2.133 | 2.133 |
| **D | INVESCO FTSE RAFI EMERGING MARKETS UCITS ETF | 0 | 118.547 | 118.547 |
| **D | INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 0 | 230.957 | 230.957 |
| **D | GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 0 | 40.625 | 40.625 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHILDERS AFW ERKINGS ENGLASZETBEDRIJF | 0 | 13.611 | 13.611 |
| **D | BLACKROCK LIFE LIMITED | 0 | 13.202 | 13.202 |
| **D | FIRST TRUST STOXX EUROPEAN SELECT DIVIDEND INDEX FUND | 0 | 824.925 | 824.925 |
| **D | PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST | 0 | 83.448 | 83.448 |
| **D | GREAT WEST INTERNATIONAL INDEX FUND | 0 | 217.140 | 217.140 |
| **D | MUNICIPAL EMPLOYEES PENSION PLAN | 0 | 140.556 | 140.556 |
| **D | UNIVERSITY OF NOTRE DAME DU LAC | 0 | 45.412 | 45.412 |
| **D | MACQUARIE FIRST TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID | 0 | 809.284 | 809.284 |
| **D | ISHARES VII PUBLIC LIMITED COMPANY | 0 | 188.183 | 188.183 |
| **D | PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 0 | 137.656 | 137.656 |
| **D | THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 0 | 1.484.844 | 1.484.844 |
| **D | INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 0 | 34.010 | 34.010 |
| **D | LF MACQUARIE GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 972.410 | 972.410 |
| **D | PRINCIPAL FUNDS INC OVERSEAS FUND | 0 | 62.336 | 62.336 |
| **D | STANLIB FUNDS LIMITED | 0 | 904 | 904 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 0 | 87.467 | 87.467 |
| **D | TEXAS PERMANENT SCHOOL FUND CORPORATION | 0 | 642.892 | 642.892 |
| **D | ABB PENSION FUND | 0 | 1.772 | 1.772 |
| **D | INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 0 | 3.203 | 3.203 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND | 0 | 254.669 | 254.669 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 0 | 240.655 | 240.655 |
| **D | IMPERIAL GLOBAL EQUITY INCOME POOL | 0 | 50.306 | 50.306 |
| **D | IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 0 | 83.081 | 83.081 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 0 | 342.040 | 342.040 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | 0 | 1.646 | 1.646 |
| **D | BLACKROCK GLOBAL FUNDS | 0 | 630.583 | 630.583 |
| **D | XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 0 | 12.693 | 12.693 |
| **D | CANADA LIFE DIVERSIFIED REAL ASSETS FUND | 0 | 35.307 | 35.307 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 0 | 2.611 | 2.611 |
| **D | VOYA INTERNATIONAL INDEX PORTFOLIO | 0 | 136.776 | 136.776 |
| **D | COUNSEL DEFENSIVE GLOBAL EQUITY | 0 | 3.192 | 3.192 |
| **D | NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POWER PLANT | 0 | 3.546 | |
| 3.546 | ||||
| **D | ARIZONA PSPRS TRUST | 0 | 279.283 | 279.283 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 0 | 272.518 | 272.518 |
| **D | SEMPRA ENERGY PENSION MASTER TRUST | 0 | 18.098 | 18.098 |
| **D | DELAWARE GLOBAL LISTED REAL ASSETS FUND | 0 | 219.123 | 219.123 |
| **D | KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 0 | 10.488 | 10.488 |
| **D | BLACKROCK LIFE LTD | 0 | 551.132 | 551.132 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 3.724.077 | 3.724.077 |
| **D | XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 0 | 96.239 | 96.239 |
| **D | THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 0 | 2.588.006 | 2.588.006 |
| **D | STANDARD BANK OF SOUTH AFRICA LTD | 0 | 25.687 | 25.687 |
| **D | FARMERS GROUP INC 401 K SAVINGS PLAN | 0 | 1.281.614 | 1.281.614 |
| **D | XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 0 | 665.720 | 665.720 |
| **D | MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 0 | 74.878 | 74.878 |
| **D | XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 0 | 9.785 | 9.785 |
| **D | MACK EAFE EQUITY POOL | 0 | 51.638 | 51.638 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 123.074 | 123.074 |
| **D | FEDERATED HERMES INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND | 0 | 3.703.925 | 3.703.925 |
| **D | FEDERATED HERMES INTERNATIONAL DIVIDEND STRATEGY PORTFOLIO | 0 | 818.200 | 818.200 |
| **D | FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 0 | 5.832.158 | 5.832.158 |
| **D | CITIGROUP PENSION PLAN | 0 | 194.371 | 194.371 |
| **D | BNY MELLON INTERNATIONAL STOCK INDEX FUND | 0 | 40.181 | 40.181 |
| **D | MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 0 | 7.869 | 7.869 |
| **D | GLOBAL X MSCI SUPERDIVIDEND EAFE ETF | 0 | 38.560 | 38.560 |
| **D | GLOBAL X SANDP CATHOLIC VALUES DEVELOPED EX US ETF | 0 | 2.487 | 2.487 |
| **D | UPSTREAMCO PENSION TRUST | 0 | 53.720 | 53.720 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT | 0 | 94.275 | 94.275 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT GMBH | 0 | 59.049 | 59.049 |
| **D | INVESCO S AND P INTERNATIONAL DEVELOPED LOW VOLATILITY ETF | 0 | 415.026 | 415.026 |
| **D | FIRST TRUST HORIZON MANAGED VOLATILITY DEVELOPED INTERNATIONAL ETF | 0 | 26.340 | 26.340 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | VIRTUS WMC INTERNATIONAL DIVIDEND ETF | 0 | 5.802 | 5.802 |
| **D | TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 0 | 15.059.413 | 15.059.413 |
| **D | FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 0 | 26.052 | 26.052 |
| **D | DIOCESE OF VENICE PENSION PLAN AND TRUST | 0 | 906 | 906 |
| **D | PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 0 | 2.541.261 | 2.541.261 |
| **D | MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF OMAN | 0 | 80.350 | 80.350 |
| **D | STICHTING PENSIOENFONDS UWV | 0 | 148.374 | 148.374 |
| **D | NATIONAL TREASURY MANAGEMENT AGCY | 0 | 68.686 | 68.686 |
| **D | NSP MONTICELLO MINNESOTA RETAIL | 0 | 19.314 | 19.314 |
| **D | NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 0 | 6.330 | 6.330 |
| **D | NSP MINNESEOTA RETAIL PRAIRIE II | 0 | 13.281 | 13.281 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING FOR ACCOUNT OF BPT | 0 | 21.382 | 21.382 |
| **D | VANGUARD INTL HIGH DIV YLD INDEX FD | 0 | 1.365.146 | 1.365.146 |
| **D | GOLDMAN SACHS GLOBAL INFRASTRUCTURE FUND | 0 | 523.532 | 523.532 |
| **D | PGE CORPORATION RETIREMENT MASTER TRUST | 0 | 306.616 | 306.616 |
| **D | PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO | 0 | 292.613 | 292.613 |
| **D | KOOKMIN BANK ACTING AS TRUSTEE OF HANA ALTERNATIVE ASSET DWS GLOBAL LISTED INFRASTRUCTURE QUALIFIED 144.930 |
0 | 144.930 | |
| **D | STICHTING PENSIOENFONDS HOOGOVENS | 0 | 94.533 | 94.533 |
| **D | DEAM FONDS ZDV | 0 | 17.644 | 17.644 |
| **D | FIDELITY SAI INTERNATIONAL INDEX FUND | 0 | 801.674 | 801.674 |
| **D | SHELL CANADA 2007 PENSION PLAN | 0 | 1.754 | 1.754 |
| **D | AURION GLOBAL EQUITY FUND | 0 | 7.302 | 7.302 |
| **D | AZL INTERNATIONAL INDEX FUND | 0 | 153.285 | 153.285 |
| **D | AZL DFA INTERNATIONAL CORE EQUITY FUND | 0 | 15.113 | 15.113 |
| **D | AGF SYSTEMATIC GLOBAL INFRASTRUCTURE ETF | 0 | 619.547 | 619.547 |
| **D | XTRACKERS MSCI ALL WORLD EX US HIGH DIVIDEND YIELD EQUITY E | 0 | 5.349 | 5.349 |
| **D | XTRACKERS MSCI EAFE HIGH DIVIDEND YIELD EQUITY ETF | 0 | 1.140.106 | 1.140.106 |
| **D | COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 0 | 742.002 | 742.002 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE STATE OF HAWAII | 0 | 848.815 | 848.815 |
| **D | LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST 290.738 |
0 | 290.738 | |
| **D | SIEMENS BALANCED | 0 | 42.573 | 42.573 |
| **D | SISTERS OF CHARITY OF LEAVENWORTH HEALTH SYSTEM MASTER TRUST | 0 | 117.893 | 117.893 |
| **D | ISHARES PUBLIC LIMITED COMPANY | 0 | 749.843 | 749.843 |
| **D | ALASKA PERMANENT FUND CORPORATION | 0 | 2.491.542 | 2.491.542 |
| **D | GENERAL SYNOD PENSION PLAN | 0 | 62.824 | 62.824 |
| **D | PMPT INKA FONDS | 0 | 105.701 | 105.701 |
| **D | INKA PBEAKK | 0 | 832.929 | 832.929 |
| **D | COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR | 0 | 323.267 | 323.267 |
| **D | MICROSOFT CORPORATION | 0 | 13.830 | 13.830 |
| **D | IVY APOLLO MULTI ASSET INCOME FUND | 0 | 85.717 | 85.717 |
| **D | LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 0 | 2.627.978 | 2.627.978 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
Assemblea Ordinaria del 07 maggio 2024
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 0 | 931.725 | 931.725 |
| **D | RETIREMENT BENEFITS INVESTMENT FUND | 0 | 16.418 | 16.418 |
| **D | CITY OF AUSTIN EMPLOYEES RETIREMENT SYSTEM | 0 | 120.596 | 120.596 |
| **D | POOL REINSURANCE CO LTD | 0 | 13.584 | 13.584 |
| **D | PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 0 | 9.464 | 9.464 |
| **D | HEALTHCARE EMPLOYEES PENSION PLAN MANITOBA | 0 | 880.819 | 880.819 |
| **D | LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL | 0 | ||
| 1.872.859 | 1.872.859 | |||
| **D | FLORIDA RETIREMENT SYSTEM TRUST FUND | 0 | 77 | 77 |
| **D | PENSION RESERVES INVESTMENT TRUST FUND | 0 | 4.350.853 | 4.350.853 |
| **D | HIGHMARK INC | 0 | 188.400 | 188.400 |
| **D | SOUTH DAKOTA RETIREMENT SYSTEM | 0 | 96.400 | 96.400 |
| **D | THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 0 | 1.127 | 1.127 |
| **D | DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 0 | 69.015 | 69.015 |
| **D | QUALITY EDUCATION FUND | 0 | 3.990 | 3.990 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 0 | 197.900 | 197.900 |
| **D | ADVANCE PLANNING LIMITED | 0 | 5.210 | 5.210 |
| **D | DIGNITY PRE ARRANGEMENT LIMITED | 0 | 7.377 | 7.377 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 0 | 53.397 | 53.397 |
| **D | BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA | 0 | 46.837 | 46.837 |
| **D | HSBC GLOBAL EQUITY VOLATILITY FOCUSED FUND | 0 | 75.593 | 75.593 |
| **D | HSBC INTERNATIONAL EQUITY INDEX FUND | 0 | 26.935 | 26.935 |
| **D | SOUTH CAROLINA RETIREMENT SYSTEMS GROUP TRUST | 0 | 247.270 | 247.270 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR | 0 | 5.136 | 5.136 |
| **D | STICHTING BEDRIJFSPENSIOENFONDS VOOR HET | 0 | 5.972 | 5.972 |
| **D | PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 0 | 6.716 | 6.716 |
| **D | ENERGY INSURANCE MUTUAL LIMITED | 0 | 10.266 | 10.266 |
| **D | MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 0 | 9.984 | 9.984 |
| **D | METROPOLITAN LIFE INSURANCE COMPANY | 0 | 80.366 | 80.366 |
| **D | IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 0 | 101.216 | 101.216 |
| **D | MET WAT REC DST RF NRN TRUST GLV 997261 | 0 | 4.357 | 4.357 |
| **D | BOCI PRUDENTIAL TRUSTEE LIMITED BOCPIFS EUIF | 0 | 110.361 | 110.361 |
| **D | ICP PLACEMENT | 0 | 5.185 | 5.185 |
| **D | SILVER AMUNDI EUROPE EQUITY CO | 0 | 182.193 | 182.193 |
| **D | PROCURA FONDS TAUBE BL ACCOUNT | 0 | 11.840 | 11.840 |
| **D | AFS ICAV GLOBAL MULTI ASSET GR | 0 | 12.792 | 12.792 |
| **D | ECOFIN SUSTAINABLE LISTED INFR | 0 | 10.238 | 10.238 |
| **D | LYXOR FTSE MIB UCITS ETF | 0 | 1.968.642 | 1.968.642 |
| **D | LYXOR MSCI EUROPE UCITS ETF | 0 | 148.347 | 148.347 |
| **D | SG ACTIONS EURO RENDEMENT ISR | 0 | 74.385 | 74.385 |
| **D | SG ACTIONS ENERGIE EUROPE | 0 | 77.606 | 77.606 |
| **D | SG ACTIONS INTERNATIONALES | 0 | 62.014 | 62.014 |
| **D | SG BLACKROCK FLEXIBLE ISR | 0 | 12.677 | 12.677 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LYXINDEX FUND - LYXOR MSCI EMU |
0 | 114.629 | 114.629 |
| **D | MULTI UNITS LUX-LYXOR CORE MSC | 0 | 166.453 | 166.453 |
| **D | LYXOR CORE MSCI WORLD (DR) UCI | 0 | 119.505 | 119.505 |
| **D | MUL- LYX FTSE IT ALL CAP PIR 2 |
0 | 55.707 | 55.707 |
| **D | LIF-LYXOR MSCI WORLD CATHOL PR | 0 | 24.303 | 24.303 |
| **D | ASI - PROGETTO SVILUPPO GLOBAL |
0 | 382.754 | 382.754 |
| **D | PSSF-PROGETTO AZIONE SOSTENIBI | 0 | 3.806 | 3.806 |
| **D | ASI - PROGETTO AZIONE SOSTENIB |
0 | 5.045 | 5.045 |
| **D | AMIF - EMU EQUITY |
0 | 137.392 | 137.392 |
| **D | AMIF - EUROPEAN EQUITY |
0 | 183.689 | 183.689 |
| **D | AIF- TACTICAL PORTFOLIO INCOME |
0 | 51.772 | 51.772 |
| **D | AMUNDI TOTAL RETURN | 0 | 61.771 | 61.771 |
| **D | ASI - BILANCIATO PERCORSO ATTI |
0 | 71.511 | 71.511 |
| **D | ASI BIL PER ATTIVO III | 0 | 50.265 | 50.265 |
| **D | MULTI UNITS LUX AM STX EU 600 | 0 | 2.011.991 | 2.011.991 |
| **D | AIF-MULTI-ASSET TEODORICO | 0 | 79.782 | 79.782 |
| **D | AMUNDI SGR SPA/SECONDAPENSIONE FONDO PENSIONE APERTO | 0 | 2.048.222 | 2.048.222 |
| **D | AMUNDI SGR SPA / AMUNDI RISPARMIO ITALIA | 0 | 826.883 | 826.883 |
| **D | AMUNDI SGR SPA/AMUNDI SVILUPPO ATTIVO ITALIA | 0 | 1.775.000 | 1.775.000 |
| **D | AMUNDI SGR SPA/CORE PENSION FONDO PENSIONE APERTO | 0 | 877.050 | 877.050 |
| **D | AMUNDI SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE | 0 | 584.657 | 584.657 |
| **D | AMUNDI SGR SPA / AMUNDI BILANCIATO PIU` | 0 | 358.368 | 358.368 |
| **D | AMUNDI SGR SPA / OBBLIGAZIONARIO PIU` A DIS TRIBUZIONE | 0 | 288.533 | 288.533 |
| **D | CHERRY TREE FUND A SERIES TRUS | 0 | 1.271.825 | 1.271.825 |
| **D | SEI GLOBAL MASTER FUND PLC THE | 0 | 16.433 | 16.433 |
| **D | AB SICAV III - DYNAMIC ALL MAR |
0 | 5.132 | 5.132 |
| **D | KOKUSAI EQUITY INDEX FUND, A S | 0 | 46.838 | 46.838 |
| **D | MORGAN STANLEY PATHWAY FUNDS - | 0 | 58.564 | 58.564 |
| **D | CNS GLOBAL LIST INFRASTRUCTURE | 0 | 348.484 | 348.484 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE | 0 | 946.408 | 946.408 |
| **D | NORTHERN LIGHTS FUND TRUST IV | 0 | 58.760 | 58.760 |
| **D | BRIDGE BUILDER INTERNATIONAL E | 0 | 33.092.791 | 33.092.791 |
| **D | INSPIRE INTERNATIONAL ETF | 0 | 302.830 | 302.830 |
| **D | BLK MAGI FUND A SERIES TRUST O | 0 | 410 | 410 |
| **D | BRIDGE BUILDER TAX MANAGED | 0 | 18.398 | 18.398 |
| **D | DESTINATIONS INTERNATIONAL EQU | 0 | 51.082 | 51.082 |
| **D | BLACKROCK GLOBAL ALLOCATION FU | 0 | 448.635 | 448.635 |
| **D | AB CAYMAN MASTER TRUST - GLOBA |
0 | 75.731 | 75.731 |
| **D | AMUNDI AUSTRIA | 0 | 47.082 | 47.082 |
| **D | MLC INVESTMENTS MLC LIMITED | 0 | 182.241 | 182.241 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II |
0 | 805.669 | 805.669 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE |
0 | 269.492 | 269.492 |
| **D | MIGROS BANK (LUX) FONDS 30 | 0 | 3.200 | 3.200 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MIGROS BANK (LUX) FONDS 40 (EUR) | 0 | 3.280 | 3.280 |
| **D | MIGROS BANK (LUX) FONDS 50 | 0 | 4.600 | 4.600 |
| **D | MIGROS BANK (LUX) FONDS INTERSTOCK | 0 | 6.200 | 6.200 |
| **D | UBS (LUX) SICAV 1 | 0 | 7.257 | 7.257 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
0 | 2.203 | 2.203 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) |
0 | 9.802 | 9.802 |
| **D | UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
0 | 8.330 | 8.330 |
| **D | STRATEGY SICAV | 0 | 10.846 | 10.846 |
| **D | UBS FUND MANAGEMENT(LUXEMBOURG) SA | 0 | 289.990 | 289.990 |
| **D | UBS (LUX) EQUITY SICAV - EUROPEAN - HIGH DIVIDEND (EUR) |
0 | 362.788 | 362.788 |
| **D | UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 0 | 3.951 | 3.951 |
| **D | UBS (LUX) EQUITY SICAV - EURO COUNTRIES INCOME |
0 | 681.914 | 681.914 |
| **D | LGIASUPER | 0 | 129.085 | 129.085 |
| **D | PRIME SUPER | 0 | 3.141 | 3.141 |
| **D | GENERATION LIFE LIMITED | 0 | 138.074 | 138.074 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 0 | 413.448 | 413.448 |
| **D | STIHL INTERNATIONAL GMBH | 0 | 780.849 | 780.849 |
| **D | NORGES BANK | 0 | 19.171.615 | 19.171.615 |
| **D | AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 0 | 2.776 | 2.776 |
| **D | FONDS DE PLACEMENT PROMUTUEL GROUPE PROMUTUEL FEDERATION DE SOCIETES MUTUELLES DASSURANCE GENERALE | 0 | 91.715 | |
| 91.715 | ||||
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 1.536.625 | 1.536.625 |
| **D | LGIM MANAGERS (EUROPE) LIMITED | 0 | 1.272.267 | 1.272.267 |
| **D | GENERAL ORGANISATION FOR SOCIAL INSURANCE. | 0 | 1.616.406 | 1.616.406 |
| **D | INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 0 | 440.640 | 440.640 |
| **D | INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT | 0 | 31.366 | 31.366 |
| **D | INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN | 0 | 205.880 | 205.880 |
| **D | WHEELS COMMON INVESTMENT FUND. | 0 | 3.585 | 3.585 |
| **D | CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS. | 0 | 17.657 | 17.657 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 0 | 207.035 | 207.035 |
| **D | LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 0 | 35.491 | 35.491 |
| **D | LEGAL & GENERAL GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.806.933 | 1.806.933 |
| **D | LEGAL & GENERAL FUTURE WORLD CLIMATE CHANGE EQUITY FACTORS I | 0 | 5.969 | 5.969 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 0 | 74.003 | 74.003 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 0 | 31.528 | 31.528 |
| **D | LEGAL & GENERAL EUROPEAN INDEX TRUST | 0 | 1.201.772 | 1.201.772 |
| **D | LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 0 | 241.405 | 241.405 |
| **D | GARD UNIT TRUST | 0 | 33.808 | 33.808 |
| **D | MONDRIAN FUNDS PLC | 0 | 111.898 | 111.898 |
| **D | BARINGS INTERNATIONAL UMBRELLA FUND | 0 | 144.748 | 144.748 |
| **D | STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 0 | 13.024 | 13.024 |
| **D | MFG INVESTMENT FUND PLC | 0 | 229.958 | 229.958 |
| **D | OSMOSIS ICAV | 0 | 15.780 | 15.780 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LEGAL & GENERAL ICAV. | 0 | 873 | 873 |
| **D | NORTHERN TRUST UCITS FGR FUND | 0 | 318.021 | 318.021 |
| **D | SCHLUMBERGER INTERNATIONAL STAFF RETIREMENT FUND FCP-SIF. | 0 | 9.119 | 9.119 |
| **D | VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS. | 0 | 95.336 | 95.336 |
| **D | VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEKS | 0 | 354.942 | 354.942 |
| **D | PUBLIC SECTOR PENSION INVESTMENT BOARD. | 0 | 11.020 | 11.020 |
| **D | SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 0 | 2.166.601 | 2.166.601 |
| **D | TRUST FOR RETIREE MEDICAL DENTAL AND LIFE INSURANCE OF THE | 0 | 70.132 | 70.132 |
| **D | THE RETIREMENT ANNUITY PLAN FOR EMPLOYEES OF THE ARMY AND AI | 0 | 156.921 | 156.921 |
| **D | CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 0 | 935.515 | 935.515 |
| **D | CSAA INSURANCE EXCHANGE | 0 | 12.833 | 12.833 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING |
0 | 98.840 | 98.840 |
| **D | SCHLUMBERGER GROUP TRUST AGREEMENT | 0 | 48.715 | 48.715 |
| **D | MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT PLANS | 0 | 14.272 | 14.272 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX-US F | 0 | 114.460 | 114.460 |
| **D | GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 0 | 14.190 | 14.190 |
| **D | RETURN TO WORK CORPORATION OF SOUTH AUSTRALIA | 0 | 817.839 | 817.839 |
| **D | THE MINDEROO FOUNDATION TRUST | 0 | 11.576 | 11.576 |
| **D | EQUIPSUPER | 0 | 46.730 | 46.730 |
| **D | STICHTING PENSIOENFONDS SAGITTARIUS | 0 | 46.247 | 46.247 |
| **D | STICHTING HEINEKEN PENSIOENFONDS | 0 | 25.192 | 25.192 |
| **D | STICHTING PENSIOENFONDS APF. | 0 | 244.201 | 244.201 |
| **D | STICHTING PME PENSIOENFONDS | 0 | 280.987 | 280.987 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 0 | 9.516.731 | 9.516.731 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F | 0 | 347.915 | 347.915 |
| **D | FUTURE FUND INVESTMENT COMPANY NO.2 PTY LTD | 0 | 4.700.000 | 4.700.000 |
| **D | MRFF INVESTMENT COMPANY NO. 2 PTY LTD. | 0 | 575.546 | 575.546 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. | 0 | 81.261 | 81.261 |
| **D | NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 0 | 2.426.992 | 2.426.992 |
| **D | UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 0 | 12.116 | 12.116 |
| **D | THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 0 | 19.687 | 19.687 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE CIT | 0 | 971.248 | 971.248 |
| **D | FIDELITY INVESTMENTS CHARITABLE GIFT FUND DTD 8/18/2009 | 0 | 20.374 | 20.374 |
| **D | STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 0 | 5.250 | 5.250 |
| **D | EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 0 | 409.462 | 409.462 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | 0 | 96.190 | 96.190 |
| **D | R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 3.700 | 3.700 |
| **D | RUTGERS THE STATE UNIVERSITY | 0 | 23.624 | 23.624 |
| **D | PCA TAX SHELTERED ANNUITY PLAN | 0 | 10.740 | 10.740 |
| **D | CSX CORP MASTER PENSION TRUST | 0 | 70.380 | 70.380 |
| **D | CONSTELLATION FITZPATRICK QUALIFIED FUND | 0 | 9.186 | 9.186 |
| **D | CONSUMERS ENERGY COMPANY NON-UNION WELFARE BENEFIT TRUST TO PROVIDE FOR RETIREE HEALTH CARE AND | 0 | 4.859 | 4.859 |
| **D | MASTER TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL | 0 | 203.520 | 203.520 |
Pagina 26
Azionisti: 1.767 Teste: 10 Azionisti in proprio: 8 Azionisti in delega: 1.759
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT TWO QUALIFIED FUND | 0 | 4.800 | 4.800 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 0 | 200 | 200 |
| **D | THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT | 0 | 41 | 41 |
| **D | THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 0 | 31.443 | 31.443 |
| **D | ADVOCATE HEALTH AND HOSPITALS CORPORATION | 0 | 3.417.245 | 3.417.245 |
| **D | JOSHUA GREEN CORPORATION | 0 | 11.829 | 11.829 |
| **D | IBM PERSONAL PENSION PLAN TRUST | 0 | 5.206 | 5.206 |
| **D | NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 0 | 21.500 | 21.500 |
| **D | PFIZER INC. MASTER TRUST | 0 | 459.887 | 459.887 |
| **D | MOZILLA CORPORATION | 0 | 3.285 | 3.285 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 0 | 305.710 | 305.710 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE O | 0 | 26.251 | 26.251 |
| **D | WILSHIRE MULTI-MANAGER REAL ASSET FUND | 0 | 32.589 | 32.589 |
| **D | UNITED SERVICES AUTOMOBILE ASSOCIATION | 0 | 39.608 | 39.608 |
| **D | HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE | 0 | 1.191.901 | 1.191.901 |
| **D | HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 0 | 47.896 | 47.896 |
| **D | THE BOARD OF MANAGEMENT OF THE CHINESE PERMANENT CEMETERIES | 0 | 8.923 | 8.923 |
| **D | BEAT DRUGS FUND ASSOCIATION | 0 | 2.621 | 2.621 |
| **D | CARNELIAN INVESTMENT MANAGEMENT LLC. | 0 | 17.110 | 17.110 |
| **D | CARROLL AVENUE PARTNERS LLC. | 0 | 707 | 707 |
| **D | EVA VALLEY MA1 LLC | 0 | 13.180 | 13.180 |
| **D | FUNDO DE PENSOES | 0 | 20.946 | 20.946 |
| **D | DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 0 | 11.468 | 11.468 |
| **D | DFI LP EQUITY (PASSIVE | 0 | 1.373 | 1.373 |
| **D | DYNASTY INVEST LTD | 0 | 4.845 | 4.845 |
| **D | ALICE L WALTON CHARITABLE LLC | 0 | 571.708 | 571.708 |
| **D | FIDDLER PARTNERS LLC | 0 | 1.095 | 1.095 |
| **D | FOURTH AVENUE INVESTMENT COMPANY LIMITED PARTNERSHIP | 0 | 28.854 | 28.854 |
| **D | HAWTHORN DM LLC | 0 | 30.202 | 30.202 |
| **D | INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 0 | 3.938 | 3.938 |
| **D | PINK CALI LLC | 0 | 81 | 81 |
| **D | OMEGA FFIP LIMITED PARTNERSHIP | 0 | 3.407 | 3.407 |
| **D | HAWAII LLC | 0 | 14.549 | 14.549 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP. | 0 | 824.536 | 824.536 |
| **D | BUILDERS ASSET MANAGEMENT LLC | 0 | 55.623 | 55.623 |
| **D | LEHMAN-STAMM FAMILY PARTNERS LLC | 0 | 264 | 264 |
| **D | LEGAL & GENERAL MSCI EAFE FUND LLC | 0 | 143.531 | 143.531 |
| **D | METIS EQUITY TRUST- METIS INTERNATIONAL CLIMATE ALIGNED INDE |
0 | 20.900 | 20.900 |
| **D | MONDRIAN INTERNATIONAL EQUITY ESG FUND L.P | 0 | 536.790 | 536.790 |
| **D | MONDRIAN INTERNATIONAL EQUITY FOCUSED FUND L.P. | 0 | 263.597 | 263.597 |
| **D | NELKE PARTNERSHIP | 0 | 8.665 | 8.665 |
| **D | INTERNATIONAL EQUITY FUND LLC | 0 | 16.312 | 16.312 |
| **D | HOLTEC INDIAN POINT 3 LLC MASTER DECOMMISSIONING TRUST | 0 | 22.393 | 22.393 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AVALON PORTFOLIO II LLC | 0 | 426 | 426 |
| **D | 801 INVESTMENTS LLC | 0 | 9.547 | 9.547 |
| **D | RTPIP LP | 0 | 2.467 | 2.467 |
| **D | FCM INTERNATIONAL LLC | 0 | 4.450 | 4.450 |
| **D | ZOMA CAPITAL PORTFOLIO LLC. | 0 | 19.875 | 19.875 |
| **D | THYSSEN GLOBAL INVESTMENTS CORP. | 0 | 1.673 | 1.673 |
| **D | GLOBAL BOND FUND WAYCROSSE INC | 0 | 185.502 | 185.502 |
| **D | MFC INTERNATIONAL FUND LLC | 0 | 15.782 | 15.782 |
| **D | GLOBAL EQUITY SERIES OF SALT CREEK INVESTMENTS LLC | 0 | 8.486 | 8.486 |
| **D | SENTINEL INTERNATIONAL FUND | 0 | 658 | 658 |
| **D | SALIX LLC | 0 | 38.659 | 38.659 |
| **D | SLW PORTFOLIO LLC | 0 | 1.778 | 1.778 |
| **D | PRO-GEN INVESTMENTS LLC | 0 | 5.770 | 5.770 |
| **D | CINDY SPRINGS LLC | 0 | 164.372 | 164.372 |
| **D | RUM CAY LP | 0 | 9.483 | 9.483 |
| **D | RDM LIQUID LLC | 0 | 57.800 | 57.800 |
| **D | K INVESTMENTS SH LIMITED. | 0 | 198.313 | 198.313 |
| **D | LEGAL & GENERAL MSCI EAFE SL FUND LLC | 0 | 145.559 | 145.559 |
| **D | MBB PUBLIC MARKETS I LLC | 0 | 142.583 | 142.583 |
| **D | PROVIDENCE ST. JOSEPH HEALTH LONG TERM PORTFOLIO | 0 | 5.321 | 5.321 |
| **D | FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 0 | 7.724 | 7.724 |
| **D | INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 0 | 129.532 | 129.532 |
| **D | MONDRIAN GLOBAL EQUITY FUND L.P | 0 | 435.781 | 435.781 |
| **D | MONDRIAN ALL COUNRIES WORLD EX-US EQUITY FUND L.P. GLOBAL I | 0 | 4.390.123 | 4.390.123 |
| **D | MONDRIAN INTERNATIONAL EQUITY FUND L.P. | 0 | 16.978.011 | 16.978.011 |
| **D | NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 0 | 551.197 | 551.197 |
| **D | CHEVRON UK PENSION PLAN | 0 | 8.657 | 8.657 |
| **D | FIFE COUNCIL PENSION FUND | 0 | 301.207 | 301.207 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 19.238 | 19.238 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND | 0 | 3.415.933 | 3.415.933 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 0 | 160.829 | 160.829 |
| **D | VI CAPITAL LTD. | 0 | 2.920 | 2.920 |
| **D | CBS INSURANCE COMPANY LIMITED | 0 | 2.726 | 2.726 |
| **D | STATE UNIVERSITIES RETIREMENT SYSTEM | 0 | 2.420.326 | 2.420.326 |
| **D | COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA | 0 | 21.148 | 21.148 |
| **D | MERCER PASSIVE INTERNATIONAL SHARES FUND | 0 | 124.772 | 124.772 |
| **D | MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 0 | 16.393 | 16.393 |
| **D | MAGELLAN INFRASTRUCTURE FUND (CURRENCY HEDGED) | 0 | 1.721.879 | 1.721.879 |
| **D | NT WORLD GREEN TRANSITION INDEX FUND | 0 | 2.465 | 2.465 |
| **D | INSURANCE COMMISSION OF WESTERN AUSTRALIA | 0 | 895.984 | 895.984 |
| **D | AUSTRALIAN CAPITAL TERRITORY | 0 | 57.205 | 57.205 |
| **D | MERCER INDEXED INTERNATIONAL SHARES FUND | 0 | 150.054 | 150.054 |
| **D | INTERNATIONAL EQUITIES PASSIVE B UNIT TRUST | 0 | 3.595 | 3.595 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL | 0 | 14.495 | 14.495 |
| **D | GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 0 | 338.432 | 338.432 |
| **D | MAGELLAN INFRASTRUCTURE FUND (UNHEDGED) | 0 | 2.054.837 | 2.054.837 |
| **D | QIC INTERNATIONAL EQUITIES FUND. | 0 | 16.964 | 16.964 |
| **D | MAGELLAN INFRASTRUCTURE FUND | 0 | 4.458.311 | 4.458.311 |
| **D | MAGELLAN CORE INFRASTRUCTURE FUND | 0 | 792.158 | 792.158 |
| **D | THE TRUSTEES OF THE HENRY SMITH CHARITY | 0 | 36.611 | 36.611 |
| **D | S. ROBSON WALTON 1999 CHILDRENS TRUST | 0 | 5.218 | 5.218 |
| **D | MOBIUS LIFE LIMITED | 0 | 31.044 | 31.044 |
| **D | HRW TESTAMENTARY TRUST NO. 1 | 0 | 14.863 | 14.863 |
| **D | HRW TESTAMENTARY TRUST NO. 3 | 0 | 17.306 | 17.306 |
| **D | S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 0 | 4.573 | 4.573 |
| **D | JOHN T. WALTON FAMILY TRUST | 0 | 50.037 | 50.037 |
| **D | HRW TESTAMENTARY TRUST NO. 6 | 0 | 1 | 1 |
| **D | HRW TESTAMENTARY TRUST NO. 4. | 0 | 5.361 | 5.361 |
| **D | HRW TESTAMENTARY TRUST NO. 9. | 0 | 4.439 | 4.439 |
| **D | HRW TESTAMENTARY TRUST NO. 8. | 0 | 83.727 | 83.727 |
| **D | HRW TESTAMENTARY TRUST NO. 2 | 0 | 14.383 | 14.383 |
| **D | HRW TRUST NO. 4 UAD 01/17/03 | 0 | 137.420 | 137.420 |
| **D | HRW TESTAMENTARY TRUST NO. 5 | 0 | 6.947 | 6.947 |
| **D | HRW TESTAMENTARY TRUST NO. 12. | 0 | 13.597 | 13.597 |
| **D | HRW TRUST NO. 3 UAD 01/17/03 | 0 | 111.815 | 111.815 |
| **D | HRW TESTAMENTARY TRUST NO. 11. | 0 | 63.276 | 63.276 |
| **D | S. ROBSON WALTON 2010 TRUST | 0 | 8.791 | 8.791 |
| **D | HRW TRUST NO. 1 UAD 01/17/03 | 0 | 3.454 | 3.454 |
| **D | HRW TESTAMENTARY TRUST NO. 10. | 0 | 6.127 | 6.127 |
| **D | HRW TRUST NO. 2 UAD 01/17/03 | 0 | 14.918 | 14.918 |
| **D | PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS | 0 | 5.144 | 5.144 |
| **D | PRESBYTERIAN CHURCH (USA) FOUNDATION | 0 | 9.707 | 9.707 |
| **D | NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 0 | 4.225.300 | 4.225.300 |
| **D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 0 | 43.530 | 43.530 |
| **D | ARVEST FOUNDATION | 0 | 1.277 | 1.277 |
| **D | FALKIRK COUNCIL PENSION FUND | 0 | 418.449 | 418.449 |
| **D | FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 0 | 945.317 | 945.317 |
| **D | ESSENTIA HEALTH | 0 | 1.965 | 1.965 |
| **D | THE CALIFORNIA WELLNESS FOUNDATION | 0 | 13.453 | 13.453 |
| **D | RETIREMENT PLAN FOR CHICAGO TRANSIT AUTHORITY EMPLOYEES. | 0 | 27.315 | 27.315 |
| **D | CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 0 | 1.126 | 1.126 |
| **D | CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 4.746 | 4.746 |
| **D | ATRIUM HEALTH | 0 | 353.901 | 353.901 |
| **D | NORTHAMPTONSHIRE PENSION FUND | 0 | 6.868 | 6.868 |
| **D | ARIEL INTERNATIONAL FUND | 0 | 1.274.449 | 1.274.449 |
| **D | MICHIGAN CATHOLIC CONFERENCE | 0 | 13.823 | 13.823 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND |
0 | 553.450 | 553.450 |
| **D | THE NEMOURS FOUNDATION PENSION PLAN | 0 | 1.940 | 1.940 |
| **D | NORTHERN MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 2.870.315 | 2.870.315 |
| **D | THE MOTOROLA PENSION SCHEME. | 0 | 65.616 | 65.616 |
| **D | THE MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND | 0 | 5.831 | 5.831 |
| **D | MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 0 | 6.408 | 6.408 |
| **D | JTW TRUST NO. 1 UAD 9/19/02. | 0 | 10.211 | 10.211 |
| **D | JTW TRUST NO. 3 UAD 9/19/02. | 0 | 10.536 | 10.536 |
| **D | JTW TRUST NO. 5 UAD 9/19/02. | 0 | 7.625 | 7.625 |
| **D | JTW TRUST NO. 2 UAD 9/19/02. | 0 | 12.155 | 12.155 |
| **D | JTW TRUST NO. 4 UAD 9/19/02. | 0 | 8.489 | 8.489 |
| **D | ILLINOIS MUNICIPAL RETIREMENT FUND | 0 | 5.767.768 | 5.767.768 |
| **D | CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 0 | 235.259 | 235.259 |
| **D | LOS ANGELES CITY EMPLOYEES` RETIREMENT SYSTEM. | 0 | 138.415 | 138.415 |
| **D | LOTHIAN PENSION FUND | 0 | 1.602.787 | 1.602.787 |
| **D | MORNINGSTAR UNCONSTRAINED ALLOCATION FUND A SERIES OF MORNINGSTAR FUNDS TRUST | 0 | 678.958 | 678.958 |
| **D | MONTGOMERY COUNTY CONSOLIDATED RETIREE HEALTH BENEFITS TRUST | 0 | 139.410 | 139.410 |
| **D | BAPTIST FOUNDATION OF TEXAS. | 0 | 440.014 | 440.014 |
| **D | NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 0 | 457.003 | 457.003 |
| **D | PROVIDENCE HEALTH & SERVICES CASH BALANCE RETIREMENT PLAN TR. | 0 | 3.897 | 3.897 |
| **D | GENERAL PENSION AND SOCIAL SECURITY AUTHORITY | 0 | 38.842 | 38.842 |
| **D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0 | 116.668 | 116.668 |
| **D | ALFRED I. DUPONT CHARITABLE TRUST | 0 | 36.804 | 36.804 |
| **D | ABU DHABI PENSION FUND | 0 | 91.748 | 91.748 |
| **D | WYOMING RETIREMENT SYSTEM | 0 | 22.318 | 22.318 |
| **D | GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 0 | 8.180 | 8.180 |
| **D | USAA GENERAL INDEMNITY COMPANY | 0 | 13.240 | 13.240 |
| **D | TEACHERS` RETIREMENT SYSTEM OF OKLAHOMA | 0 | 255.753 | 255.753 |
| **D | UTAH STATE RETIREMENT SYSTEMS | 0 | 268.360 | 268.360 |
| **D | USAA CASUALTY INSURANCE COMPANY | 0 | 23.563 | 23.563 |
| **D | SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 0 | 186.012 | 186.012 |
| **D | SAN MATEO COUNTY EMPLOYEES` RETIREMENT ASSOCIATION | 0 | 1.325.788 | 1.325.788 |
| **D | EMPLOYEES RETIREMENT FUND OF THE CITY OF DALLAS. | 0 | 122.926 | 122.926 |
| **D | FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 0 | 4.554 | 4.554 |
| **D | REGIME DE RETRAITE DU PERSONNEL DES CPE ET DES GARDERIES PRI | 0 | 206.908 | 206.908 |
| **D | BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 0 | 3.782.803 | 3.782.803 |
| **D | ACS 30:70 GLOBAL EQUITY TRACKER FUND | 0 | 100 | 100 |
| **D | BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 0 | 667.391 | 667.391 |
| **D | STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 0 | 1.758.477 | 1.758.477 |
| **D | LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 0 | 200.000 | 200.000 |
| **D | UBS COMMON CONTRACTUAL FUND | 0 | 32.420 | 32.420 |
| **D | THE LF ACCESS POOL AUTHORISED CONTRACTUAL SCHEME | 0 | 1.640.272 | 1.640.272 |
| **D | BLACKROCK UCITS CCF | 0 | 186.898 | 186.898 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | RECORD INVEST SCA SICAV RAIF | 0 | 8.612 | 8.612 |
| **D | KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | 0 | 204.196 | 204.196 |
| **D | ELO MUTUAL PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY | 0 | 406.937 | 406.937 |
| **D | NOTHERN TRUST LUXEMBOURG MANAGEMENT COMPANY SA ACTING IN ITS | 0 | 407.544 | 407.544 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF | 0 | 81.818 | 81.818 |
| **D | STICHTING PENSIOENFONDS PGB | 0 | 556.811 | 556.811 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. | 0 | 9.472 | 9.472 |
| **D | STICHTING PENSIOENFONDS OPENBARE BIBLIOTHEKEN | 0 | 9.180 | 9.180 |
| **D | FJARDE AP-FONDEN. | 0 | 2.112.866 | 2.112.866 |
| **D | ROBECO INSTITUTIONAL UMBRELLA FUND | 0 | 294.164 | 294.164 |
| **D | POINT72 LONDON INVESTMENTS LTD. | 0 | 5.695.419 | 5.695.419 |
| **D | D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 0 | 2.498 | 2.498 |
| **D | NORTH ROCK SPC - NR 1 SP |
0 | 211.223 | 211.223 |
| **D | DE SHAW US BROAD MARKET CORE ALPHA EXTENSION CUSTOM FUND II L.L.C. | 0 | 113.928 | 113.928 |
| **D | DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 0 | 269 | 269 |
| **D | AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT L.P. PORTFOLIO MARGIN ACCT | 0 | 24.457 | 24.457 |
| **D | DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 0 | 7.816 | 7.816 |
| **D | D.E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS II L.L.C | 0 | 1.099 | 1.099 |
| **D | BG MASTER FUND ICAV | 0 | 403 | 403 |
| **D | CM GRAT LLC | 0 | 1.417 | 1.417 |
| **D | ROSEDENE LLC | 0 | 4.415 | 4.415 |
| **D | SPRING 625 | 0 | 48.014 | 48.014 |
| **D | THE CHERYL D DUFFIELD TRUST UAD 09/12/96 CHERYL D DUFFIELD TTEE | 0 | 1.207 | 1.207 |
| **D | THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 0 | 25.982 | 25.982 |
| **D | LGT SELECT EQUITY GLOBAL | 0 | 1.096.632 | 1.096.632 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL CONVERTIBLE FUND |
0 | 120.039 | 120.039 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL LISTED INFRASTRU |
0 | 1.229.309 | 1.229.309 |
| **D | VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE |
0 | 103.691 | 103.691 |
| **D | MACT - SIF |
0 | 16.867 | 16.867 |
| **D | GBPO - QCF - GLOBAL BALANCED POOL |
0 | 5.997 | 5.997 |
| **D | UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO |
0 | 183.243 | 183.243 |
| **D | CDIL WHITEHELM CAP LS CR INFS FD | 0 | 1.078.824 | 1.078.824 |
| **D | CMLA INDEXED GLOBAL SHARE FUND | 0 | 7.056 | 7.056 |
| **D | JOHN HANCOCK FUNDS III GLOBAL SHAREHOLDER YIELD FUND | 0 | 2.947.350 | 2.947.350 |
| **D | JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. | 0 | 68.097 | 68.097 |
| **D | PRUDENTIAL ASSURANCE COMPANY SINGAPORE (PTE) LTD | 0 | 391.460 | 391.460 |
| **D | SCHWAB INTERNATIONAL INDEX FUND | 0 | 1.162.786 | 1.162.786 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX FUND | 0 | 235.198 | 235.198 |
| **D | TIMOTHY PLAN MARKET NEUTRAL ETF | 0 | 43.011 | 43.011 |
| **D | COLONIAL FIRST STATE INVESTMENT FUND 50. | 0 | 29.053 | 29.053 |
| **D | COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 0 | 110.842 | 110.842 |
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 6. | 0 | 988.762 | 988.762 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES FUND1 | 0 | 1.317.314 | 1.317.314 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 7 | 0 | 1.159.045 | 1.159.045 |
| **D | WM POOL - EQUITIES TRUST NO. 31 - ROBECO |
0 | 2.508 | 2.508 |
| **D | ONEMARKETS ITALY ICAV | 0 | 53.241 | 53.241 |
| **D | LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 0 | 18.670.981 | 18.670.981 |
| **D | ILA-LA WORLD ESG SCREENED FUND | 0 | 15.566 | 15.566 |
| **D | ILA - RAFIMF |
0 | 16.692 | 16.692 |
| **D | ILA-A-ILSDMH | 0 | 372.296 | 372.296 |
| **D | IRISH LIFE ASSURANCE. | 0 | 174.452 | 174.452 |
| **D | ILA-ILSEAFE - SUSTAINABLE EAFE EQUITY |
0 | 99.192 | 99.192 |
| **D | ILA - A-ILGLOEQN |
0 | 3.318 | 3.318 |
| **D | ILA - A-ILDSCG |
0 | 9.927 | 9.927 |
| **D | ILA - A-ILGLOEQG |
0 | 14.859 | 14.859 |
| **D | IRISH LIFE ASSURANCE PLC | 0 | 1.756.389 | 1.756.389 |
| **D | ILA - A-ILEZEQG |
0 | 46.146 | 46.146 |
| **D | ILA - A-ILHYEQG |
0 | 47.532 | 47.532 |
| **D | AEGON CUSTODY B.V. | 0 | 609.460 | 609.460 |
| **D | STICHTING PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES | 0 | 189.314 | 189.314 |
| **D | STICHTING MN SERVICES | 0 | 633.669 | 633.669 |
| **D | LARGE CAP INTL PORTFOLIO OF DFA INV | 0 | 381.578 | 381.578 |
| **D | STICHTING MN SERVICES AANDELENFO ND | 0 | 118.691 | 118.691 |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LTD PMC FTSE TPI GLOBAL (EX FOSSIL FUELS) EQUITY INDEX FUND 29.573 |
0 | 29.573 | |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED | 0 | 327.393 | 327.393 |
| **D | LEGAL & GENERAL ASSURANCE SOCIETY LIMITED | 0 | 13.693 | 13.693 |
| **D | TSGX SOLACT ESG TBACO EX UNHG(3387) | 0 | 8.468 | 8.468 |
| **D | FUTURE WORLD DEVELOPED EQUITY INDEX FUND (3500) | 0 | 11.986 | 11.986 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 | 0 | 61.059 | 61.059 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 RAFI FUNDAMENTAL GLOBAL EQUITY LOW CARBON TRANSITION INDEX FUND3495 | 0 | 109.336 | 109.336 |
| **D | OETGEN COMMUNITY PROPERTY TRUST DTD 12/24/2008 AS AMENDED A | 0 | 6.124 | 6.124 |
| **D | CFSIL RE CNEALTH GS FD 16 | 0 | 45.140 | 45.140 |
| **D | INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC | 0 | 1.641.266 | 1.641.266 |
| **D | MANULIFE GLOBAL FUND (SICA | 0 | 93.165 | 93.165 |
| **D | CFSIL RE COMM GLB INFRA SEC FD 2 | 0 | 1.510.343 | 1.510.343 |
| **D | NMTB/NIK KOKUSAI-NH 935026 | 0 | 91.120 | 91.120 |
| **D | NMTB/NIK KOKUSAI-H 935034 | 0 | 7.266 | 7.266 |
| **D | BERESFORD FUNDS ICAV | 0 | 8.326 | 8.326 |
| **D | CFSIL-CFS GLOBAL SHARE FD 20 | 0 | 251.182 | 251.182 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE FUND 3 | 0 | 604.081 | 604.081 |
| **D | STICHTING PGGM DEPOSITARY | 0 | 1.205.227 | 1.205.227 |
| **D | PGGM SPD (DMAEMFGL)PGGM SPD DMAE MULTIFACTOR GLOBAL | 0 | 1.384.441 | 1.384.441 |
| **D | NATIONAL COUNCIL FOR SOCIAL SEC FUND | 0 | 39.645 | 39.645 |
| **D | TWO SIGMA INTERNATIONAL CORE | 0 | 29 | 29 |
| **D | BUREAU OF PUBLIC SERVICE PENSION FUND | 0 | 935.640 | 935.640 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| D LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. 0 6.086.133 D HUTCHISON PROVIDENT FUND. 0 24.710 D VICTORY MARKET NEUTRAL INCOMEFUND 0 1.870.673 D SAMSUNG GLOBAL CORE EQUITY FUND 0 4.767 D VICTORY RS GLOBAL FUND 0 1.040.398 D VICTORY RS INTERNATIONAL FUND 0 839.745 D VICTORY RS INTERNATIONAL VIPSERIES 0 249.165 D JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND 0 349.211 D CITITRUST LIMITED 0 58.878 D VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. 0 20.034 D VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. 0 52.674 D CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND 0 32.235 D VICTORYSHARES INTERNATIONAL HIGHDIV VOLATILITY WTD INDEX ETF 0 47.766 D HOSTPLUS POOLED SUPERANNUATION TRUST 0 196.122 D AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE FUND 0 332.696 D ABRDN OEIC IV-ABRDN EUROPEAN EQUITY TRACKER FUND 0 116.717 D VICTORY CAPITAL GROWTH FUND 0 338.435 D VICTORY INTERNATIONAL FUND 0 2.863.409 D VICTORY SUSTAINABLE WORLD FUND 0 959.373 D TIMOTHY PLAN INTERNATIONAL ETF. 0 81.054 D THE NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN 0 7.941 D UAPF - BLACK ROCK PASSIVE EQUITY 0 9.844 D UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY 0 9.472 D MARSHALL WACE MASTER FUNDS SPC-SP ALPHA PLUS FUND 0 22.692 D MAN INSIGHT LIMITED 0 327 D MARSHALL WACE INVESTMENT STRATEGIES-WORLD TOPS ENVIRONMENTAL 0 9.116 D MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED 0 6.000 D VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND 0 46.925 D VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND - CLASS N 0 2.813 D NBIMC PUBLIC INFRASTRUCTURE (2017) FUND. 0 44.745 D MERCER PRIVATE WEALTH REAL ASSETS POOL 0 37.816 D FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) 0 138.219 D BIMCOR GLOBAL DIVIDEND YIELD POOLED FUND 0 12.982 D NORTHWATER ENHANCED IMMUNIZATION TRUST II 0 20.728 D BOMBARDIER TRUST (CANADA) REAL RETURN ASSETS FUND 0 530.840 D LETKO BROSSEAU INFRASTRUCTURE EQUITY FUND 0 49.825 **D SUN LIFE REAL ASSETS PRIVATE POOL 0 4.204.622 |
Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|---|
| 6.086.133 | |||||
| 24.710 | |||||
| 1.870.673 | |||||
| 4.767 | |||||
| 1.040.398 | |||||
| 839.745 | |||||
| 249.165 | |||||
| 349.211 | |||||
| 58.878 | |||||
| 20.034 | |||||
| 52.674 | |||||
| 32.235 | |||||
| 47.766 | |||||
| 196.122 | |||||
| 332.696 | |||||
| 116.717 | |||||
| 338.435 | |||||
| 2.863.409 | |||||
| 959.373 | |||||
| 81.054 | |||||
| 7.941 | |||||
| 9.844 | |||||
| 9.472 | |||||
| 22.692 | |||||
| 327 | |||||
| 9.116 | |||||
| 6.000 | |||||
| 46.925 | |||||
| 2.813 | |||||
| 44.745 | |||||
| 37.816 | |||||
| 138.219 | |||||
| 12.982 | |||||
| 20.728 | |||||
| 530.840 | |||||
| 49.825 | |||||
| 4.204.622 | |||||
| **D DIVERSIFIED FUND OF CANADA - DFC QUALITY LOW VOLATILITY GLOB 0 7.488 |
7.488 | ||||
| **D NBIMC EAFE EQUITY INDEX FUND. 0 27.586 |
27.586 | ||||
| **D AMUNDI DIVIDENDO ITALIA 0 870.000 |
870.000 | ||||
| **D AMUNDI ESG SELECTION BILANCIATO 0 95.870 |
95.870 | ||||
| **D AMUNDI ESG SELECTION DINAMICO 0 51.763 |
51.763 | ||||
| **D AMUNDI VALORE ITALIA PIR 0 150.000 |
150.000 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI ESG SELECTION CONSERVATIVO | 0 | 39.600 | 39.600 |
| **D | AMUNDI ACCUMULAZIONE INFRASTRUTTURE GLOBALI 2028 DUE | 0 | 32.775 | 32.775 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLOBALI 2028 | 0 | 43.527 | 43.527 |
| **D | AMUNDI PROGETTO INCOME 2028 | 0 | 6.208 | 6.208 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 QUATTRO | 0 | 7.819 | 7.819 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 TRE | 0 | 8.031 | 8.031 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 DUE | 0 | 21.848 | 21.848 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 | 0 | 37.754 | 37.754 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE | 0 | 110.890 | 110.890 |
| **D | AMUNDI PROG INC REALE 2026 | 0 | 29.514 | 29.514 |
| **D | AMUNDI PROGETTO INCOME AGOSTO 2026 | 0 | 23.729 | 23.729 |
| **D | AMUNDI PROGETTO INCOME 2026 DUE 20121 | 0 | 29.456 | 29.456 |
| **D | AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 | 0 | 193.674 | 193.674 |
| **D | FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME 2026 |
0 | 16.657 | 16.657 |
| **D | AMUNDI PRIVATE GLOBAL INFRASTRU 2024 | 0 | 90.876 | 90.876 |
| **D | AMUNDI PROGETTO INCOME 2025 | 0 | 27.354 | 27.354 |
| **D | CRELAN INVEST DYNAMIC | 0 | 36.712 | 36.712 |
| **D | CRELAN INVEST CONSERVATIVE | 0 | 9.854 | 9.854 |
| **D | CRELAN INVEST BALANCED | 0 | 77.017 | 77.017 |
| **D | ASR INSTITUT FONDSEN EUR AANDELEN | 0 | 276.053 | 276.053 |
| **D | ING SELECT FUND - INKOMEN ZEER OFFENSIEF |
0 | 38.518 | 38.518 |
| **D | ING SELECT FUND - INKOMEN OFFENSIEF |
0 | 71.115 | 71.115 |
| **D | ING SELECT FUND - INKOMEN NEUTRAAL |
0 | 238.436 | 238.436 |
| **D | ING SELECT FUND - INKOMEN ZEER DEFENSIEF |
0 | 3.464 | 3.464 |
| **D | ING SELECT FUND - INKOMEN DEFENSIEF |
0 | 83.643 | 83.643 |
| **D | ONDERLINGE S GRAVEN | 0 | 312.024 | 312.024 |
| **D | BEVEILIGING MANDAAT SSGA RE AANDELEN | 0 | 81.581 | 81.581 |
| **D | SPA MANDATE BLACKROCK | 0 | 70.090 | 70.090 |
| **D | ST PFD PMA MANDATE BLACKROCK | 0 | 26.825 | 26.825 |
| **D | ST. PF VOOR DE ARCHITECTENBUREAUS-DME SS | 0 | 5.597 | 5.597 |
| **D | CENTRAL BANK OF IRELAND | 0 | 16.367 | 16.367 |
| **D | ONEMARKETS AMUNDI FLEXIBLE INCOME FUND | 0 | 235.729 | 235.729 |
| **D | CANDRIAM GF AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE | 0 | 65.401 | 65.401 |
| **D | CPR INVEST HYDROGEN | 0 | 1.734.994 | 1.734.994 |
| **D | AMUNDI STOXX EUROPE 600 | 0 | 1.521.684 | 1.521.684 |
| **D | AMUNDI MSCI EUROPE | 0 | 1.156.581 | 1.156.581 |
| **D | ONEMARKETS PIMCO GLOBAL BALANCED ALLOC | 0 | 21.813 | 21.813 |
| **D | AMUNDI FTSE MIB | 0 | 1.314.283 | 1.314.283 |
| **D | STRUCTURA - DIVERSIF GROWTH FD-CSA AMUND |
0 | 4.834 | 4.834 |
| **D | LUXCELLENCE-HELVETIA EUROP EQUITY | 0 | 24.600 | 24.600 |
| **D | CPR INVEST - EUROPEAN STRATEGIC AUTONOMY |
0 | 281.513 | 281.513 |
| **D | RCO LUX MONTJOLY INVEST POOL AMUNDI | 0 | 23.561 | 23.561 |
| **D | AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 0 | 9.882 | 9.882 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 0 | 30.115 | 30.115 |
| **D | AMUNDI FD EUROPEAN EQUITY ESG IMPROVERS | 0 | 2.431.059 | 2.431.059 |
| **D | CLEOME INDEX - WORLD EQUITIES |
0 | 12.226 | 12.226 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY CONSERVATIVE |
0 | 2.860.846 | 2.860.846 |
| **D | LO FUNDS - ALL ROADS |
0 | 285.488 | 285.488 |
| **D | AMUNDI INDEX MSCI EUROPE | 0 | 797.057 | 797.057 |
| **D | AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 0 | 2.793 | 2.793 |
| **D | AMUNDI INDEX MSCI WORLD | 0 | 142.354 | 142.354 |
| **D | AMUNDI FUNDS EQUITY EURO RISK PARITY | 0 | 382.304 | 382.304 |
| **D | AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA | 0 | 1.917 | 1.917 |
| **D | LO FUNDS - ALL ROADS CONSERVATIVE |
0 | 32.588 | 32.588 |
| **D | LO FUNDS - ALL ROADS GROWTH |
0 | 193.435 | 193.435 |
| **D | AMUNDI FUNDS MULTI ASSET CONSERVATIVE | 0 | 61.442 | 61.442 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY |
0 | 51.941 | 51.941 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE |
0 | 16.430 | 16.430 |
| **D | AMUNDI PRIME EUROZONE | 0 | 40.585 | 40.585 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL |
0 | 31.989 | 31.989 |
| **D | AMUNDI FDS GLOBAL MULTI-ASSET TARGET INC | 0 | 180.459 | 180.459 |
| **D | AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 0 | 108.684 | 108.684 |
| **D | AMUNDI FUNDS REAL ASSETS TARGET INCOME | 0 | 250.000 | 250.000 |
| **D | AMUNDI FUNDS GLOBAL MULTI-ASSET | 0 | 199.508 | 199.508 |
| **D | AMUNDI FDS GLOB MULTI-ASSET CONSERVATIVE | 0 | 480.991 | 480.991 |
| **D | AMUNDI FUNDS EURO MULTI-ASSET TARGET INC | 0 | 186.711 | 186.711 |
| **D | CLEOME INDEX - EMU EQUITIES |
0 | 66.454 | 66.454 |
| **D | AMUNDI EURO STOXX SELECT DIVIDEND 30 | 0 | 451.795 | 451.795 |
| **D | AMUNDI MSCI EMU ESG CTB NET ZERO AMBIT | 0 | 354.855 | 354.855 |
| **D | EDMOND DE ROTHSCHILD FUND INCOME EUROPE | 0 | 332.910 | 332.910 |
| **D | EDR FUND II - INCOME 2024 |
0 | 40.362 | 40.362 |
| **D | NATWEST TDS DEP VT DWEUUNIN C | 0 | 340.780 | 340.780 |
| **D | SB CIF - ECOFIN ADVISORS |
0 | 77.055 | 77.055 |
| **D | SB CIF - MACQUARIE |
0 | 195.069 | 195.069 |
| **D | AMUNDI DEUTSCHLAND GMBH - SUEDINVEST 43 |
0 | 12.000 | 12.000 |
| **D | HI-LH FONDS | 0 | 13.004 | 13.004 |
| **D | AMUNDI ETHIK PLUS | 0 | 215.833 | 215.833 |
| **D | VPV-SPEZIAL AMUNDI | 0 | 24.669 | 24.669 |
| **D | AMUNDI WELTPORTFOLIO | 0 | 2.842 | 2.842 |
| **D | JUNON ACTIONS OBLIGATIONS | 0 | 613.859 | 613.859 |
| **D | PLURI-INVESTISSEMENTS | 0 | 6.925 | 6.925 |
| **D | FCP ARRCO LONG TERME D | 0 | 786.758 | 786.758 |
| **D | LBPAM 3 MOIS | 0 | 7.815.235 | 7.815.235 |
| **D | TONI ACTIONS ISR 100 | 0 | 65.997 | 65.997 |
| **D | FCP CARP - INDO |
0 | 722.315 | 722.315 |
| **D | FDRN AMUNDI | 0 | 272.843 | 272.843 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CRN AMUNDI ACTIONS | 0 | 407.528 | 407.528 |
| **D | LBPAM ACTIONS DIVIDENDES EUROP | 0 | 267.634 | 267.634 |
| **D | ROPS EURO P | 0 | 260.142 | 260.142 |
| **D | INVESTISSEMENT N101 | 0 | 30.141 | 30.141 |
| **D | IRCEC CASSETTE DIVERSIFIE | 0 | 148.710 | 148.710 |
| **D | FGV ACTIONS EUROPE LM A | 0 | 82.079 | 82.079 |
| **D | CNP ACTIONS EUROPE AMUNDI | 0 | 393.161 | 393.161 |
| **D | DIEZE | 0 | 26.757 | 26.757 |
| **D | VILLIERS ALTO | 0 | 130.670 | 130.670 |
| **D | AA SSGA ACTIONS INDICE EURO | 0 | 573.535 | 573.535 |
| **D | STAR PASTEUR | 0 | 71.494 | 71.494 |
| **D | CONTI GESTION | 0 | 82.569 | 82.569 |
| **D | SACD INVESTISSEMENT | 0 | 83.902 | 83.902 |
| **D | ALLOCATION INVEST EQUITY CORE | 0 | 227.044 | 227.044 |
| **D | IP ACTIONS EURO | 0 | 49.532 | 49.532 |
| **D | BEL EQUITY EUROPE ESG | 0 | 88.005 | 88.005 |
| **D | ALLOCATION INVEST EQUITY SATELLITE | 0 | 33.896 | 33.896 |
| **D | GROUPAMA SELECTION EURO DIVERSIFIE | 0 | 5.451 | 5.451 |
| **D | MICHELET TUNNEL | 0 | 100.062 | 100.062 |
| **D | GROUPAMA LOIRE BRETAGNE REGIONAL 1 | 0 | 18.726 | 18.726 |
| **D | WORLD EQUITIES | 0 | 4.597 | 4.597 |
| **D | ARRCO QUANT 2 | 0 | 106.826 | 106.826 |
| **D | AP ACTIONS 1 EURO | 0 | 99.401 | 99.401 |
| **D | ALLOCATION ACTIONS SATELLITE | 0 | 3.193 | 3.193 |
| **D | ROPS-SMART INDEX EURO | 0 | 1.132.228 | 1.132.228 |
| **D | AMUNDI STRATEGIES ACTIONS EURO OPTIM DIV HR | 0 | 151.278 | 151.278 |
| **D | AMUNDI STRATEGIES ACTIONS EURO CORE + | 0 | 73.248 | 73.248 |
| **D | LCL ACTIONS MONDE HORS EUROPE EURO | 0 | 128.035 | 128.035 |
| **D | AMUNDI RENDEMENT PLUS | 0 | 56.237 | 56.237 |
| **D | COVEA OBLIGATIONS CONVERTIBLES | 0 | 439.065 | 439.065 |
| **D | COVEA ACTIONS RENDEMENT | 0 | 1.425.806 | 1.425.806 |
| **D | ASSURDIX | 0 | 179.592 | 179.592 |
| **D | LCL ACTIONS FRANCE CORE PLUS | 0 | 9.470 | 9.470 |
| **D | CPR EURO HIGH DIVIDEND | 0 | 264.761 | 264.761 |
| **D | AMUNDI ACTIONS FRANCE ISR | 0 | 1.025.761 | 1.025.761 |
| **D | AMUNDI ESG IMPROVERS EURO | 0 | 2.831.253 | 2.831.253 |
| **D | AMUNDI EUROPE MONDE | 0 | 181.770 | 181.770 |
| **D | AMUNDI ACTIONS EURO ISR | 0 | 393.583 | 393.583 |
| **D | LCL ACTIONS EURO CORE+ | 0 | 47.736 | 47.736 |
| **D | ATOUT FRANCE CORE | 0 | 36.620 | 36.620 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE CORE + | 0 | 33.215 | 33.215 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE OPTIM DIV HR | 0 | 85.017 | 85.017 |
| **D | COLOMBES 6 | 0 | 112.000 | 112.000 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 0 | 7.314 | 7.314 |
| **D | GROUPAMA EURO EQUITIES | 0 | 17.157 | 17.157 |
| **D | AMUNDI PATRIMOINE PEA | 0 | 220.972 | 220.972 |
| **D | COVEA PATRIMOINE | 0 | 105.000 | 105.000 |
| **D | AMUNDI EQUITY EURO CONSERVATIV | 0 | 1.492.676 | 1.492.676 |
| **D | CPR EUROLAND PREMIUM ESG | 0 | 30.093 | 30.093 |
| **D | FINALTIS EFFICIENT BETA EURO | 0 | 56.506 | 56.506 |
| **D | STRATEGIE EURO ISR | 0 | 60.231 | 60.231 |
| **D | COVEA SOLIS | 0 | 1.647.050 | 1.647.050 |
| **D | LBPAM ISR ACTIONS EURO MIN VOL | 0 | 14.194 | 14.194 |
| **D | BETAMAX GLOBAL SMART FOR CLIMATE | 0 | 8.310 | 8.310 |
| **D | FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 0 | 161.411 | 161.411 |
| **D | GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 22.052 | 22.052 |
| **D | AMUNDI ETF PEA S P 500 UCITS E | 0 | 5.200.000 | 5.200.000 |
| **D | TOCQUEVILLE DIVIDENDE ISR | 0 | 750.000 | 750.000 |
| **D | EDR SICAV - EQUITY EURO SOLVE |
0 | 210.230 | 210.230 |
| **D | EDMOND DE ROTHSCHILD ASSET MANAGEMENT (EDRAM) | 0 | 9.829 | 9.829 |
| **D | POLLUX | 0 | 29.050 | 29.050 |
| **D | EDR SICAV - EUROPEAN IMPROVERS |
0 | 31.400 | 31.400 |
| **D | CNP ASSUR EDRAM ACTIONS EUROPE | 0 | 618.640 | 618.640 |
| **D | HELVETIA I EUROPA | 0 | 160.890 | 160.890 |
| **D | ING DIRECT FONDO NARANJA CONSERVADOR FI | 0 | 5.264 | 5.264 |
| **D | ING DIRECT FONDO NARANJA MODERADO FI | 0 | 32.463 | 32.463 |
| **D | ING DIRECT FONDO NARANJA DINAMICO FI | 0 | 46.575 | 46.575 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA |
0 | 6.700.000 | 6.700.000 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA |
0 | 1.200.000 | 1.200.000 |
| **D | ALLEANZA ASSICURAZIONI SPA | 0 | 895.060 | 895.060 |
| **D | TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV | 0 | 147.765 | 147.765 |
| **D | CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 0 | 1.889.963 | 1.889.963 |
| **D | PEOPLE`S BANK OF CHINA | 0 | 1.415.189 | 1.415.189 |
| **D | FLOURISH INVESTMENT CORPORATION | 0 | 163.170 | 163.170 |
| **D | INTERNATIONAL MONETARY FUND | 0 | 859.172 | 859.172 |
| **D | ABN AMRO FUNDS | 0 | 45.833 | 45.833 |
| **D | ISHARES EURO STOXX UCITS ETF (DE) | 0 | 780.555 | 780.555 |
| **D | ISHARES EURO STOXX SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 3.733.991 | 3.733.991 |
| **D | ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 0 | 693.503 | 693.503 |
| **D | ISHARES STOXX EUROPE SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 2.006.668 | 2.006.668 |
| **D | ISHARES STOXX GLOBAL SELECT DIVI100 UCITS ETF DE | 0 | 4.784.255 | 4.784.255 |
| **D | ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 0 | 1.250.680 | 1.250.680 |
| **D | ISHARES STOXX EUROPE 600 OIL GAS UCITS ETF DE | 0 | 2.258.767 | 2.258.767 |
| **D | GENERAL CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS | 0 | 264.201 | 264.201 |
| **D | PACE INTERNATIONAL EQUITY INVESTMENTS | 0 | 1.569.809 | 1.569.809 |
| **D | COLLEGE RETIREMENT EQUITIES FUND | 0 | 69.008 | 69.008 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TIAACREF INTERNATIONAL EQUITY INDEX FUND | 0 | 2.883.365 | 2.883.365 |
| **D | BON SECOURS MERCY HEALTH | 0 | 450.049 | 450.049 |
| **D | DESJARDINS GLOBAL DIVIDEND FUND | 0 | 4.932.045 | 4.932.045 |
| **D | THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 0 | 803.152 | 803.152 |
| **D | BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 0 | 112.553 | 112.553 |
| **D | VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 0 | 217.192 | 217.192 |
| **D | STATE OF MINNESOTA | 0 | 868.764 | 868.764 |
| **D | JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 0 | 119.526 | 119.526 |
| **D | RUSSELL INVESTMENT COMPANY PLC | 0 | 41.532 | 41.532 |
| **D | SPDR MSCI ACWI EXUS ETF | 0 | 166.424 | 166.424 |
| **D | SPDR S&P INTERNATIONAL DIVIDENDETF | 0 | 1.429.658 | 1.429.658 |
| **D | SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 0 | 1.818.382 | 1.818.382 |
| **D | MORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 111.523 | 111.523 |
| **D | MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO |
0 | 9.588 | 9.588 |
| **D | MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO | 0 | 608 | 608 |
| **D | PRINCIPAL DIVERSIFIED REAL ASSET CIT | 0 | 1.889.666 | 1.889.666 |
| **D | CALIFORNIA STATE TEACHERS` RETIREMENT SYSTEM | 0 | 11.778.868 | 11.778.868 |
| **D | TEACHER RETIREMENT SYSTEM OF TEXAS | 0 | 2.829 | 2.829 |
| **D | MERCY HEALTH RETIREMENT TRUST | 0 | 1.413 | 1.413 |
| **D | SPDR PORTFOLIO EUROPE ETF | 0 | 45.871 | 45.871 |
| **D | SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 0 | 8.710.704 | 8.710.704 |
| **D | SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 0 | 1.506.028 | 1.506.028 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 0 | 257.390 | 257.390 |
| **D | M INTERNATIONAL EQUITY FUND | 0 | 9.035 | 9.035 |
| **D | FRANK RUSSELL INVESTMENT CO II PLC | 0 | 9.667 | 9.667 |
| **D | IBM 401(K) PLUS PLAN TRUST | 0 | 325.042 | 325.042 |
| **D | THE MONETARY AUTHORITY OF SINGAPORE | 0 | 49.998 | 49.998 |
| **D | MANAGED PENSION FUNDS LIMITED | 0 | 541.379 | 541.379 |
| **D | SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND | 0 | 8.196 | 8.196 |
| **D | SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND |
0 | 311.917 | 311.917 |
| **D | EURIZON FUND | 0 | 3.174.290 | 3.174.290 |
| **D | INSTITUTIONAL SOLUTIONS FUND FCP-SIF | 0 | 724.685 | 724.685 |
| **D | STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 0 | 7.415 | 7.415 |
| **D | THE MONETARY AUTHORITY OF SINGAPORE MAS | 0 | 3.472 | 3.472 |
| **D | BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY INDEX | 0 | 81.652 | 81.652 |
| **D | ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 0 | 17.428 | 17.428 |
| **D | ISHARES II PUBLIC LIMITED COMPANY | 0 | 4.390.658 | 4.390.658 |
| **D | ISHARES V PUBLIC LIMITED COMPANY | 0 | 11.483 | 11.483 |
| **D | ISHARES III PUBLIC LIMITED COMPANY | 0 | 979 | 979 |
| **D | ISHARES VI PUBLIC LIMITED COMPANY | 0 | 200 | 200 |
| **D | ISHARES IV PUBLIC LIMITED COMPANY | 0 | 4.380.835 | 4.380.835 |
| **D | ARGO GLOBAL LISTED INFRASTRUCTURE LIMITED | 0 | 561.032 | 561.032 |
| **D | AUSTRALIAN RETIREMENT TRUST | 0 | 1.556.200 | 1.556.200 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 0 | 29.333 | 29.333 |
| **D | RUSSELL INVESTMENTS GLOBAL SHARES INDEX FUND LEVEL 28 | 0 | 26.092 | 26.092 |
| **D | EMERGENCY SERVICES SUPERANNUATION SCHEME | 0 | 5.806 | 5.806 |
| **D | AWARE SUPER | 0 | 8.769 | 8.769 |
| **D | VANECK VECTORS FTSE GLOBAL INFRASTRUCTURE (HEDGED) ETF GOLD FIELD HOUSE | 0 | 455.604 | 455.604 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTUCTURE FUND HEDGED | 0 | 56.408 | 56.408 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 13.848.447 | 13.848.447 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND (HEDGED) | 0 | 396.377 | 396.377 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND | 0 | 1.703.657 | 1.703.657 |
| **D | RETAIL EMPLOYEES SUPERANNUATIONTRUST | 0 | 292.898 | 292.898 |
| **D | INTERNATIONAL EQUITIES SECTOR TRUST | 0 | 1.311 | 1.311 |
| **D | GMO MULTI-ASSET TRUST | 0 | 41.357 | 41.357 |
| **D | NEW AIRWAYS PENSION SCHEME | 0 | 5.813 | 5.813 |
| **D | FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU | 0 | 47.582 | 47.582 |
| **D | EURIZON PIR ITALIA AZIONI | 0 | 85.705 | 85.705 |
| **D | EURIZON CAP SGR-RENDITA | 0 | 8.336 | 8.336 |
| **D | EURIZON AZIONI ITALIA | 0 | 3.063.937 | 3.063.937 |
| **D | EURIZON PROGETTO ITALIA 40 | 0 | 351.592 | 351.592 |
| **D | EURIZON PROGETTO ITALIA 70 | 0 | 480.133 | 480.133 |
| **D | ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 0 | 1.188.259 | 1.188.259 |
| **D | ISHARES MSCI ACWI ETF | 0 | 578.941 | 578.941 |
| **D | ISHARES MSCI ACWI EX U.S. ETF | 0 | 362.897 | 362.897 |
| **D | ISHARES GLOBAL UTILITIES ETF | 0 | 165.558 | 165.558 |
| **D | ISHARES MSCI EUROZONE ETF | 0 | 2.736.314 | 2.736.314 |
| **D | ISHARES EUROPE ETF | 0 | 326.366 | 326.366 |
| **D | ISHARES MSCI EAFE ETF | 0 | 6.354.405 | 6.354.405 |
| **D | ISHARES MSCI EAFE VALUE ETF | 0 | 4.201.907 | 4.201.907 |
| **D | ISHARES MSCI KOKUSAI ETF | 0 | 6.301 | 6.301 |
| **D | ISHARES MSCI ITALY ETF | 0 | 2.631.595 | 2.631.595 |
| **D | ISHARES INTERNATIONAL SELECT DIVIDEND ETF | 0 | 9.295.330 | 9.295.330 |
| **D | ISHARES MSCI EAFE MIN VOL FACTOR ETF | 0 | 6.662.963 | 6.662.963 |
| **D | ISHARES CORE MSCI EUROPE ETF | 0 | 761.870 | 761.870 |
| **D | ISHARES INTERNATIONAL EQUITY FACTOR ETF | 0 | 394.415 | 394.415 |
| **D | ISHARES MSCI GLOBAL MULTIFACTORETF | 0 | 39.180 | 39.180 |
| **D | ISHARES MSCI ACWI LOW CARBON TARGET ETF | 0 | 167.543 | 167.543 |
| **D | ISHARES MSCI INTL SIZE FACTOR ETF | 0 | 1.176 | 1.176 |
| **D | ISHARES MSCI WORLD ETF | 0 | 101.998 | 101.998 |
| **D | ISHARES CORE MSCI EAFE ETF | 0 | 11.752.759 | 11.752.759 |
| **D | ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 0 | 2.384.742 | 2.384.742 |
| **D | ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 0 | 1.223.036 | 1.223.036 |
| **D | ISHARES CORE MSCI GLOBAL QUALITY DIVIDEND INDEX ETF | 0 | 39.535 | 39.535 |
| **D | ISHARES CORE MSCI EAFE IMI INDEX ETF | 0 | 564.712 | 564.712 |
| **D | ISHARES MSCI EUROPE IMI INDEX ETF | 0 | 39.227 | 39.227 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 0 | 13.283 | 13.283 |
| **D | ISHARES GLOBAL MONTHLY DIVIDENDINDEX ETF (CAD-HEDGED) | 0 | 66.319 | 66.319 |
| **D | ACOMEA PMITALIA ESG | 0 | 421.800 | 421.800 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QVALUE |
0 | 7.792 | 7.792 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QRETURN |
0 | 21.501 | 21.501 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR DLONGRUN |
0 | 814 | 814 |
| **D | ACOMEA PATRIMONIO ESENTE | 0 | 30.000 | 30.000 |
| **D | DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 0 | 18.056 | 18.056 |
| **D | STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 0 | 552.170 | 552.170 |
| **D | BLACKROCK STRATEGIC FUNDS | 0 | 100 | 100 |
| **D | BLACKROCK GLOBAL INDEX FUNDS | 0 | 200 | 200 |
| **D | COHEN AND STEERS SICAV | 0 | 260.087 | 260.087 |
| **D | XTRACKERS | 0 | 3.152.311 | 3.152.311 |
| **D | DWS MULTI ASSET PIR FUND | 0 | 215.000 | 215.000 |
| **D | DWS INVEST | 0 | 7.560.627 | 7.560.627 |
| **D | GOLDMAN SACHS FUNDS | 0 | 103.794 | 103.794 |
| **D | EPSILON FUND | 0 | 370.479 | 370.479 |
| **D | EURIZON INVESTMENT SICAV | 0 | 23.412 | 23.412 |
| **D | EURIZON NEXT 2.0 | 0 | 48.890 | 48.890 |
| **D | OSSIAM LUX | 0 | 54.825 | 54.825 |
| **D | EURIZON AM SICAV | 0 | 6.589 | 6.589 |
| **D | ARERO - DER WELTFONDS - ESG |
0 | 40.331 | 40.331 |
| **D | UBS LUX FUND SOLUTIONS | 0 | 2.436.922 | 2.436.922 |
| **D | AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO |
0 | 100 | 100 |
| **D | AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 0 | 21.938 | 21.938 |
| **D | AB GLOBAL RISK ALLOCATION FUND INC | 0 | 22.765 | 22.765 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 0 | 45.108 | 45.108 |
| **D | COMMONFUND STRATEGIC SOLUTIONS GLOBAL EQUITY, LLC | 0 | 21.642 | 21.642 |
| **D | VPV ALLGEMEINE VERSICHERUNGSAG | 0 | 70.000 | 70.000 |
| **D | INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST | 0 | 1.048.454 | 1.048.454 |
| **D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS | 0 | 74.982 | 74.982 |
| **D | COHEN & STEERS REAL ASSETS FUND, INC | 0 | 398.760 | 398.760 |
| **D | COHEN AND STEERS GLOBAL REALTY FOCUS FUND | 0 | 246.723 | 246.723 |
| **D | COHEN & STEERS INFRASTRUCTURE FUND, INC. | 0 | 3.661.538 | 3.661.538 |
| **D | JOHN HANCOCK TAX-ADVANTAGED GLOBAL SHAREHOLDER YIELD FUND | 0 | 143.000 | 143.000 |
| **D | JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST | 0 | 271.252 | 271.252 |
| **D | JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 0 | 116.641 | 116.641 |
| **D | JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 0 | 82.599 | 82.599 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 0 | 193.817 | 193.817 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 0 | 116.754 | 116.754 |
| **D | HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
0 | 104.597 | 104.597 |
| **D | JOHN HANCOCK FUNDS II INCOME ALLOCATION FUND | 0 | 45.818 | 45.818 |
| **D | SCHWAB INTERNATIONAL EQUITY ETF | 0 | 4.165.807 | 4.165.807 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX ETF | 0 | 1.162.996 | 1.162.996 |
| **D | FCA US LLC MASTER RETIREMENT TRUST | 0 | 611.709 | 611.709 |
| **D | KAISER FOUNDATION HOSPITALS | 0 | 27.152 | 27.152 |
| **D | KAISER PERMANENTE GROUP TRUST | 0 | 26.384 | 26.384 |
| **D | HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
0 | 82.141 | 82.141 |
| **D | HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO |
0 | 7.012 | 7.012 |
| **D | HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO |
0 | 1.265 | 1.265 |
| **D | SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND | 0 | 66.552 | 66.552 |
| **D | STATE STREET TOTAL RETURN VIS FUND | 0 | 18.214 | 18.214 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST | 0 | 355.095 | 355.095 |
| **D | VANGUARD TOTAL WORLD STOCK INDEX FUND | 0 | 1.305.558 | 1.305.558 |
| **D | VANGUARD DEVELOPED MARKETS INDEX FUND | 0 | 18.898.040 | 18.898.040 |
| **D | INVESCO INCOME ADVANTAGE INTERNATIONAL FUND | 0 | 2.274 | 2.274 |
| **D | ZURICH INVEST ICAV | 0 | 150.523 | 150.523 |
| **D | SSB FTSE RAFI DEVELOPED 1000 INDEX NONLENDING COMMON TRUST FUND | 0 | 10.500 | 10.500 |
| **D | STATE STREET FACTORBASED NONLENDING COMMON TRUST FUND | 0 | 9.801 | 9.801 |
| **D | SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND | 0 | 22.978 | 22.978 |
| **D | PENSIOENFONDS METAAL OFP | 0 | 330.632 | 330.632 |
| **D | FCA CANADA INC. ELECTED MASTER TRUST | 0 | 170.589 | 170.589 |
| **D | NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 0 | 577.935 | 577.935 |
| **D | EMPOWER ANNUITY INSURANCE COMPANY | 0 | 82.371 | 82.371 |
| **D | MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND | 0 | 77.565 | 77.565 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUNDS - ZIF GREEN |
0 | 85.409 | 85.409 |
| **D | WISDOMTREE INTERNATIONAL EQUITYFUND | 0 | 7.077 | 7.077 |
| **D | WISDOMTREE GLOBAL HIGH DIVIDENDFUND | 0 | 395 | 395 |
| **D | WISDOMTREE INTERNATIONAL DIVIDEND EX-FINANCIALS FUND | 0 | 70.587 | 70.587 |
| **D | WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 0 | 153.521 | 153.521 |
| **D | WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 0 | 493 | 493 |
| **D | WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND | 0 | 69.066 | 69.066 |
| **D | VANGUARD FTSE DEVELOPED EX NORTH AMERICA HIGH DIVIDEND YIELD IND | 0 | 28.374 | 28.374 |
| **D | WISDOMTREE ISSUER ICAV | 0 | 44.019 | 44.019 |
| **D | WASHINGTON STATE INVESTMENT BOARD | 0 | 823.057 | 823.057 |
| **D | WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 0 | 94.150 | 94.150 |
| **D | UBS (IRL) ETF PLC | 0 | 729.814 | 729.814 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ | 0 | 51.024 | 51.024 |
| **D | AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - GLOBAL EQUITY CHF |
0 | 67.678 | 67.678 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 | 0 | 23.155 | 23.155 |
| **D | VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 0 | 24.423 | 24.423 |
| **D | VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 0 | 337.143 | 337.143 |
| **D | ASIAN DEVELOPMENT BANK | 0 | 1.102.876 | 1.102.876 |
| **D | UNITED INCOME FOCUS TRUST | 0 | 77.204 | 77.204 |
| **D | TENNESSEE CONSOLIDATED RETIREMENT SYSTEM | 0 | 5.440.588 | 5.440.588 |
| **D | PUBLIC EMPLOYEES` LONG-TERM CARE FUND | 0 | 12.192.303 | 12.192.303 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ALBERTA INVESTMENT MANAGEMENT CORPORATION | 0 | 2.674.753 | 2.674.753 |
| **D | STATE STREET CCF | 0 | 29.042 | 29.042 |
| **D | INTEL RETIREMENT PLANS COLLECTIVE INVESTMENT TRUST | 0 | 103.315 | 103.315 |
| **D | THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 0 | 409.231 | 409.231 |
| **D | SIR DAVID TRENCH FUND FOR RECREATION | 0 | 2.586 | 2.586 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR SRV100 | 0 | 10.504 | 10.504 |
| **D | STATE STREET IRELAND UNIT TRUST | 0 | 85.182 | 85.182 |
| **D | SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 0 | 975.128 | 975.128 |
| **D | SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 0 | 409.946 | 409.946 |
| **D | STICHTING PENSIOENFONDS TANDARTSEN EN TANDARTS-SPECIALISTEN | 0 | 6.791 | 6.791 |
| **D | DESJARDINS INTERNATIONAL EQUITYIND EX ETF | 0 | 15.663 | 15.663 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX FUND | 0 | 3.823 | 3.823 |
| **D | SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST | 0 | 11.017 | 11.017 |
| **D | THE BANK OF KOREA | 0 | 8.612 | 8.612 |
| **D | SELFFINANCING POSTSECONDARY EDUCATION FUND | 0 | 1.351 | 1.351 |
| **D | GOVERNMENT PENSION INVESTMENT FUND | 0 | 11.713.378 | 11.713.378 |
| **D | RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL | 0 | 6.760 | 6.760 |
| **D | RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL | 0 | 3.202 | 3.202 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT | 0 | 57.662 | 57.662 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E PLUS FUND | 0 | 202.308 | 202.308 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC GLOBAL LISTED INFRA | 0 | 194.868 | 194.868 |
| **D | RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET I-ASSET GROWTH FUND | 0 | 27.488 | 27.488 |
| **D | THE INCUBATION FUND LTD | 0 | 592 | 592 |
| **D | DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN | 0 | 7.867 | 7.867 |
| **D | DEAM-FONDS CPT | 0 | 27.115 | 27.115 |
| **D | THRIVENT INTERNATIONAL INDEX PORTFOLIO | 0 | 23.752 | 23.752 |
| **D | RUSSELL INVESTMENTS GLOBAL INFRASTRUCTURE POOL | 0 | 951.895 | 951.895 |
| **D | RUSSELL OVERSEAS EQUITY POOL . | 0 | 31.149 | 31.149 |
| **D | STATE OF NEW JERSEY COMMON PENSION FUND D | 0 | 688.338 | 688.338 |
| **D | CITY OF NEW YORK GROUP TRUST | 0 | 705.702 | 705.702 |
| **D | BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO | 0 | 78.165 | 78.165 |
| **D | JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO | 0 | 2.700 | 2.700 |
| **D | RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 352.625 | 352.625 |
| **D | IBM RETIREMENT PLAN | 0 | 6.974 | 6.974 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 0 | 8.000 | 8.000 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR DEBEKAAKTIENEUROPAESG | 0 | 1.108.300 | 1.108.300 |
| **D | GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND |
0 | 152.813 | 152.813 |
| **D | GOLDMAN SACHS MULTIMANAGER REALASSETS STRATEGY FND | 0 | 852.132 | 852.132 |
| **D | GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND | 0 | 13.345 | 13.345 |
| **D | RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 148.126 | 148.126 |
| **D | ALLIANCEBERNSTEIN LP | 0 | 10.417 | 10.417 |
| **D | LAZARD EQUITY FRANCHISE PORTFOLIO | 0 | 1.582.400 | 1.582.400 |
| **D | LAZARD ESC GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 165.709 | 165.709 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DEKA INVESTMENT GMBH FOR KDF 3 | 0 | 84.054 | 84.054 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 90.149.645 | 90.149.645 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR ARBOR I UI | 0 | 18.641 | 18.641 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 0 | 61.500 | 61.500 |
| **D | MERCER QIF COMMON CONTRACTUAL FUND | 0 | 482.752 | 482.752 |
| **D | MARIGOLD TACTICAL STRATEGIES LTD | 0 | 9.105 | 9.105 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 1.347.204 | 1.347.204 |
| **D | RHUMBLINE LOW CARBON INDEX FUNDLLC | 0 | 71.647 | 71.647 |
| **D | MDPIM INTERNATIONAL EQUITY INDEX POOL | 0 | 95.115 | 95.115 |
| **D | THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 0 | 71.455 | 71.455 |
| **D | MGI FUNDS PLC | 0 | 120.963 | 120.963 |
| **D | MORG STI INSTITUTIONAL FUND GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 445.637 | 445.637 |
| **D | SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF | 0 | 34.427 | 34.427 |
| **D | SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 0 | 35.510 | 35.510 |
| **D | SPDR MSCI EAFE STRATEGICFACTORSETF | 0 | 289.382 | 289.382 |
| **D | LAZARD GLOBAL ACTIVE FUNDS PLC | 0 | 22.936.814 | 22.936.814 |
| **D | RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 0 | 59.240 | 59.240 |
| **D | LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 0 | 3.711.715 | 3.711.715 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES | 0 | 297.487 | 297.487 |
| **D | LVIP BLACKROCK GLOBAL ALLOCATION FUND | 0 | 50.339 | 50.339 |
| **D | LVIP MONDRIAN INTERNATIONAL VALUE FUND | 0 | 6.668.345 | 6.668.345 |
| **D | LVIP SSGA INTERNATIONAL INDEX FUND | 0 | 277.650 | 277.650 |
| **D | LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 0 | 23.121 | 23.121 |
| **D | INSTITUTIONAL RETIREMENT TRUST | 0 | 35.339 | 35.339 |
| **D | CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 0 | 11.344 | 11.344 |
| **D | STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 0 | 455.368 | 455.368 |
| **D | STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 0 | 379.104 | 379.104 |
| **D | LACERA MASTER OPEB TRUST | 0 | 42.685 | 42.685 |
| **D | SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 0 | 4.424 | 4.424 |
| **D | SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF | 0 | 11.123 | 11.123 |
| **D | SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT | 0 | 18.644 | 18.644 |
| **D | SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO |
0 | 88.412 | 88.412 |
| **D | OPENWORLD PUBLIC LIMITED COMPANY | 0 | 352.486 | 352.486 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE (CANADA) FUND | 0 | 5.277.566 | 5.277.566 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE (CANADA) FUND | 0 | 1.543.012 | 1.543.012 |
| **D | TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 0 | 17.239 | 17.239 |
| **D | TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 0 | 10.221 | 10.221 |
| **D | JNL/MELLON MSCI WORLD INDEX FUND | 0 | 13.874 | 13.874 |
| **D | JNL/JPMORGAN GLOBAL ALLOCATION FUND | 0 | 2.579 | 2.579 |
| **D | JNL/DFA INTERNATIONAL CORE EQUITY FUND | 0 | 9.377 | 9.377 |
| **D | TANGERINE DIVIDEND PORTFOLIO | 0 | 47.160 | 47.160 |
| **D | TANGERINE BALANCED INCOME PORTFOLIO | 0 | 2.734 | 2.734 |
| **D | TANGERINE BALANCED PORTFOLIO | 0 | 24.218 | 24.218 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TANGERINE BALANCED GROWTH PORTFOLIO | 0 | 32.133 | 32.133 |
| **D | TANGERINE EQUITY GROWTH PORTFOLIO | 0 | 41.213 | 41.213 |
| **D | FIRST CHURCH OF CHRIST SCIENTIST | 0 | 6.811 | 6.811 |
| **D | PRESIMA GLOBAL REAL ESTATE SECURITIES ENHANCED YIELD FUND (TAXABLE) | 0 | 86.400 | 86.400 |
| **D | RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND | 0 | 30.484 | 30.484 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 0 | 28.817 | 28.817 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE TRUST | 0 | 2.956.945 | 2.956.945 |
| **D | FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 0 | 1.757 | 1.757 |
| **D | RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND | 0 | 409.057 | 409.057 |
| **D | RUSSELL INVESTMENT COMPANY GLOBAL INFRASTRUCTURE FUND | 0 | 340.057 | 340.057 |
| **D | RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 0 | 5.071 | 5.071 |
| **D | RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND | 0 | 22.279 | 22.279 |
| **D | FRANKLIN TEMPLETON ICAV | 0 | 374.490 | 374.490 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF |
0 | 14.040 | 14.040 |
| **D | FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT`L EQUITY HEDG | 0 | 297.104 | 297.104 |
| **D | FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 0 | 21.840 | 21.840 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROZONE ETF |
0 | 8.084 | 8.084 |
| **D | VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK |
0 | 279.780 | 279.780 |
| **D | MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 0 | 2.236.549 | 2.236.549 |
| **D | EPOCH INVESTMENT FUNDS PUBLIC LIMITED COMPANY | 0 | 126.428 | 126.428 |
| **D | AEON GLOBAL EQUITY SHAREHOLDER YIELD FUND | 0 | 118.899 | 118.899 |
| **D | CUSTODY BANK OF JAPAN LTD ASTRUSTEE FOR SUMITOMOMITSUI TRUST BANK LIMITED ASTRUSTEE FOR ANCHORMF | 0 | 1.525.423 | 1.525.423 |
| **D | EATON VANCE TAXMANAGED GLOBAL BUYWRITE OPPORTUNITIES FUND | 0 | 152.501 | 152.501 |
| **D | PARAMETRIC INTERNATIONAL EQUITYFUND | 0 | 62.700 | 62.700 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 0 | 122.821 | 122.821 |
| **D | CALVERT IMPACT FUND INC CALVERT GLOBAL ENERGY SOLUTIONS FUND | 0 | 182.139 | 182.139 |
| **D | CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 0 | 18.440 | 18.440 |
| **D | XTRACKERS (IE) PUBLIC LIMITED COMPANY | 0 | 990.266 | 990.266 |
| **D | DESJARDINS SECURITE FINANCIERE COMPAGNIE D`ASSURANCE VIE | 0 | 7.155 | 7.155 |
| **D | REGIME DE RENTES DU MOUVEMENT DESJARDINS | 0 | 11.199 | 11.199 |
| **D | REGIME DE RETRAITE DE LA CONFEDERATION DES SYNDICATS NATIONAUX | 0 | 33.400 | 33.400 |
| **D | CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 0 | 60.129 | 60.129 |
| **D | CITY UNIVERSITY OF NEW YORK | 0 | 2.473 | 2.473 |
| **D | TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 0 | 79.569 | 79.569 |
| **D | BMO INTERNATIONAL DIVIDEND ETF | 0 | 275.550 | 275.550 |
| **D | BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 0 | 567.199 | 567.199 |
| **D | CAPULA TAIL RISK MASTER FUND LIMITED | 0 | 12.096 | 12.096 |
| **D | CARDANO COMMON CONTRACTUAL FUND | 0 | 38.777 | 38.777 |
| **D | CENTRAL PROVIDENT FUND BOARD | 0 | 7.398 | 7.398 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 0 | 384.018 | 384.018 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 0 | 28.121 | 28.121 |
| **D | MATB MSCI KOKUSAI INDEX MOTHER FUND | 0 | 25.768 | 25.768 |
| **D | AMERICAN BUREAU OF SHIPPING | 0 | 2.090 | 2.090 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | RTX SAVINGS PLAN MASTER TRUST | 0 | 558.757 | 558.757 |
| **D | THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 0 | 59.041 | 59.041 |
| **D | BMO MSCI EAFE INDEX ETF | 0 | 601.938 | 601.938 |
| **D | BRUNEL LOW VOLATILITY GLOBAL EQUITY FUND | 0 | 466.472 | 466.472 |
| **D | PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 0 | 15.041 | 15.041 |
| **D | HSBC BANK PLC AS TRUSTEE OF STATE STREET AUT EUROPE EX UK S CREENED INDEX EQUITY FUND | 0 | 1.877.301 | 1.877.301 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES`S PLACE STRATEGIC MANAGE | 0 | 43.497 | 43.497 |
| **D | FAMILY INVESTMENTS CHILD TRUST FUND | 0 | 47.362 | 47.362 |
| **D | FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND | 0 | 38.776 | 38.776 |
| **D | NATIONAL EMPLOYMENT SAVINGS TRUST | 0 | 3.497.717 | 3.497.717 |
| **D | SUN CHEMICAL LIMITED PENSION SCHEME | 0 | 34.556 | 34.556 |
| **D | VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY INDEX FUND |
0 | 696.587 | 696.587 |
| **D | VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND | 0 | 1.272.645 | 1.272.645 |
| **D | VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 0 | 135.821 | 135.821 |
| **D | SCOTTISH WIDOWS INV.SOLUTIONS FUNDS ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND | 0 | 167.906 | 167.906 |
| **D | MULTI STYLE MULTI MANAGER FUNDSPLC | 0 | 97.622 | 97.622 |
| **D | DWS RREEF COLLECTIVE INVESTMENT TRUST | 0 | 178.390 | 178.390 |
| **D | DYNAMIC INFRASTRUCTURE SECURITIES FUND LP | 0 | 4.370 | 4.370 |
| **D | DWS RREEF REAL ASSETS FUND | 0 | 2.695.800 | 2.695.800 |
| **D | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 0 | 55.915 | 55.915 |
| **D | MARYLAND STATE RETIREMENT PENSION SYSTEM | 0 | 89.044 | 89.044 |
| **D | RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 0 | 5.024 | 5.024 |
| **D | NUVEEN REAL ASSET INCOME FUND | 0 | 1.997.825 | 1.997.825 |
| **D | FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 0 | 183.901 | 183.901 |
| **D | POLICE AND FIREMEN`S RETIREMENTSYSTEM OF NEW JERSEY | 0 | 315.128 | 315.128 |
| **D | PROCTER AND GAMBLE BELGIUM PENSION FUND | 0 | 5.128 | 5.128 |
| **D | PRUDENTIAL HONG KONG LIMITED | 0 | 1.626.494 | 1.626.494 |
| **D | PACIFIC SELECT FUND -PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO | 0 | 90.751 | 90.751 |
| **D | PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 0 | 20.616 | 20.616 |
| **D | NUVEEN MULTI-ASSET INCOME FUND | 0 | 139.528 | 139.528 |
| **D | NUVEEN REAL ASSET INCOME & GROWTH FUND | 0 | 977.152 | 977.152 |
| **D | NUVEEN INTERNATIONAL DIVIDEND GROWTH FUND | 0 | 27.926 | 27.926 |
| **D | TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 0 | 18.477 | 18.477 |
| **D | NORTHROP GRUMMAN PENSION MASTERTRUST | 0 | 45.189 | 45.189 |
| **D | THE BARCLAYS BANK UK RETIREMENTFUND | 0 | 27.368 | 27.368 |
| **D | GOLDMAN SACHS UK RETIREMENT PLAN | 0 | 97.433 | 97.433 |
| **D | STICHTING PHILIPS PENSIOENFONDS | 0 | 23.133 | 23.133 |
| **D | NOW PENSIONS TRUST | 0 | 43.699 | 43.699 |
| **D | COHEN & STEERS GLOBAL INFRASTRUCTURE FUND, INC. | 0 | 1.591.087 | 1.591.087 |
| **D | COHEN & STEERS, INC. | 0 | 5.135 | 5.135 |
| **D | COHEN + STEERS FUTURE OF ENERGYFUND, INC. | 0 | 247.033 | 247.033 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 0 | 898.801 | 898.801 |
| **D | LAZARD REAL ASSETS PORTFOLIO | 0 | 7.622 | 7.622 |
| Azionisti: | 1.767 | Teste: | 10 |
|---|---|---|---|
| Azionisti in proprio: | 8 | Azionisti in delega: | 1.759 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10689 | GRANDI ROI | 2.500 | 0 | 2.500 |
| 10796 | RINAUDO MAURO | 3.000 | 0 | 3.000 |
| 10892 | MAGNANI DUILIO | 100 | 0 | 100 |
| 11470 | MAGNANI MARZIO | 0 | 18.000 | 18.000 |
| 11582 | FIORENTINO ANNA MARIA | 7.387 | 0 | 7.387 |
| 11921 | MANUNTA DAVIDE | 0 | 0 | 0 |
| DE* | CDP RETI SPA | 0 | 1.053.692.127 | 1.053.692.127 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| **D | GRANITIFIANDRE SOCIETA` PER AZIONI | 0 | 27.652.190 | 27.652.190 |
| *** | MINOZZI ROMANO | 0 | 126.807.958 | 126.807.958 |
| **D | PREVEDI | 0 | 853 | 853 |
| **D | IRIS CERAMICA GROUP SOCIETA` PER AZIONI | 0 | 84.890.583 | 84.890.583 |
| **D | FINANZIARIA CERAMICA CASTELLARANO S P A | 0 | 10.958.722 | 10.958.722 |
| **D | FONDO GOMMA PLASTICA | 0 | 312.660 | 312.660 |
| **D | FONDO SCUOLA ESPERO CRESCITA AZIONARIO | 0 | 2.761 | 2.761 |
| **D | INARCASSA - CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA PER |
0 | 23.920.000 | 23.920.000 |
| 8365 | PINTO DONATO | 4.000 | 0 | 4.000 |
| 8806 | OTTOLENGHI GUIDO | 0 | 0 | 0 |
| RL* | ESTROSA SOCIETA` PER AZIONI | 120.000 | 0 | 120.000 |
| RL* | LA PETROLIFERA ITALO RUMENA SPA | 850.000 | 0 | 850.000 |
| RL* | ZIPORA S.R.L. | 100.000 | 0 | 100.000 |
Totale voti 2.489.762.180 Percentuale votanti % 97,278076 Percentuale Capitale % 74,081152

Assemblea Ordinaria del 07 maggio 2024
ESITO VOTAZIONE
Oggetto : O.4a. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: I Sezione
Hanno partecipato alla votazione:
-n° 1.829 azionisti, portatori di n° 2.559.427.857 azioni ordinarie, di cui n° 2.559.427.857 ammesse al voto, pari
al 76,154006% del capitale sociale.
Hanno votato:
| %AZIONI ORDINARIE RAPPRESENTATE (Quorum deliberativo) |
%AZIONI AMMESSE AL VOTO |
%CAP.SOC. | ||
|---|---|---|---|---|
| Favorevoli | 2.489.762.180 | 97,278076 | 97,278076 | 74,081152 |
| Contrari | 69.573.416 | 2,718319 | 2,718319 | 2,070109 |
| SubTotale | 2.559.335.596 | 99,996395 | 99,996395 | 76,151261 |
| Astenuti | 58.861 | 0,002300 | 0,002300 | 0,001751 |
| Non Votanti | 33.400 | 0,001305 | 0,001305 | 0,000994 |
| SubTotale | 92.261 | 0,003605 | 0,003605 | 0,002745 |
| Totale | 2.559.427.857 | 100,000000 | 100,000000 | 76,154006 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
CONTRARI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | UNION INVESTMENT INSTITUTIONAL GMBH | 0 | 46.478 | 46.478 |
| **D | ERAFP ACTIONS EURO IV | 0 | 1.099.451 | 1.099.451 |
| **D | ERAFP ACTIONS EURO II | 0 | 5.253.528 | 5.253.528 |
| **D | MEAG PREMIUM | 0 | 2.185.247 | 2.185.247 |
| **D | MERCER PROPERTY AND INFRASTRUCTURE TRUST | 0 | 591.339 | 591.339 |
| **D | BNPP DUBLIN/SCHRODER STABLE GROWTH FUND MELLON | 0 | 10.381 | 10.381 |
| **D | SCHRODER INTERNATIONAL SELECTION FUND | 0 | 204.510 | 204.510 |
| **D | SCHRODER GLOBAL DIVERSIFIED INCOME FUND | 0 | 22.659 | 22.659 |
| **D | SCHRODER PENSION MANAGEMENT LIMITED | 0 | 93.298 | 93.298 |
| **D | SCHRODER MANAGED BALANCED FUND | 0 | 37.301 | 37.301 |
| **D | SCHRODER SUSTAINABLE FUTURE MULTI-ASSET FUND | 0 | 56.299 | 56.299 |
| **D | SCHRODER INSTITUTIONAL POOLED FUNDS | 0 | 38.200 | 38.200 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED PENSION FUND |
0 | 110.641 | 110.641 |
| **D | AVIVA INVESTORS FUNDS ACS - AI CAUTIOUS PENSION FUND |
0 | 1.591 | 1.591 |
| **D | AVIVA INVESTORS FUNDS ACS - AI BALANCED LIFE FUND |
0 | 6.177 | 6.177 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH | 0 | 453.777 | 453.777 |
| **D | ERAFP ACTIONS EURO I | 0 | 9.526.910 | 9.526.910 |
| **D | NATWEST TDS DEP BNYM RM GLO EQ FUND | 0 | 23.775 | 23.775 |
| **D | BCT POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND | 0 | 14.577 | 14.577 |
| **D | OFI INVEST DYNAMIQUE MONDE | 0 | 66.834 | 66.834 |
| **D | OFI INVEST EQUILIBRE MONDE | 0 | 66.354 | 66.354 |
| **D | OFI INVEST ESG EURO EQUITY SMA | 0 | 298.065 | 298.065 |
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 2.162.834 | 2.162.834 |
| **D | ATLAS GLOBAL INFRASTRUCTURE UCITS ICAV | 0 | 18.118.323 | 18.118.323 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 560.271 | 560.271 |
| **D | MERCER TAILORED 1 TRUST | 0 | 1.133.659 | 1.133.659 |
| **D | MERCER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 198.403 | 198.403 |
| **D | ATLAS INFRASTRUCTURE AUSTRALIAN FEEDER FUND | 0 | 4.597.232 | 4.597.232 |
| **D | STICHTING PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES | 0 | 189.314 | 189.314 |
| **D | STICHTING MN SERVICES | 0 | 633.669 | 633.669 |
| **D | STICHTING MN SERVICES AANDELENFO ND | 0 | 118.691 | 118.691 |
| **D | BAD21 CAPITAL | 0 | 64.630 | 64.630 |
| **D | EMERAUDE | 0 | 32.258 | 32.258 |
| **D | IRCEC BEAUMARCHAIS | 0 | 128.870 | 128.870 |
| **D | DYNAMIS SOLIDAIRE ISR | 0 | 770.000 | 770.000 |
| **D | VEGA EURO RENDEMENT ISR | 0 | 1.630.725 | 1.630.725 |
| **D | POLARIS CONVICTIONS | 0 | 17.824 | 17.824 |
| **D | VEGA EUROPE CONVICTIONS ISR | 0 | 1.174.069 | 1.174.069 |
| **D | ECOFI ENJEUX FUTURS | 0 | 930.000 | 930.000 |
| **D | GLOBAL ALLOCATION M | 0 | 14.089 | 14.089 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG EURO 1 | 0 | 1.414.825 | 1.414.825 |
| **D | MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT MBH FOR MEAG ATLAS | 0 | 546.310 | 546.310 |
| Azionisti: | 45 | Teste: | 3 |
|---|---|---|---|
| Azionisti in proprio: | 1 | Azionisti in delega: | 44 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
CONTRARI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 265.465 | 265.465 |
| 11470 | MAGNANI MARZIO | 0 | 18.000 | 18.000 |
| 12318 | BAVA MARCO GEREMIA CARLO | 4 | 0 | 4 |
Totale voti 54.926.857 Percentuale votanti % 2,146060 Percentuale Capitale % 1,634311
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante ASTENUTI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | INVESTITORI FLESSIBILE | 0 | 250.000 | 250.000 |
| **D | INVESTITORI PIAZZA AFFARI | 0 | 124.600 | 124.600 |
| **D | BBVA RETAIL | 0 | 5.260 | 5.260 |
| **D | RIVERFIELD SICAV - RIVERFIELD ALLROUNDER |
0 | 14.000 | 14.000 |
| **D | RIVERFIELD SICAV - RIVERFIELD EQUITIES |
0 | 36.826 | 36.826 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| *** | LOMBARDI GIANFRANCO | 0 | 2.275 | 2.275 |
| *** | DEVECCHI ORIANO | 0 | 500 | 500 |
| 8365 | PINTO DONATO | 4.000 | 0 | 4.000 |
| Totale voti | 437.461 |
|---|---|
| Percentuale votanti % | 0,017092 |
| Percentuale Capitale % | 0,013016 |
| Azionisti: | 8 | Teste: | 3 |
|---|---|---|---|
| Azionisti in proprio: | 1 | Azionisti in delega: | 7 |
Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
NON VOTANTI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 | |
| **D | NMM5 GIEP DWS ACCOUNT | 0 | 33.400 | 33.400 | |
| Totale voti Percentuale votanti % Percentuale Capitale % |
33.400 0,001305 0,000994 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
| FAVOREVOLI |
|---|
| ------------ |
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| 10653 | FERRERO ANDREA | 0 | 0 | 0 |
| **D | HELABA INV KAPITALANL GES MBH HI HERMES | 0 | 9.023 | 9.023 |
| **D | UNIVERSAL INVESTMENT GMBH | 0 | 76.498 | 76.498 |
| **D | HELABA INV KAPITALANL GES MBH HI Z AKTIE | 0 | 502.027 | 502.027 |
| **D | HELABA INV KAPITALANL.GES.MBH HI-KAPPA-2 | 0 | 22.800 | 22.800 |
| **D | HELABA INV KAPITALANL GES MBH HI WIVK 21 | 0 | 29.484 | 29.484 |
| **D | HELABA INVEST KAG MBH FOR HI-AKTIEN LOW | 0 | 236.231 | 236.231 |
| **D | HELABA INV KAPITALANL GES MBH HI PENS TR | 0 | 23.603 | 23.603 |
| **D | HELABA INV. KAPITALANL.GES.MBH HI-HML-AK | 0 | 3.852 | 3.852 |
| **D | HELABA INV KAPITALANL GES MBH HI WORMS M | 0 | 24.927 | 24.927 |
| **D | HELABA INVEST KAG MBH FOR HI-SPAVO-FONDS | 0 | 19.244 | 19.244 |
| **D | DEGUSSA BANK NACHHALTIGKEITSFONDS AKZENT | 0 | 110.020 | 110.020 |
| **D | HELABA INV KAPITALANL GES MBH HI AKTIENS | 0 | 295.800 | 295.800 |
| **D | HELABA INVEST KAG MBH HI SZVA 10 SFONDS | 0 | 45.600 | 45.600 |
| **D | HELABA INV KAPITALANL GES MBH HI BGHM AR | 0 | 236.137 | 236.137 |
| **D | KAPITALANL GES MBH HI BGHM AR26 SFONDS | 0 | 155.394 | 155.394 |
| **D | HELABA INVEST KAG MBH HI PENS TRUST RH D | 0 | 144.185 | 144.185 |
| **D | HELABA INV KAPITALANL GES MBH HI SZVA 2 | 0 | 63.000 | 63.000 |
| **D | MASTERINVEST KAPITALANLAGE GMBH | 0 | 150.451 | 150.451 |
| **D | DEKA INVESTMENT GMBH GLOBALE AKTIEN | 0 | 25.957 | 25.957 |
| **D | DEKA INVESTMENT GMBH SAS FONDS U02 | 0 | 6.480 | 6.480 |
| **D | DEKA INVESTMENT GMBH BV PAR FONDS | 0 | 13.000 | 13.000 |
| **D | HELABA INV KAPITALANL GES MBH HI SLS MF2 | 0 | 47.606 | 47.606 |
| **D | DEKA INVESTMENT GMBH NECKAR FUNDMASTER 1 | 0 | 413.754 | 413.754 |
| **D | DEKA INVESTMENT GMBH DEKA VALUE EXTRA SE | 0 | 82.340 | 82.340 |
| **D | HELABA INVEST KAG MBH HI KAPPA 10 SFONDS | 0 | 51.300 | 51.300 |
| **D | HMT HANSEMERKUR AKTIEN INVEST | 0 | 1.499 | 1.499 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN I | 0 | 63.620 | 63.620 |
| **D | BFS NACHHALTIGKEITSFONDS AKTIEN II | 0 | 181.890 | 181.890 |
| **D | TIMM INVEST EUROPA PLUS | 0 | 2.401 | 2.401 |
| **D | BASTI 1 METZLER | 0 | 13.200 | 13.200 |
| **D | GLOBAL ETHICAL VALUES SELECT FUND | 0 | 37.540 | 37.540 |
| **D | CNP LBPAM GLOBAL CONVERTIBLES | 0 | 52.000 | 52.000 |
| **D | ECOFI CONVERTIBLES EURO | 0 | 125.200 | 125.200 |
| **D | SWISS NATIONAL BANK | 0 | 5.099.090 | 5.099.090 |
| **D | NMM5-WIEQ-CNS ACCOUNT | 0 | 20.641 | 20.641 |
| **D | NMM5 GIEP BRI ACCOUNT | 0 | 26.709 | 26.709 |
| **D | NCF-GBL INFRAST STOCK FD | 0 | 2.046.400 | 2.046.400 |
| **D | WIF-GBL UNCONS INFRA EQTY | 0 | 698.430 | 698.430 |
| **D | QUANTUM LEBEN AG | 0 | 15.000 | 15.000 |
| *** | TOMASSI MARINANGELI GIULIANO GREGORIO | 0 | 2.500 | 2.500 |
| **D | WIF-LAZ GBL PFD LIS INFRA | 0 | 3.447.345 | 3.447.345 |
| **D | WIF-C&S GBL LISTED INFRA | 0 | 275.933 | 275.933 |
| Pagina 5 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | PICTET - EUROPE INDEX |
0 | 191.151 | 191.151 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER |
0 | 51.777 | 51.777 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER |
0 | 87.797 | 87.797 |
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS EQUITIES TRACKER US TE |
0 | 8.455 | 8.455 |
| **D | PICTET CH INSTITUTIONAL - EUROPEAN EX SWISS EQUITIES TRACKER EX SL |
0 | 66.179 | 66.179 |
| **D | PICTET - QUEST AL-DRIVEN GLOBAL EQUITIES |
0 | 1.118 | 1.118 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES RENDEMENT ABSOLU |
0 | 56.999 | 56.999 |
| **D | RP - FONDS INSTITUTIONNEL - ACTIONS MARCHES DEVELOPPES LARGE CAP |
0 | 59.707 | 59.707 |
| **D | QUAERO CAPITAL FUNDS (LUX) - ACCESSIBLE CLEAN ENERGY |
0 | 654.079 | 654.079 |
| **D | PICTET-EUROLAND INDEX | 0 | 126.419 | 126.419 |
| **D | AEIS INSTITUTIONAL FUND - AKTIEN GLOBAL |
0 | 60.416 | 60.416 |
| **D | PICTET CH - GLOBAL EQUITIES |
0 | 15.637 | 15.637 |
| **D | PICTET CH INSTITUTIONAL-WORLD EX SWISS EQUITIES TRACKER US TE EX SL | 0 | 24.445 | 24.445 |
| **D | PICTET - MULTI ASSET GLOBAL OPPORTUNITIES |
0 | 29.673 | 29.673 |
| **D | WORLD TRADE ORGANIZATION PENSION PLAN | 0 | 18.370 | 18.370 |
| **D | CAPACITY - FONDS INSTITUTIONNEL - ACTIONS ETRANGERES |
0 | 16.015 | 16.015 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX SEL.DIV.30UC.ETF | 0 | 1.157.990 | 1.157.990 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPA AKTIEN SPEZIAL | 0 | 519.847 | 519.847 |
| **D | DEKA INVESTMENT GMBH W/A-DOR-FONDS W/U21 | 0 | 83.845 | 83.845 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT | 0 | 1.520.176 | 1.520.176 |
| **D | ALLIANZ GLOBAL INVESTORS GMBH W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWLCO-AKTIEN | 0 | 16.999 | 16.999 |
| **D | DEKA INVESTMENT GMBH W/SVAM-FONDS | 0 | 63.134 | 63.134 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROPAGARANT 90 | 0 | 59.882 | 59.882 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-EUROLAND AKT.LOWRISK | 0 | 492.425 | 492.425 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EUROPE UCITS ETF | 0 | 209.783 | 209.783 |
| **D | DEKA INVESTMENT GMBH W/BIA-STRATEGIEFONDS NR. 5 | 0 | 42.300 | 42.300 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT KOMMUNAL | 0 | 201.017 | 201.017 |
| **D | DEKA INVESTMENT GMBH W/DONAU-MULTI-ASSET-FUNDMASTER U01 AKTIEN | 0 | 275.275 | 275.275 |
| **D | DEKA INTERNATIONAL S.A. W/DEKA-GLOB.AKT.LOWRISK | 0 | 1.053.135 | 1.053.135 |
| **D | DEKA INVESTMENT GMBH W/DEKA-NACHHALTIGKEIT MULTI ASSET | 0 | 152.550 | 152.550 |
| **D | DEKA INVESTMENT GMBH W/A-VSA-FONDS W/SONSTIGES | 0 | 78.007 | 78.007 |
| **D | DEKA INVESTMENT GMBH W/MAINFRANKEN STRATEGIEKONZEPT | 0 | 360.397 | 360.397 |
| **D | DEKA INVESTMENT GMBH W/WELTINVEST NACHHALTIGKEIT | 0 | 99.300 | 99.300 |
| **D | DEKA INVESTMENT GMBH W/APOFONDS-KIEL | 0 | 191.538 | 191.538 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-LCR-FONDS | 0 | 9.241 | 9.241 |
| **D | DEKA INVESTMENT GMBH W/DK.MSCI EURO.CL.CH.ESG UCITS ETF | 0 | 23.713 | 23.713 |
| **D | DEKA INTERNATIONAL S.A. W/WFL INVEST FCP-FIS | 0 | 23.465 | 23.465 |
| **D | DEKA INVESTMENT GMBH W/SE-RENDITE SEGMENT 3 | 0 | 74.453 | 74.453 |
| **D | DEKA INVESTMENT GMBH W/DEKA-PRIVATVORSORGE AS | 0 | 62.000 | 62.000 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI WORLD UCITS ETF | 0 | 83.270 | 83.270 |
| **D | DEKA INVESTMENT GMBH W/PENSIONSFONDS MAINZ1 | 0 | 24.463 | 24.463 |
| **D | DEKA INVESTMENT GMBH W/DEKA-MULTI ASSET INCOME | 0 | 90.000 | 90.000 |
| **D | DEKA INVESTMENT GMBH W/DDF 7 | 0 | 102.188 | 102.188 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | DEKA INVESTMENT GMBH W/DK.MSCI WOR.CL.CH.ESG UCITS ETF | 0 | 6.008 | 6.008 |
| **D | DEKA INVESTMENT GMBH W/SSH-FONDS W/U04 | 0 | 31.200 | 31.200 |
| **D | DEKA INVESTMENT GMBH W/DEKA MSCI EMU CL.C.ESG UCITS ETF | 0 | 22.731 | 22.731 |
| **D | DEKA INVESTMENT GMBH W/HD-PHILOSOPHENWEG | 0 | 5.540 | 5.540 |
| **D | DEKA INVESTMENT GMBH W/SK RHEIN NECKAR NORD NACHHALTIGKEIT INVEST | 0 | 27.343 | 27.343 |
| **D | DEKA INVESTMENT GMBH W/DEKA STARKENBURG U03 AKTIEN LOWRISK | 0 | 96.354 | 96.354 |
| **D | DEKA INVESTMENT GMBH W/DEKA-EURO-IST. EX FIN DI.+UC.ETF | 0 | 1.600.550 | 1.600.550 |
| **D | DEKA INVESTMENT GMBH W/NEBUS-MASTERFONDS W/AKTIEN - U02 |
0 | 16.335 | 16.335 |
| **D | DEKA INVESTMENT GMBH W/TREMONIUS-FONDS | 0 | 50.803 | 50.803 |
| **D | DEKA INVESTMENT GMBH W/S-MULTI ASSET ESG AUSGEWOGEN | 0 | 22.406 | 22.406 |
| **D | DEKA INVESTMENT GMBH W/DOHAMUN-FONDS | 0 | 8.689 | 8.689 |
| **D | DEKA INVESTMENT GMBH W/SCHNOOR | 0 | 115.182 | 115.182 |
| **D | DEKA INVESTMENT GMBH W/DEKA EURO STOXX 50 ESG UCITS ETF | 0 | 165.567 | 165.567 |
| **D | DEKA INVESTMENT GMBH W/MKG W/U2 MKG EUROLAND | 0 | 29.787 | 29.787 |
| **D | DEKA INVESTMENT GMBH W/A-HAM-FONDS W/U02 | 0 | 62.363 | 62.363 |
| **D | DEKA INVESTMENT GMBH W/DEKA BIV-B | 0 | 2.906 | 2.906 |
| **D | DEKA INVESTMENT GMBH W/VER 03-FONDS W/U1 | 0 | 21.960 | 21.960 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH W/HI-BG ETEM A6-SFONDS | 0 | 48.536 | 48.536 |
| **D | MATIG ACT MONDE | 0 | 414.648 | 414.648 |
| **D | HI-172915-FONDS | 0 | 6.416 | 6.416 |
| **D | MATIGNON ACTIONS INTERNATIONALES | 0 | 395.045 | 395.045 |
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS EUROPA | 0 | 343.495 | 343.495 |
| **D | HI MANPT FONDS | 0 | 116.436 | 116.436 |
| **D | HI PNWL DIVIDENDE PLUS FONDS | 0 | 2.865.071 | 2.865.071 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BROCKEN-UI-FONDS | 0 | 46.855 | 46.855 |
| **D | ERI BAYERNINVEST FONDS AKTIEN EUROPA | 0 | 84.724 | 84.724 |
| **D | ARABELLE ROTHSCHILD | 0 | 11.245 | 11.245 |
| **D | ZWITSERLEVEN INSTITUTIONELE BELEGGINGSFONDSEN - ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA |
0 | 93.875 | 93.875 |
| **D | HI-PROVINZIAL-LOWRISK-DIVIDENDENSTRATEGIE-FONDS | 0 | 220.780 | 220.780 |
| **D | PEGASUS-UI-FONDS | 0 | 25.000 | 25.000 |
| **D | AXA OR ET MATIERES PREMIERES | 0 | 54.767 | 54.767 |
| **D | FCP FCE PLCT INTERNATIONAL ESG PLUS | 0 | 508.071 | 508.071 |
| **D | AXA AA DIVERSIFIE INDICIEL 1 | 0 | 155.992 | 155.992 |
| **D | ARRCO QUANT 1 | 0 | 131.980 | 131.980 |
| **D | MH AMUNDI ACTIONS EURO | 0 | 320.865 | 320.865 |
| **D | CARDANO ESG TRANSITION ENHANCED INDEX EQUITY GLOBAL (I) | 0 | 174.844 | 174.844 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF EPOTIF MASTERFONDS | 0 | 158.556 | 158.556 |
| **D | HI-AKTIEN-AKTIV-VALUE-SFONDS | 0 | 761.585 | 761.585 |
| **D | AXA PEA REGULARITE | 0 | 3.934.959 | 3.934.959 |
| **D | FRANCE PLACEMENT EURO ESG PLUS | 0 | 683.473 | 683.473 |
| **D | HI-AKTIEN GLOBAL 2-FONDS | 0 | 580.000 | 580.000 |
| **D | PHOSPHORE | 0 | 96.088 | 96.088 |
| **D | LA FRANCAISE SYSTEMATIC GLOBAL LISTED INFRASTRUCTURE | 0 | 75.173 | 75.173 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD | 0 | 943.147 | 943.147 |
| **D | FRANCE INVESTISSEMENT ACTIONS OPTIMISE | 0 | 116.835 | 116.835 |
| **D | AXA EURO DIVIDEND L | 0 | 24.370 | 24.370 |
| **D | UI-GKR-FONDS | 0 | 43.827 | 43.827 |
| **D | STICHTING AHOLD DELHAIZE PENSIOEN | 0 | 143.447 | 143.447 |
| **D | ALLIANZGI S AKTIEN | 0 | 1.027.368 | 1.027.368 |
| **D | AMUNDI STOXX EUROPE 600 ESG II UCITS ETF | 0 | 13.344 | 13.344 |
| **D | DPCTA-MASTERFONDS | 0 | 9.852 | 9.852 |
| **D | HI-AKTIEN EUROPA 1-FONDS | 0 | 26.816 | 26.816 |
| **D | ATCP-UI-FONDS | 0 | 7.725 | 7.725 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF DEBEKA-AKTIEN-EUROPA-DIVIDENDEN | 0 | 1.617.814 | 1.617.814 |
| **D | ALLIANZGI-FONDS GANO 2 | 0 | 20.669 | 20.669 |
| **D | AXA EURO DIVIDEND K | 0 | 133.514 | 133.514 |
| **D | ALLIANZGI-FONDS TSF | 0 | 4.013 | 4.013 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF WMB-UNIVERSAL-FONDS | 0 | 3.354 | 3.354 |
| **D | FCP SODIUM I | 0 | 84.719 | 84.719 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND HEDGED | 0 | 16.549 | 16.549 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF HMT EURO AKTIEN SOLVENCY | 0 | 5.954 | 5.954 |
| **D | AXA VERSICHERUNGEN AG | 0 | 1.092.532 | 1.092.532 |
| **D | MERCER WHOLESALE FUNDS | 0 | 7.003 | 7.003 |
| **D | FONECONOMISTES, FONS DE PENSIONS | 0 | 1.993 | 1.993 |
| **D | MIR | 0 | 290.534 | 290.534 |
| **D | MERCER INVESTMENT FUNDS | 0 | 654.763 | 654.763 |
| **D | GLOBAL EQUITIES ENHANCED INDEX FUND | 0 | 252.564 | 252.564 |
| **D | FERROATLANTICA 92 FP | 0 | 1.877 | 1.877 |
| **D | JANUS HENDERSON INSTITUTIONAL EUROPEAN INDEX OPPORTUNITIES FUND | 0 | 3.940 | 3.940 |
| **D | BNZ WHOLESALE INTERNATIONAL EQUITIES (INDEX) FUND | 0 | 29.548 | 29.548 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE INDEX FUND HEDGED | 0 | 406.962 | 406.962 |
| **D | IPAC SPECIALIST INVESTMENT STRATEGIES - LISTED GLO |
0 | 90.622 | 90.622 |
| **D | AZ FUND 1 AZ EQUITY GLOBAL INFRASTRUCTURE | 0 | 75.226 | 75.226 |
| **D | FONDACO OBIETTIVO WELFARE UCITS SICAV - EQUITY- EURO EQUITY |
0 | 14.674 | 14.674 |
| **D | AXA LEBEN AG | 0 | 138.196 | 138.196 |
| **D | CASTELLANA PENSIONES FP | 0 | 1.905 | 1.905 |
| **D | BUSS (QUEENSLAND) POOLED SUPERANNUATION TRUST | 0 | 888 | 888 |
| **D | AZIMUT CAPITAL MANAGEMENT SGR S.P.A | 0 | 116.000 | 116.000 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.144 | 59.144 |
| **D | GENERALI ITALIA SPA | 0 | 610.026 | 610.026 |
| **D | ALLIANZGI-FONDS PF1 SEGMENT PF1-AA2-E_EUA | 0 | 785.480 | 785.480 |
| **D | ALLIANZGI-H SEGMENT EFK | 0 | 41.230 | 41.230 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VSTBH-UNIVERSAL-FONDS | 0 | 9.262 | 9.262 |
| **D | AXA EURO DIVIDEND DBVL | 0 | 279.866 | 279.866 |
| **D | MASTERFONDS HTPT | 0 | 105.482 | 105.482 |
| **D | HI-AKTIEN GLOBAL-FONDS | 0 | 190.000 | 190.000 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BANSABADELL 36, F.P. | 0 | 6.786 | 6.786 |
| **D | SABADELL PLANIFICACION 25, FI | 0 | 25.145 | 25.145 |
| **D | AMP GLOBAL LISTED INFRASTRUCTURE MARKET INDEX FUND | 0 | 586.034 | 586.034 |
| **D | MERCER UNHEDGED OVERSEAS SHARES TRUST | 0 | 75.429 | 75.429 |
| **D | INVERSABADELL 25, FI | 0 | 85.852 | 85.852 |
| **D | RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | 0 | 8.436 | 8.436 |
| **D | FONDO PENSIONE COMETA | 0 | 350.765 | 350.765 |
| **D | ENHANCED INDEX INTERNATIONAL SHARE FUND | 0 | 46.773 | 46.773 |
| **D | CONSERVATION INTERNATIONAL FOUNDATION, INC. | 0 | 545 | 545 |
| **D | FRONTIER MFG CORE INFRASTRUCTURE FUND | 0 | 1.981.741 | 1.981.741 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 30 | 0 | 8.000 | 8.000 |
| **D | BS PREVISION EMPRESAS EPSV DE EMPLEO | 0 | 4.103 | 4.103 |
| **D | SABADELL EUROPA BOLSA ESG, FI | 0 | 1.118.807 | 1.118.807 |
| **D | INVERSABADELL 50, FI | 0 | 59.021 | 59.021 |
| **D | KAIROS INTERNATIONAL SICAV-ITALIA | 0 | 407.065 | 407.065 |
| **D | AZ FUND 1 AZ ALLOCATION PIR ITALIAN EXCELLENCE 70 | 0 | 495.000 | 495.000 |
| **D | AMP SUPER FUND | 0 | 584.750 | 584.750 |
| **D | INVERSABADELL 70, FI | 0 | 20.850 | 20.850 |
| **D | RLA LISTED REAL ASSETS FUND | 0 | 1.906.639 | 1.906.639 |
| **D | AMERICAN HEART ASSOCIATION, INC. | 0 | 4.809 | 4.809 |
| **D | AZ FUND 1 AZ ALTERNATIVE SMART RISK PREMIA | 0 | 40.200 | 40.200 |
| **D | AZ FUND 1-AZ ALLOCATION-STRATEGICBALANCED CATHOLIC VALUES | 0 | 1.200 | 1.200 |
| **D | AMP INTERNATIONAL EQUITY INDEX FUND | 0 | 122.386 | 122.386 |
| **D | PHILADELPHIA GAS WORKS PENSION PLAN | 0 | 3.174 | 3.174 |
| **D | FONDAZIONE ROMA - GLOBAL PASSIVE EQUITIES |
0 | 149 | 149 |
| **D | AXA INSURANCE DESIGNATED ACTIVITY COMPANY | 0 | 41.023 | 41.023 |
| **D | KAIROS INTERNATIONAL SICAV-KEY | 0 | 730.000 | 730.000 |
| **D | FONSOLBANK FP | 0 | 17.555 | 17.555 |
| **D | BANSABADELL 2000 FP | 0 | 1.343 | 1.343 |
| **D | UNISUPER | 0 | 28.510 | 28.510 |
| **D | AAM S&P DEVELOPED MARKETS HIGH DIVIDEND VALUE ETF | 0 | 7.282 | 7.282 |
| **D | AXA-ARAG RECHTSSCHUTZ AG | 0 | 84.000 | 84.000 |
| **D | PACER TRENDPILOT INTERNATIONAL ETF | 0 | 18.642 | 18.642 |
| **D | PSVAG MASTERFONDS | 0 | 85.193 | 85.193 |
| **D | SIX CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND | 0 | 956.872 | 956.872 |
| **D | SIX CIRCLES INTERNATIONAL UNCONSTRAINED EQUITY FUND | 0 | 1.549.648 | 1.549.648 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE: STB FOREIGN STOCK INDEX MOTHER FUND(CURRENCY HEDGED) | 0 | 24.300 | 24.300 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: NZAM EURO STOXX (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) 195.612 |
0 | 195.612 | |
| **D | SIIT - WORLD SELECT EQUITY FUND |
0 | 3.202 | 3.202 |
| **D | ING DIRECT SICAV | 0 | 105.087 | 105.087 |
| **D | CREDIT SUISSE INDEX FUND (LUX) | 0 | 893.205 | 893.205 |
| **D | VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 0 | 2.030.984 | 2.030.984 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND | 0 | 2.842 | 2.842 |
| **D | MONDRIAN INTERNATIONAL VALUE EQUITY FUND | 0 | 5.142.429 | 5.142.429 |
| **D | MONDRIAN GLOBAL EQUITY VALUE FUND | 0 | 687.733 | 687.733 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021492 | 0 | 39.830 | 39.830 |
| **D | FIDELITY RETIREE HEALTH REIMBURSEMENT PLAN | 0 | 34.720 | 34.720 |
| **D | VANGUARD INVESTMENTS II CCF - VANGUARD SRI FTSE DEVELOPED WORLD II (B) CCF |
0 | 123.028 | 123.028 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI WORLD INDEX FUND | 0 | 29.636 | 29.636 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL QUALITY INDEX FUND | 0 | 625.297 | 625.297 |
| **D | MONDRIAN ALL COUNTRIES WORLD EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 2.665.063 | 2.665.063 |
| **D | NUVEEN TIAA INTERNATIONAL EQUITY INDEX FUND | 0 | 92.560 | 92.560 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND | 0 | 209.409 | 209.409 |
| **D | HESTA | 0 | 575.226 | 575.226 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD CIT | 0 | 167.713 | 167.713 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: TMA GLOBAL EQUITY INDEX MOTHER FUND | 0 | 50.123 | 50.123 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND | 0 | 50.074 | 50.074 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MORGAN STANLEY INFRASTRUCTURE STOCKS MOTHER FUND | 0 | 69.108 | 69.108 |
| **D | DEMOCRACY INTERNATIONAL FUND | 0 | 1.697 | 1.697 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400025521 | 0 | 8.502 | 8.502 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND | 0 | 975 | 975 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MUTB400021536 | 0 | 139.777 | 139.777 |
| **D | FIDELITY UCITS II ICAV/FIDELITY MSCI EUROPE INDEX FUND | 0 | 10.874 | 10.874 |
| **D | MONDRIAN GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 10.742 | 10.742 |
| **D | FIDELITY CONCORD STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND | 0 | 301.264 | 301.264 |
| **D | THE BOEING COMPANY EMPLOYEE RETIREMENT PLANS MASTER TRUST | 0 | 368.704 | 368.704 |
| **D | MONDRIAN INTERNATIONAL EQUITY COLLECTIVE INVESTMENT TRUST | 0 | 841.633 | 841.633 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SAI INTERNATIONAL VALUE INDEX FUND | 0 | 2.853.140 | 2.853.140 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DEVELOPED WRLD CMMN CONT FD | 0 | 39.882 | 39.882 |
| **D | VANGUARD INVESTMENTS COMMON CONTRACTUAL FD/VANG FTSE DVLPD WRLD EX UK CMN CNT FD | 0 | 47.440 | 47.440 |
| **D | VANGUARD INVESTMENTS COMMON CONTR FD- VANGUARD FTSE DEV EUR EX UK CCF |
0 | 52.238 | 52.238 |
| **D | VANGUARD FUNDS PUBLIC LIMITED COMPANY | 0 | 2.853.905 | 2.853.905 |
| **D | VANGUARD INVESTMENTS II CCF/VANGUARD SRI FTSE DEVELOPED EUROPE II CCF | 0 | 52.069 | 52.069 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND | 0 | 785.916 | 785.916 |
| **D | VARIABLE INSURANCE PRODUCTS FUND II: INTERNATIONAL INDEX PORTFOLIO | 0 | 41.217 | 41.217 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY GLOBAL EX U.S. INDEX FUND | 0 | 751.618 | 751.618 |
| **D | NATIXIS AM FUNDS | 0 | 628.496 | 628.496 |
| **D | BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND |
0 | 3.737.541 | 3.737.541 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE CIT | 0 | 47.345 | 47.345 |
| **D | NUVEEN GLOBAL INFRASTRUCTURE FUND | 0 | 1.782.007 | 1.782.007 |
| **D | BLACKROCK INDEX SELECTION FUND | 0 | 965.147 | 965.147 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC MODERATE GROWTH PORTFOLIO |
0 | 36.477 | 36.477 |
| **D | ADVISER MANAGED TRUST - DIVERSIFIED EQUITY FUND |
0 | 2.476 | 2.476 |
| **D | FUNDACAO CALOUSTE GULBENKIAN | 0 | 1.452 | 1.452 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS | 0 | 124.878 | 124.878 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | UNICARE SAVINGS PLAN | 0 | 106.269 | 106.269 |
| **D | DWS RREEF GLOBAL INFRASTRUCTURE FUND | 0 | 2.100.630 | 2.100.630 |
| **D | VANGUARD INVESTMENTS II CCF-VANGUARD SRI FTSE DEVELOPED WORLD II CCF | 0 | 56.714 | 56.714 |
| **D | SEI INSTITUTIONAL MANAGED TRUST - MULTI-ASSET ACCUMULATION FUND |
0 | 6.697 | 6.697 |
| **D | STATE OF WYOMING | 0 | 129.598 | 129.598 |
| **D | BLACKROCK CDN MSCI ACWI EX-CANADA INDEX FUND | 0 | 48.561 | 48.561 |
| **D | BUREAU OF LABOR FUNDS-LABOR PENSION FUND | 0 | 12.759.955 | 12.759.955 |
| **D | BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS | 0 | 17.627.736 | 17.627.736 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND - HEDGED |
0 | 5.369.428 | 5.369.428 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II | 0 | 15.192.572 | 15.192.572 |
| **D | MSCI EQUITY INDEX FUND B - ITALY (MSITB) |
0 | 730.417 | 730.417 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND V | 0 | 2.765 | 2.765 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND I | 0 | 750 | 750 |
| **D | ROBECO CAPITAL GROWTH FUNDS | 0 | 2.698.623 | 2.698.623 |
| **D | T. ROWE PRICE FUNDS SICAV | 0 | 70 | 70 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND III | 0 | 8.850 | 8.850 |
| **D | PROSHARES DJ BROOKFIELD GLOBAL INFRASTRUCTURE ETF | 0 | 240.649 | 240.649 |
| **D | MI-FONDS F47 | 0 | 22.089 | 22.089 |
| **D | MAIN I - UNIVERSAL - FONDS |
0 | 30.781 | 30.781 |
| **D | MOMENTUM GLOBAL FUNDS | 0 | 79.775 | 79.775 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400021974 | 0 | ||
| 25.906 | 25.906 | |||
| **D | FLEXSHARES DEVELOPED MARKETS EX - US QUALITY LOW VOLATILITY INDEX FUND |
0 | 35.730 | 35.730 |
| **D | SAS TRUSTEE CORPORATION POOLED FUND | 0 | 33.498 | 33.498 |
| **D | BLACKROCK FUNDS I ICAV | 0 | 24.051 | 24.051 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC AGGRESSIVE GROWTH PORTFOLIO |
0 | 17.085 | 17.085 |
| **D | STICHTING PENSIOENFONDS ABP | 0 | 4.466.476 | 4.466.476 |
| **D | GERANA SICAV-SIF, S.A. | 0 | 1.166.214 | 1.166.214 |
| **D | HC RENTE | 0 | 10.686 | 10.686 |
| **D | LVUI EQUITY EUROPE | 0 | 135.000 | 135.000 |
| **D | BLACKROCK TACTICAL OPPORTUNITIES FUND OF BLACKROCK FUNDS | 0 | 47.547 | 47.547 |
| **D | CDN MSCI WORLD EX-CANADA MINIMUM VOLATILITY INDEX FUND | 0 | 52.643 | 52.643 |
| **D | MINE SUPERANNUATION FUND | 0 | 48.436 | 48.436 |
| **D | SBC MASTER PENSION TRUST | 0 | 293.247 | 293.247 |
| **D | MACQUARIE GLOBAL LISTED INFRASTRUCTURE ETF | 0 | 48.957 | 48.957 |
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERANNUATION FUND | 0 | 5.902.236 | 5.902.236 |
| **D | CONNECTICUT GENERAL LIFE INSURANCE COMPANY | 0 | 39.595 | 39.595 |
| **D | BLACKROCK CDN MSCI EAFE EQUITY INDEX FUND | 0 | 328.296 | 328.296 |
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) FUND |
0 | 1.235.111 | 1.235.111 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND IV | 0 | 7.109 | 7.109 |
| **D | EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO |
0 | 23.055 | 23.055 |
| **D | EARNEST INSTITUTIONAL LLC | 0 | 442 | 442 |
| **D | BUREAU OF LABOR FUNDS-LABOR INSURANCE FUND | 0 | 3.637.917 | 3.637.917 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | JEFFREY LLC | 0 | 14.254 | 14.254 |
| **D | NFS LIMITED | 0 | 468.427 | 468.427 |
| **D | ISHARES ALL-COUNTRY EQUITY INDEX FUND | 0 | 4.881 | 4.881 |
| **D | THRIFT SAVINGS PLAN | 0 | 9.510.996 | 9.510.996 |
| **D | UBS ASSET MANAGEMENT LIFE LTD | 0 | 573.875 | 573.875 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE CITY OF NEW YORK | 0 | 136.005 | 136.005 |
| **D | STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 0 | 225.637 | 225.637 |
| **D | FRANKLIN CLEARBRIDGE SUSTAINABLE GLOBAL INFRASTRUCTURE INCOME FUND | 0 | 426.667 | 426.667 |
| **D | BLACKROCK MANAGED VOLATILITY V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 8.457 | 8.457 |
| **D | TCORPIM DEVELOPED MARKETS EQUITIES (HEDGED) FUND | 0 | 13.651 | 13.651 |
| **D | ROBECO UMBRELLA FUND I N.V. | 0 | 392.086 | 392.086 |
| **D | BLACKROCK CDN GLOBAL INFRASTRUCTURE EQUITY INDEX FUND | 0 | 3.775.970 | 3.775.970 |
| **D | JNL INTERNATIONAL INDEX FUND | 0 | 289.549 | 289.549 |
| **D | BLACKROCK MSCI EAFE EQUITY INDEX NON-LENDABLE FUND B | 0 | 383.497 | 383.497 |
| **D | AVIVA LIFE & PENSIONS UK LIMITED | 0 | 287.910 | 287.910 |
| **D | MINISTRY OF ECONOMY AND FINANCE | 0 | 648.095 | 648.095 |
| **D | AVIVA LIFE & PENSIONS IRELAND DAC | 0 | 113.839 | 113.839 |
| **D | AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS MULTI-ASSET CORE FUND II | 0 | 4.937 | 4.937 |
| **D | ROBECO GLOBAL DEVELOPED MARKETS EQUITIES CIT | 0 | 32.377 | 32.377 |
| **D | MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 0 | 76.834 | 76.834 |
| **D | PCFG EQUITY FUND LTD | 0 | 14.542 | 14.542 |
| **D | QANTAS SUPERANNUATION LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN | 0 | 1.466 | 1.466 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST | 0 | 230.945 | 230.945 |
| **D | MAINSTAY EPOCH GLOBAL EQUITY YIELD FUND | 0 | 1.104.910 | 1.104.910 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI | 0 | ||
| 12.735 | 12.735 | |||
| **D | EUROPE EQUITY INDEX ESG SCREENED FUND B(EURXCWB) | 0 | 31.418 | 31.418 |
| **D | MAINSTAY VP INCOME BUILDER PORTFOLIO | 0 | 437.751 | 437.751 |
| **D | KAPITALFORENINGEN PENSAM INVEST, PSI 3 GLOBALE AKTIER 3 | 0 | 267.088 | 267.088 |
| **D | UBS FTSE RAFI DEVELOPED 1000 INDEX FUND | 0 | 33.883 | 33.883 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL MULTIFACTOR | 0 | 308.704 | 308.704 |
| **D | VERDIPAPIRFONDET STOREBRAND INDEKS ALLE MARKEDER | 0 | 80.786 | 80.786 |
| **D | BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. | 0 | 25.938 | 25.938 |
| **D | MSCI EUROPE EQUITY INDEX FUND B (EUROSECB | 0 | 136.571 | 136.571 |
| **D | NORDEA GLOBAL PASSIVE FUND | 0 | 80.868 | 80.868 |
| **D | INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND LLC | 0 | 13.371 | 13.371 |
| **D | FORD PENSION UNIVERSAL | 0 | 7.355 | 7.355 |
| **D | DEKA VALUE PLUS | 0 | 585.459 | 585.459 |
| **D | INTECH INTERNATIONAL LARGE CAP CORE FUND LLC | 0 | 13.582 | 13.582 |
| **D | MAGELLAN WHOLESALE PLUS INFRASTRUCTURE FUND | 0 | 226.843 | 226.843 |
| **D | UBS MSCI WORLD MINIMUM VOLATILITY INDEX FUND | 0 | 81.081 | 81.081 |
| **D | AVIVA INVESTORS INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND | 0 | 32.830 | 32.830 |
| **D | FLEXSHARES STOXX GLOBAL BROAD INFRASTRUCTURE INDEX FUND | 0 | 1.626.300 | 1.626.300 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ISHARES WORLD EQUITY FACTOR ETF | 0 | 29.310 | 29.310 |
| **D | FLEXSHARES STOXX GLOBAL ESG SELECT INDEX FUND | 0 | 11.280 | 11.280 |
| **D | SANTANDER SICAV | 0 | 28.782 | 28.782 |
| **D | AUSTRALIANSUPER | 0 | 1.635.509 | 1.635.509 |
| **D | THE SOUTHERN COMPANY SYSTEM MASTER RETIREMENT TRUST | 0 | 1.902.448 | 1.902.448 |
| **D | UNIVERSITIES SUPERANNUATION SCHEME | 0 | 987.034 | 987.034 |
| **D | STELLAR INSURANCE, LTD. | 0 | 80.119 | 80.119 |
| **D | MAIN VI-UNIVERSAL-FONDS | 0 | 3.778 | 3.778 |
| **D | MAINSTAY INCOME BUILDER FUND | 0 | 901.153 | 901.153 |
| **D | ISHARES WHOLESALE SCREENED INTERNATIONAL EQUITY INDEX FUND | 0 | 9.781 | 9.781 |
| **D | BLACKROCK CDN WORLD INDEX FUND | 0 | 174.598 | 174.598 |
| **D | VGV POOLFONDS PA1 | 0 | 55.486 | 55.486 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE FOR ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID 400025501 | 0 | ||
| 26.645 | 26.645 | |||
| **D | VANGUARD INTERNATIONAL SHARES SELECT EXCLUSIONS INDEX FUND | 0 | 46.169 | 46.169 |
| **D | FOVERUKA PENSION UNIVERSAL | 0 | 31.756 | 31.756 |
| **D | VERDIPAPIRFONDET EQUINOR AKSJER EUROPA | 0 | 109.500 | 109.500 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS - AKKUMULERENDE KL |
0 | 47.447 | 47.447 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA PENSION - AKTIER |
0 | 2.147.265 | 2.147.265 |
| **D | SIEMENS-FONDS SIEMENS-RENTE | 0 | 220.991 | 220.991 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE KL | 0 | 470.020 | 470.020 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX WORLD FUND |
0 | 311.724 | 311.724 |
| **D | DANSKE INVEST SICAV | 0 | 490.167 | 490.167 |
| **D | NEW YORK STATE COMMON RETIREMENT FUND | 0 | 13.300.786 | 13.300.786 |
| **D | MI-FONDS 384 | 0 | 26.576 | 26.576 |
| **D | MACQUARIE TRUE INDEX GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 1.435.611 | 1.435.611 |
| **D | NEW YORK LIFE INSURANCE & ANNUITY CORPORATION | 0 | 151.529 | 151.529 |
| **D | STICHTING JURIDISCH EIGENAAR ASR DUURZAAM WERELDWIJD AANDELEN FONDS | 0 | 31.728 | 31.728 |
| **D | JPMORGAN INVESTMENT FUNDS | 0 | 825.313 | 825.313 |
| **D | JPMORGAN CHASE RETIREMENT PLAN | 0 | 620.138 | 620.138 |
| **D | BOOKOUT INTERESTS LTD E LB HOLDINGS 1 LLC | 0 | 2.454 | 2.454 |
| **D | ISHARES CORE FTSE GLOBAL INFRASTRUCTURE (AUD HEDGED) ETF | 0 | 305.744 | 305.744 |
| **D | BIL-UNIVERSAL-FONDS | 0 | 184.294 | 184.294 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKUMULERENDE KL |
0 | 330.459 | 330.459 |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER INDEKS KL | 0 | 15.696 | 15.696 |
| **D | OB 2 | 0 | 12.796 | 12.796 |
| **D | CHURCH COMMISSIONERS FOR ENGLAND | 0 | 22.585 | 22.585 |
| **D | BLACKROCK GLOBAL ALLOCATION V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC | 0 | 111.077 | 111.077 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR JAPAN SCIENCE AND TECHNOLOGY AGENCY 16619-9962 | 0 | 8.186 | 8.186 |
| **D | TRINITY COLLEGE CAMBRIDGE | 0 | 36.735 | 36.735 |
| **D | EQ ADVISORS TRUST - EQ/GLOBAL EQUITY MANAGED VOLATILITY PORTFOLIO |
0 | 50.504 | 50.504 |
| **D | TELSTRA SUPERANNUATION SCHEME | 0 | 1.258.851 | 1.258.851 |
| **D | NATIONWIDE INTERNATIONAL INDEX FUND | 0 | 113.356 | 113.356 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 0 | 751.456 | 751.456 |
| **D | EMBO-FONDS | 0 | 53.071 | 53.071 |
| **D | IRR K LLC | 0 | 19.778 | 19.778 |
| **D | EPOCH GLOBAL EQUITY SHAREHOLDER YIELD (UNHEDGED) FUND | 0 | 1.883.522 | 1.883.522 |
| **D | STRATEGIC INFRASTRUCTURE FUND | 0 | 221.547 | 221.547 |
| **D | VERDIPAPIRFONDET STOREBRAND GLOBAL INDEKS | 0 | 209.073 | 209.073 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND INDEX FUND | 0 | 881.368 | 881.368 |
| **D | VANGUARD GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.150.249 | 1.150.249 |
| **D | BLACKROCK GLOBAL ALLOCATION FUND (AUST) | 0 | 5.587 | 5.587 |
| **D | EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 136.252 | 136.252 |
| **D | EPS | 0 | 28.530 | 28.530 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO |
0 | 73.519 | 73.519 |
| **D | BLACKROCK GLOBAL ALLOCATION PORTFOLIO OF BLACKROCK SERIES FUND, INC. | 0 | 3.584 | 3.584 |
| **D | STATE OF CALIFORNIA SAVINGS PLUS PROGRAM MASTER TRUST | 0 | 95.607 | 95.607 |
| **D | FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND | 0 | 32.042 | 32.042 |
| **D | T. ROWE PRICE INTERNATIONAL EQUITY INDEX FUND | 0 | 107.394 | 107.394 |
| **D | 1934 GLOBAL INVESTMENT FUND LP | 0 | 68.504 | 68.504 |
| **D | F.M. KIRBY TRUST DATED 1/3/75 F/B/O ALIC | 0 | 5.802 | 5.802 |
| **D | TEACHERS RETIREMENT SYSTEM OF GEORGIA | 0 | 14.924.710 | 14.924.710 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND | 0 | 117.338 | 117.338 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF | 0 | 13.160 | 13.160 |
| **D | STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY MINIMUM VOLATILITY POOL | 0 | 1.570.384 | 1.570.384 |
| **D | EQ ADVISORS TRUST - EQ/INTERNATIONAL MANAGED VOLATILITY PORTFOLIO |
0 | 209.139 | 209.139 |
| **D | GOVERNMENT INSTITUTIONS PENSION FUND | 0 | 604.310 | 604.310 |
| **D | SHINKO GLOBAL EQUITY INDEX MOTHER FUND | 0 | 307 | 307 |
| **D | COHEN & STEERS REAL ASSETS MULTI-STRATEGY FUND | 0 | 101.492 | 101.492 |
| **D | FISHER INSTITUTIONAL INTERNATIONAL EQUITY FUND | 0 | 902.337 | 902.337 |
| **D | DANSKE INVEST EUROPE HIGH DIVIDEND FUND | 0 | 109.297 | 109.297 |
| **D | BANCO CENTRAL DE TIMOR-LESTE (BCTL) | 0 | 178.596 | 178.596 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG ETF | 0 | 41.686 | 41.686 |
| **D | THE PUBLIC INSTITUTION FOR SOCIAL SECURITY | 0 | 1.950.351 | 1.950.351 |
| **D | SIJOITUSRAHASTO UB INFRA | 0 | 201.000 | 201.000 |
| **D | CLEARBRIDGE RARE INFRASTRUCTURE INCOME FUND UNHEDGED | 0 | 531.320 | 531.320 |
| **D | KATHERINE C MOORE CHARITABLE LEAD ANNUIT | 0 | 1.914 | 1.914 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST | 0 | 2.150.013 | 2.150.013 |
| **D | LVUI EQUITY WORLD EX EUROPE | 0 | 6.758 | 6.758 |
| **D | KAPITALFORENINGEN SAMPENSION INVEST, GLOBALT AKTIEINDEKS ENHANCED | 0 | 553.068 | 553.068 |
| **D | BLACKROCK INSTITUTIONAL POOLED FUNDS PLC | 0 | 61.898 | 61.898 |
| **D | TF-EQUITY | 0 | 207.203 | 207.203 |
| **D | DEVELOPED EX-FOSSIL FUEL INDEX FUND B (FTDEVXFF) | 0 | 5.875 | 5.875 |
| **D | MACQUARIE MULTI-FACTOR FUND | 0 | 23.521 | 23.521 |
| **D | FIDELITY INVESTMENT FUNDS - FIDELITY INDEX EUROPE EX UK FUND |
0 | 187.648 | 187.648 |
| **D | BRUNEI SHELL RETIREMENT BENEFIT FUND | 0 | 1.967 | 1.967 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND (UNHEDGED) | 0 | 875.358 | 875.358 |
| **D | EQUITABLE FINANCIAL LIFE INSURANCE COMPANY | 0 | 12.357 | 12.357 |
| **D | MACQUARIE INTERNATIONAL EQUITIES FUND | 0 | 48.533 | 48.533 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS BNP KL | 0 | 23.521 | 23.521 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST EUROPA INDEKS KL | 0 | 65.509 | 65.509 |
| **D | VANTAGETRUST III MASTER COLLECTIVE INVESTMENT FUNDS TRUST | 0 | 104.851 | 104.851 |
| **D | CUSTODY BANK OF JAPAN, LTD. AS TRUSTEE FOR MIZUHO TRUST & BANKING CO., LTD. AS TRUSTEE FOR INTERNATIONAL EQUITY PASSIVE | 0 | ||
| 317.518 | 317.518 | |||
| **D | FORSTA AP - FONDEN |
0 | 563.024 | 563.024 |
| **D | EQUINOR PENSJON | 0 | 100.000 | 100.000 |
| **D | JNL/BLACKROCK GLOBAL ALLOCATION FUND | 0 | 71.024 | 71.024 |
| **D | WHOLESALE SRI INTERNATIONAL CORE EQUITIES | 0 | 3.516 | 3.516 |
| **D | VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 0 | 31.377.565 | 31.377.565 |
| **D | STRATEGIC INTERNATIONAL EQUITY FUND | 0 | 33.929 | 33.929 |
| **D | KAPITALFORENINGEN DANSKE INVEST INSTITUTIONAL AFDELING DANICA LINK - INDEKS GLOBALE AKTIER |
0 | 84.740 | 84.740 |
| **D | SAMPENSION LIVSFORSIKRING A/S | 0 | 1.039.130 | 1.039.130 |
| **D | INVESTERINGSFORENINGEN DANSKE INVEST GLOBAL INDEKS KL | 0 | 136.958 | 136.958 |
| **D | ALASKA COMMON TRUST FUND | 0 | 68.653 | 68.653 |
| **D | VERDIPAPIRFONDET KRON INDEKS GLOBAL | 0 | 46.466 | 46.466 |
| **D | MORGAN STANLEY INVESTMENT FUNDS | 0 | 1.349.039 | 1.349.039 |
| **D | CARE SUPER | 0 | 32.739 | 32.739 |
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE INDEX FUND | 0 | 483 | 483 |
| **D | ISHARES WHOLESALE INTERNATIONAL EQUITY INDEX FUND | 0 | 247.348 | 247.348 |
| **D | NORDEA EUROPEAN PASSIVE FUND | 0 | 35.233 | 35.233 |
| **D | INVESTERINGSFORENINGEN BANKINVEST, BIX GLOBALE AKTIER ESG UNIVERSAL KL | 0 | 55.843 | 55.843 |
| **D | UI-FONDS BAV RBI AKTIEN | 0 | 246.373 | 246.373 |
| **D | NVIT INTERNATIONAL INDEX FUND | 0 | 171.556 | 171.556 |
| **D | SALT SUSTAINABLE GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 59.250 | 59.250 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF GEORGIA | 0 | 2.843.412 | 2.843.412 |
| **D | FOREIGN STOCK INDEX MOTHER FUND | 0 | 108.265 | 108.265 |
| **D | FUJIFILM BUSINESS INNOVATION CORP. | 0 | 402.100 | 402.100 |
| **D | COHEN & STEERS GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 668.603 | 668.603 |
| **D | ISHARES CORE MSCI WORLD EX AUSTRALIA ESG (AUD HEDGED) ETF | 0 | 17.730 | 17.730 |
| **D | FINREON WORLD EQUITY MULTI PREMIA DEFENSIVE PENSION CREDIT SUISSE FUNDS AG | 0 | 26.676 | 26.676 |
| **D | PK CSG WORLD EQUITY CREDIT SUISSE FUNDS AG | 0 | 63.497 | 63.497 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS CREDIT SUISSE FUNDS AG | 0 | 1.342.740 | 1.342.740 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND CREDIT SUISSE FUNDS AG | 0 | 183.310 | 183.310 |
| **D | CSIF CH EQUITY EUROPE EX CH BLUE CREDIT SUISSE FUNDS AG | 0 | 33.034 | 33.034 |
| **D | AXA VORSORGE FONDS II EQUITIES GLOBAL MARKETS PASSIVE CREDIT SUISSE FUNDS AG | 0 | 654.090 | 654.090 |
| **D | IPAC INCOME GENERATOR | 0 | 10.346 | 10.346 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - CARBON TRANSITION GLOBAL EQUITY (CTB) UCITS ETF |
0 | 169.664 | 169.664 |
| **D | RLA INTERNATIONAL EQUITIES FUND | 0 | 59.483 | 59.483 |
| **D | GIM SPECIALIST INVESTMENT FUNDS - GIM GL RESEARCH ENHNCD INX MIN VLTY EQTY FD |
0 | 37.976 | 37.976 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | JPMORGAN BETABUILDERS INTERNATIONAL EQUITY ETF | 0 | 518.097 | 518.097 |
| **D | JPMORGAN INCOME BUILDER FUND | 0 | 490.122 | 490.122 |
| **D | JPMORGAN GLOBAL CORE REAL ASSETS LIMITED | 0 | 23.789 | 23.789 |
| **D | JPMORGAN FUND ICVC - JPM EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND |
0 | 14.411 | 14.411 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY PREMIUM INCOME UCITS ETF |
0 | 11.997 | 11.997 |
| **D | ONEPATH GLOBAL SHARES - GLOBAL INFRASTRUCTURE (HEDGED) INDEX POOL |
0 | 243.846 | 243.846 |
| **D | JPMORGAN BETABUILDERS EUROPE ETF | 0 | 1.538.646 | 1.538.646 |
| **D | JPMORGAN GLOBAL ALLOCATION FUND | 0 | 7.252 | 7.252 |
| **D | THE MASTER TRUST BANK OF JAPAN, LTD. RE: MTBJ400031129 | 0 | 8.233 | 8.233 |
| **D | ONEPATH GLOBAL SHARES - LARGE CAP (UNHEDGED) INDEXPOOL |
0 | 178.956 | 178.956 |
| **D | JPMORGAN FUND ICVC - JPM MULTI-ASSET INCOME FUND |
0 | 15.923 | 15.923 |
| **D | JPMORGAN ETFS (IRELAND) ICAV - GLOBAL EQUITY MULTI-FACTOR UCITS ETF |
0 | 67.477 | 67.477 |
| **D | COMMINGLED PENSION TRUST FUND (EAFE EQUITY INDEX) OF JP MORGAN CHASE BANK, N.A. | 0 | 1.045.237 | 1.045.237 |
| **D | AQR LUX FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL TRADING |
0 | 81.753 | 81.753 |
| **D | CSIF 2 C SUISSE LUX THEMATIC OPPORTUNITIES EQUITY FUND | 0 | 198.805 | 198.805 |
| **D | CSIF2 CS LUX ENERGY EVOLUTION EQUITY FUND | 0 | 72.000 | 72.000 |
| **D | BLKB IQ FUND CH IQ RESPONSIBLE EQUITY WORLD EX SWITZERLAND PENSION CREDIT SUISSE FUNDS AG | 0 | 33.514 | 33.514 |
| **D | CSIF4 CREDIT SUISSE LUX GLOBAL HIGH INCOME FUND USD | 0 | 50.280 | 50.280 |
| **D | CSIF CH III EQUITY WORLD EX CH CLIMATE CHANGE BLUE PENSION FUND PLUS CREDIT SUISSE FUNDS AG | 0 | 232 | 232 |
| **D | FINREON WORLD EQUITY ECONOMIC EXPOSURE PENSION CREDIT SUISSE FUNDS AG | 0 | 24.991 | 24.991 |
| **D | CSIF CH III EQUITY WORLD EX CH VALUE WEIGHTED PENSION FUND CREDIT SUISSE FUNDS AG | 0 | 6.578 | 6.578 |
| **D | PROFOND UMBRELLA AKTIEN AUSLAND MINIMUM VOLATILITY CREDIT SUISSE FUNDS AG | 0 | 78.480 | 78.480 |
| **D | CSIF CH III EQUITY WORLD EX CH MINIMUM VOLATILITY PF CREDIT SUISSE FUNDS AG | 0 | 121.468 | 121.468 |
| **D | CSIF CH EQUITY EMU CREDIT SUISSE FUNDS AG | 0 | 79.349 | 79.349 |
| **D | AMUNDI HK PORTFOLIOS | 0 | 267.461 | 267.461 |
| **D | HELSANA AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL DUEBENDORF | 0 | 7.888 | 7.888 |
| **D | BEST INVESTMENT CORPORATION | 0 | 573.094 | 573.094 |
| **D | HELSANA UNFALL AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF | 0 | 5.505 | 5.505 |
| **D | AMUNDI HK - GREEN PLANET FUND |
0 | 155.632 | 155.632 |
| **D | THE KOWLOON MOTOR BUS COMPANY (1933) LIMITED DAILY RATED EMPLOYEES RETIREMENT FUND SCHEME | 0 | 14.468 | 14.468 |
| **D | HELSANA VERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF 5.980 |
0 | 5.980 | |
| **D | VITASOY INTERNATIONAL HOLDINGS LIMITED DEFINED BENEFIT SCHEME | 0 | 2.277 | 2.277 |
| **D | HELSANA ZUSATZVERSICHERUNGEN AG HIGH DIVIDEND YIELD PORTFOLIO AKTIEN GLOBAL GEBUNDENES VERMOEGEN DUEBENDORF 12.305 |
0 | 12.305 | |
| **D | JPM MULTI INCOME FUND | 0 | 320.628 | 320.628 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 10 | 0 | 80.006 | 80.006 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED GLOBAL EQUITY FUND |
0 | 244.688 | 244.688 |
| **D | TAIPEI FUBON COMERCIAL BANK LTD | 0 | 230.000 | 230.000 |
| **D | JPMORGAN MULTI BALANCED FUND | 0 | 13.700 | 13.700 |
| **D | MUANG THAI LIFE ASSURANCE PUBLIC COMPANY LIMITED | 0 | 376.525 | 376.525 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 8 | 0 | 6.628 | 6.628 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 21 | 0 | 11.945 | 11.945 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AVIVA LIFE AND PENSIONS UK LIMITED | 0 | 20.588 | 20.588 |
| **D | CIVIL SERVICE EMPLOYEES PENSION FUND | 0 | 23.014 | 23.014 |
| **D | AXA INSURANCE UK PLC | 0 | 63.030 | 63.030 |
| **D | HSBC POOLED INVESTMENT FUND | 0 | 25.743 | 25.743 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - FTSE ALL-WORLD INDEX FUND |
0 | 147.872 | 147.872 |
| **D | AIA GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 20.478 | 20.478 |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER 3 | 0 | 132.696 | 132.696 |
| **D | REASSURE LIMITED | 0 | 638.648 | 638.648 |
| **D | HSBC POOLED INVESTMENT FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND |
0 | 67.363 | 67.363 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED EUROPEAN EX UK EQUITY INDEX FUND |
0 | 255.852 | 255.852 |
| **D | AMUNDI ETF ICAV | 0 | 58.597 | 58.597 |
| **D | WESLEYAN AUTHORISED UNIT TRUST - WESLEYAN LOW RISK/REWARD GROWTH FUND |
0 | 48.071 | 48.071 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI CONTINENTAL EUROPEAN EQUITY INDEX FUND |
0 | 276.472 | 276.472 |
| **D | LAZARD FRERES BANQUE SA | 0 | 268.170 | 268.170 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 30:70 GLOBAL EQUITY (CURRENCY HEDGED) INDEX FUND |
0 | 21.168 | 21.168 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 60:40 GLOBAL EQUITY INDEX FUND |
0 | 67.755 | 67.755 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI DEVELOPED WORLD EX UK EQUITY INDEX FUND |
0 | 11.621 | 11.621 |
| **D | AVIVA INVESTORS PASSIVE FUNDS ACS - AI 50:50 GLOBAL EQUITY INDEX FUND |
0 | 207.334 | 207.334 |
| **D | ROYAL LONDON EQUITY FUNDS ICVC - ROYAL LONDON EUROPE EX UK EQUITY TILT FUND |
0 | 200.616 | 200.616 |
| **D | INVESTMENT FUND SERVICES LIMITED | 0 | 10.711 | 10.711 |
| **D | AMUNDI ETF ICAV - AMUNDI S&P GLOBAL UTILITIES ESG UCITS ETF |
0 | 164.696 | 164.696 |
| **D | AVIVA INVESTORS UK FUND SERVICES LIMITED | 0 | 223.329 | 223.329 |
| **D | AMUNDI ETF ICAV - AMUNDI SANDP 500 EQUAL WEIGHT ESG LEADERS UCITS ETF |
0 | 8.916 | 8.916 |
| **D | HSBC INDEX TRACKER INVESTMENT FUNDS - EUROPEAN INDEX FUND |
0 | 1.340.862 | 1.340.862 |
| **D | AXA PPP HEALTHCARE LIMITED | 0 | 27.810 | 27.810 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH | 0 | 431.477 | 431.477 |
| **D | THE PRUDENTIAL ASSURANCE COMPANY LIMITED | 0 | 2.022 | 2.022 |
| **D | RATHBONE ACTIVE INCOME AND GROWTH FUND | 0 | 270.209 | 270.209 |
| **D | HSBC GLOBAL INVESTMENT FUNDS | 0 | 65.689 | 65.689 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI WORLD UCITS ETF |
0 | 352.337 | 352.337 |
| **D | HSBC ETFS PUBLIC LIMITED COMPANY - HSBC MSCI EUROPE UCITS ETF |
0 | 35.794 | 35.794 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH | 0 | 626.959 | 626.959 |
| **D | SCHWEIZERISCHE MOBILIAR ASSET MANAGEMENT AG | 0 | 350.500 | 350.500 |
| **D | BLKB EQUITY SWITZERLAND FOCUS | 0 | 1.458.437 | 1.458.437 |
| **D | AMUNDI DEUTSCHLAND GMBH | 0 | 215.011 | 215.011 |
| **D | HELABA INVEST KAPITALANLAGEGESELLSCHAFT MBH | 0 | 248.639 | 248.639 |
| **D | IF IST - GLOBE INDEX |
0 | 70.420 | 70.420 |
| **D | IF IST - AKTIEN WELT |
0 | 63.086 | 63.086 |
| **D | VERTI VERSICHERUNG AG | 0 | 173.608 | 173.608 |
| **D | VERTI ASSICURAZIONI SPA | 0 | 101.033 | 101.033 |
| **D | CERVURITEINTERNATIONALLLC | 0 | 20.155 | 20.155 |
| **D | UNIGEST, S.G.I.I.C., S.A.U. | 0 | 167.601 | 167.601 |
| **D | NANCY AND CLARKGIBBS LIVINGTRUST | 0 | 91 | 91 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | VIDACAIXA, S.A. | 0 | 831.838 | 831.838 |
| **D | INVESTERINGSFORENINGEN BANKINVEST BORSNOTEREDE ALTERNATIVER | 0 | 32.143 | 32.143 |
| **D | HYDRO ONE PENSION PLAN | 0 | 1.252.700 | 1.252.700 |
| **D | BMO CANADA PENSION PLAN | 0 | 731.034 | 731.034 |
| **D | IMCO GLOBAL PUBLIC EQUITY LP | 0 | 3.621.929 | 3.621.929 |
| **D | STATE OF WISCONSIN INVESTMENT BOARD | 0 | 8.436 | 8.436 |
| **D | AUTORIDADE MONETARIA DE MACAU | 0 | 37.052 | 37.052 |
| **D | SUBSIDIZED SCHOOLS PROVIDENT FUND | 0 | 94.146 | 94.146 |
| **D | WILLIS TOWERS WATSON GROUP TRUST | 0 | 37.204 | 37.204 |
| **D | CARGILL INC AND ASSOCIATED COMPANIES MASTER PENSION TRUST | 0 | 117.840 | 117.840 |
| **D | KAPITALFORENINGEN INVESTIN PRO LOW RISK EQUITIES II | 0 | 19.689 | 19.689 |
| **D | KAPITALFORENINGEN INVESTIN PRO ACADIAN GLOBAL VALUE | 0 | 56.718 | 56.718 |
| **D | BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 0 | 85.883 | 85.883 |
| **D | NEUALT LLC | 0 | 108.312 | 108.312 |
| **D | INVESCO MARKETS II PLC | 0 | 64.769 | 64.769 |
| **D | LEGAL AND GENERAL UCITS ETF PLC | 0 | 80.623 | 80.623 |
| **D | MACQUARIE MANAGEMENT HOLDINGS INC | 0 | 16.237 | 16.237 |
| **D | KAPITALFORENINGEN EMD INVEST VERDENSINDEKS | 0 | 121.443 | 121.443 |
| **D | VANGUARD FTSE ALL WORLD EX US INDEX FUND | 0 | 4.555.689 | 4.555.689 |
| **D | VANGUARD EUROPEAN STOCK INDEX FUND | 0 | 4.682.570 | 4.682.570 |
| **D | GOLDMAN SACHS ETF TRUST II GOLDMAN SACHS MARKETBETA TOTAL INTERNATIONAL EQUITY ETF | 0 | 34.275 | 34.275 |
| **D | CENTRAL PENSION FUND OF THE INT UNION OF OPERATING ENGINEERS AND PARTICIPATING EMPLOYERS | 0 | 201.970 | 201.970 |
| **D | RIVER PARTNERS GLOBAL EQUITY LLC | 0 | 2.349 | 2.349 |
| **D | MOTABILITY AS SOLE TRUSTEE OF THE MOTABILITY ENDOWMENT TRUST | 0 | 22.097 | 22.097 |
| **D | MCGILL UNIVERSITY PENSION PLAN | 0 | 9.239 | 9.239 |
| **D | TMI 2 SOLUTIONS TAX QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 0 | 9.781 | 9.781 |
| **D | VOYA VACS INDEX SERIES I PORTFOLIO | 0 | 189.877 | 189.877 |
| **D | PURPOSE INTERNATIONAL DIVIDEND FUND | 0 | 41.248 | 41.248 |
| **D | DANMARKS GRUNDFORSKNINGFOND | 0 | 5.850 | 5.850 |
| **D | CONSOLIDATED EDISON RETIREMENT PLAN | 0 | 43.841 | 43.841 |
| **D | HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 15.440 | 15.440 |
| **D | ROBINSON UNIT 2 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 13.414 | 13.414 |
| **D | BRUNSWICK UNIT 2 QUALIFIED NUCLEAR | 0 | 30.975 | 30.975 |
| **D | GENERAL MILLS GROUP TRUST | 0 | 168.471 | 168.471 |
| **D | WILSHIRE SOLUTIONS FUNDS TRUST | 0 | 20.789 | 20.789 |
| **D | POINT BEACH UNIT 1 AND UNIT 2 NON QUALIFIED TRUST | 0 | 2.622 | 2.622 |
| **D | CERVURITE INTERNATIONAL LLC | 0 | 41.669 | 41.669 |
| **D | MASTERS I LLC | 0 | 8.221 | 8.221 |
| **D | DEUTSCHE DCG EQ | 0 | 7.555 | 7.555 |
| **D | NORTH CAROLINA SUPPLEMENTAL RETIREMENT PLANS GROUP TRUST | 0 | 5.950.778 | 5.950.778 |
| **D | DREXEL UNIVERSITY | 0 | 50.616 | 50.616 |
| **D | THE ACADEMY OF NATURAL SCIENCES OF PHILADELPHIA | 0 | 4.986 | 4.986 |
| **D | MANULIFE MULTIFACTOR DEVELOPED INTERNATIONAL INDEX ETF | 0 | 51.264 | 51.264 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CENTRAL PENSION FUND OF THE INTERNATIONAL UNION OF OPERATING | 0 | 46.102 | 46.102 |
| **D | THE COMMONWEALTH FUND | 0 | 2.171 | 2.171 |
| **D | CITW FUND LP | 0 | 2.384 | 2.384 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL | 0 | 33.460 | 33.460 |
| **D | MOTHER CABRINI HEALTH FOUNDATION INC | 0 | 91.901 | 91.901 |
| **D | FLORIDA GLOBAL EQUITY FUND LLC | 0 | 27.258 | 27.258 |
| **D | GLOBAL ATLANTIC BLACKROCK DISCIPLINED INTERNATIONAL CORE PORTFOLIO | 0 | 40.289 | 40.289 |
| **D | WILMINGTON GLOBAL ALPHA EQUITIES FUND | 0 | 14.677 | 14.677 |
| **D | TEXAS UTILITIES QUAL NDT PARTNERSHIP | 0 | 9.239 | 9.239 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS ZDV EVO | 0 | 6.757 | 6.757 |
| **D | TD EMERALD LOW CARBON GLOBAL EQUITY INDEX POOLED FUND TRUST | 0 | 15.934 | 15.934 |
| **D | THE PENSION FUND SOCIETY OF THE TORONTO DOMINIONBANK | 0 | 215.272 | 215.272 |
| **D | TD PENSION PLAN CANADA | 0 | 98.968 | 98.968 |
| **D | TD INTERNATIONAL EQUITY INDEX ETF | 0 | 132.440 | 132.440 |
| **D | TD Q INTERNATIONAL LOW VOLATILITY ETF | 0 | 10.670 | 10.670 |
| **D | TD EUROPEAN INDEX FUND | 0 | 12.227 | 12.227 |
| **D | TD GLOBAL LOW VOLATILITY FUND | 0 | 183.501 | 183.501 |
| **D | TD GLOBAL SHAREHOLDER YIELD FUND | 0 | 871.910 | 871.910 |
| **D | TD EMERALD LOW CARBON LOW VOLATILITY GLOBALEQUITY PFT | 0 | 4.010 | 4.010 |
| **D | TD EMERALD INTERNATIONAL EQUITY INDEX FUND | 0 | 392.433 | 392.433 |
| **D | TD EMERALD LOW VOLATILITY GLOBAL EQUITY POOLEDFUND TRUST | 0 | 51.770 | 51.770 |
| **D | TD EMERALD GLOBAL EQUITY SHARE HOLDER YIELD POOLEDFUND TRUST | 0 | 707.488 | 707.488 |
| **D | TD EMERALD LOW VOLATILITY GLBL EQTY NON-TAXABLEINVESTOR PFT | 0 | 135.222 | 135.222 |
| **D | MARGUERITE CASEY FOUNDATION | 0 | 1.859 | 1.859 |
| **D | WINDWISE MSCI EAFE INDEX NON LENDING | 0 | 55.608 | 55.608 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INV | 0 | 412.804 | 412.804 |
| **D | THE BANK OF NEW YORK MELLON EMPLOYEE BENEFIT COLLECTIVE INVESTMENT FUND PLAN | 0 | 942.248 | 942.248 |
| **D | BNYM MELLON CF SL INTERNATIONAL STOCK INDEX FUND | 0 | 159.896 | 159.896 |
| **D | BLACKROCK FUND MANAGERS LTD | 0 | 1.441.616 | 1.441.616 |
| **D | NATIONAL BANK FINANCIAL INC | 0 | 1.378.632 | 1.378.632 |
| **D | PUBLIC SERVICE ELECTRIC AND GAS NON QUALIFIED TRUST | 0 | 631.763 | 631.763 |
| **D | KAPITALFORENINGEN INVESTIN PRO VELLIV WORLD EQUITY INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS | 0 | 1.399.893 | 1.399.893 |
| **D | THE GOLDMAN SACHS FOUNDATION | 0 | 61.690 | 61.690 |
| **D | THE UNIVERSITY COURT OF THE UNIVERSITY OF GLASGOW | 0 | 15.568 | 15.568 |
| **D | TEXAS PERMANENT SCHOOL FUND CORP | 0 | 207.300 | 207.300 |
| **D | ARIZONA STATE RETIREMENT SYSTEM | 0 | 598.766 | 598.766 |
| **D | 1973 IRREVOCABLE TRUST OF CD WEYERHAEUSER | 0 | 2.009 | 2.009 |
| **D | RICHARD KING MELLON FDN | 0 | 538.369 | 538.369 |
| **D | R K MELLON INTERNATIONAL FUND | 0 | 310.659 | 310.659 |
| **D | SANTA BARBARA COUNTY EMPLOYEES RETIREMENT SYSTEM | 0 | 104.852 | 104.852 |
| **D | RAYTHEON TECHNOLOGIES CORPORATION MASTER RETIREMENT TRUST | 0 | 3.481.252 | 3.481.252 |
| **D | COMMONWEALTH OF PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS | 0 | 14.344 | 14.344 |
| **D | IMPERIAL INTERNATIONAL EQUITY POOL | 0 | 72.512 | 72.512 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CIBC INTERNATIONAL EQUITY INDEX ETF | 0 | 4.000 | 4.000 |
| **D | CIBC QX INTERNATIONAL LOW VOLATILITY DIVIDEND ETF | 0 | 3.211 | 3.211 |
| **D | CIBC INTERNATIONAL INDEX FUND | 0 | 97.414 | 97.414 |
| **D | CIBC EUROPEAN INDEX FUND | 0 | 9.701 | 9.701 |
| **D | CIBC INTERNATIONAL EQUITY INDEX POOL | 0 | 3.041 | 3.041 |
| **D | BNY MELLON INTERNATIONAL EQUITY ETF | 0 | 63.464 | 63.464 |
| **D | XTRACKERS MSCI KOKUSAI EQUITY ETF | 0 | 18.569 | 18.569 |
| **D | PITTSBURGH THEOLOGICAL SEMINARY OF THE PRESBYTERIAN CHURCH | 0 | 11.756 | 11.756 |
| **D | WELLS FARGO AND COMPANY CASH BALANCE PLAN | 0 | 571.934 | 571.934 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA VALUE KL | 0 | 33.176 | 33.176 |
| **D | INVESTERINGSFORENINGEN SPARINVEST INDEX DOW JONES SUSTAINABILITY WORLD KL | 0 | 54.341 | 54.341 |
| **D | THE BANK OF NEW YORK MELLON INTERNATIONAL LIMITE | 0 | 163.084 | 163.084 |
| **D | THE ESB PENSION FUND | 0 | 201.462 | 201.462 |
| **D | FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD | 0 | 9.729.162 | 9.729.162 |
| **D | XTRACKERS MSCI ALL WORLD EX US HEDGED EQUITY ETF | 0 | 11.803 | 11.803 |
| **D | AIB GROUP IRISH PENSION SCHEME | 0 | 107.477 | 107.477 |
| **D | BANK OF KOREA | 0 | 5 | 5 |
| **D | LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 0 | 948 | 948 |
| **D | SIEMENS EMU EQUITIES | 0 | 195.880 | 195.880 |
| **D | KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | 0 | 30.417 | 30.417 |
| **D | THE GREAT EASTERN LIFE ASSURANCE COMPANY LIMITED | 0 | 8.770 | 8.770 |
| **D | RARE GLOBAL INFRASTRUCTURE VALUE FUND | 0 | 734.247 | 734.247 |
| **D | INVESTERINGSFORENINGEN NYKREDIT INVEST GLOBALE AKTIER BASIS | 0 | 16.527 | 16.527 |
| **D | INVESCO MARKETS III PLC | 0 | 2.133 | 2.133 |
| **D | INVESCO FTSE RAFI EMERGING MARKETS UCITS ETF | 0 | 118.547 | 118.547 |
| **D | INVESCO FTSE RAFI DEVELOPED MARKETS EX U S ETF | 0 | 230.957 | 230.957 |
| **D | GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 0 | 40.625 | 40.625 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHILDERS AFW ERKINGS ENGLASZETBEDRIJF | 0 | 13.611 | 13.611 |
| **D | BLACKROCK LIFE LIMITED | 0 | 13.202 | 13.202 |
| **D | FIRST TRUST STOXX EUROPEAN SELECT DIVIDEND INDEX FUND | 0 | 824.925 | 824.925 |
| **D | PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TRUST | 0 | 83.448 | 83.448 |
| **D | GREAT WEST INTERNATIONAL INDEX FUND | 0 | 217.140 | 217.140 |
| **D | MUNICIPAL EMPLOYEES PENSION PLAN | 0 | 140.556 | 140.556 |
| **D | UNIVERSITY OF NOTRE DAME DU LAC | 0 | 45.412 | 45.412 |
| **D | MACQUARIE FIRST TRUST GLOBAL INFRASTRUCTURE UTILITIES DIVID | 0 | 809.284 | 809.284 |
| **D | ISHARES VII PUBLIC LIMITED COMPANY | 0 | 188.183 | 188.183 |
| **D | PRINCIPAL FUNDS INC INTERNATIONAL EQUITY INDEX | 0 | 137.656 | 137.656 |
| **D | THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 EQUITY FUND | 0 | 1.484.844 | 1.484.844 |
| **D | INTERNATIONAL BANK FOR RECONSTRUCTION AND DEVELOPMENT | 0 | 34.010 | 34.010 |
| **D | LF MACQUARIE GLOBAL INFRASTRUCTURE SECURITIES FUND | 0 | 972.410 | 972.410 |
| **D | PRINCIPAL FUNDS INC OVERSEAS FUND | 0 | 62.336 | 62.336 |
| **D | STANLIB FUNDS LIMITED | 0 | 904 | 904 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 0 | 87.467 | 87.467 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TEXAS PERMANENT SCHOOL FUND CORPORATION | 0 | 642.892 | 642.892 |
| **D | ABB PENSION FUND | 0 | 1.772 | 1.772 |
| **D | INVESCO S AND P EUROPE 350 EQUAL WEIGHT INDEX ETF | 0 | 3.203 | 3.203 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND | 0 | 254.669 | 254.669 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF MISSISSIPPI | 0 | 240.655 | 240.655 |
| **D | IMPERIAL GLOBAL EQUITY INCOME POOL | 0 | 50.306 | 50.306 |
| **D | IQ 50 PERCENT HEDGED FTSE INTERNATIONAL ETF | 0 | 83.081 | 83.081 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA INTERNAT | 0 | 342.040 | 342.040 |
| **D | GOLDMAN SACHS ETF TRUST GOLDMAN SACHS ACTIVE BETA EUROPE E | 0 | 1.646 | 1.646 |
| **D | BLACKROCK GLOBAL FUNDS | 0 | 630.583 | 630.583 |
| **D | XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 0 | 12.693 | 12.693 |
| **D | CANADA LIFE DIVERSIFIED REAL ASSETS FUND | 0 | 35.307 | 35.307 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE CITY OF BALTIMORE | 0 | 2.611 | 2.611 |
| **D | VOYA INTERNATIONAL INDEX PORTFOLIO | 0 | 136.776 | 136.776 |
| **D | COUNSEL DEFENSIVE GLOBAL EQUITY | 0 | 3.192 | 3.192 |
| **D | NEXTERA ENERGY DUANE ARNOLD LLC QUALIFIED DECOMMISSIONING THE DUANE ARNOLD ENERGY CENTER NUCLEAR POWER PLANT | 0 | 3.546 | |
| 3.546 | ||||
| **D | ARIZONA PSPRS TRUST | 0 | 279.283 | 279.283 |
| **D | DWS INVESTMENT GMBH ON BEHALF OF DWS FONDS BPT | 0 | 272.518 | 272.518 |
| **D | SEMPRA ENERGY PENSION MASTER TRUST | 0 | 18.098 | 18.098 |
| **D | DELAWARE GLOBAL LISTED REAL ASSETS FUND | 0 | 219.123 | 219.123 |
| **D | KAPITALFORENINGEN LAEGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFOELJE ADMINISTRATION AS | 0 | 10.488 | 10.488 |
| **D | BLACKROCK LIFE LTD | 0 | 551.132 | 551.132 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 3.724.077 | 3.724.077 |
| **D | XTRACKERS MSCI EUROPE HEDGED EQUITY ETF | 0 | 96.239 | 96.239 |
| **D | THE BANK OF AMERICA PENSION PLAN FOR LEGACY COMPANIES | 0 | 2.588.006 | 2.588.006 |
| **D | STANDARD BANK OF SOUTH AFRICA LTD | 0 | 25.687 | 25.687 |
| **D | FARMERS GROUP INC 401 K SAVINGS PLAN | 0 | 1.281.614 | 1.281.614 |
| **D | XTRACKERS MSCI EAFE HEDGED EQUITY ETF | 0 | 665.720 | 665.720 |
| **D | MACKENZIE INTERNATIONAL EQUITY INDEX ETF | 0 | 74.878 | 74.878 |
| **D | XTRACKERS FTSE DEVELOPED EX US MULTIFACTOR ETF | 0 | 9.785 | 9.785 |
| **D | MACK EAFE EQUITY POOL | 0 | 51.638 | 51.638 |
| **D | PRINCIPAL FUNDS INC DIVERSIFIED REAL ASSET FUND | 0 | 123.074 | 123.074 |
| **D | FEDERATED HERMES INTERNATIONAL STRATEGIC VALUE DIVIDEND FUND | 0 | 3.703.925 | 3.703.925 |
| **D | FEDERATED HERMES INTERNATIONAL DIVIDEND STRATEGY PORTFOLIO | 0 | 818.200 | 818.200 |
| **D | FIDELITY CONCORD STREET TRUST FIDELITY INTERNATIONAL INDEX FUND | 0 | 5.832.158 | 5.832.158 |
| **D | CITIGROUP PENSION PLAN | 0 | 194.371 | 194.371 |
| **D | BNY MELLON INTERNATIONAL STOCK INDEX FUND | 0 | 40.181 | 40.181 |
| **D | MANVILLE PERSONAL INJURY SETTLEMENT TRUST | 0 | 7.869 | 7.869 |
| **D | GLOBAL X MSCI SUPERDIVIDEND EAFE ETF | 0 | 38.560 | 38.560 |
| **D | GLOBAL X SANDP CATHOLIC VALUES DEVELOPED EX US ETF | 0 | 2.487 | 2.487 |
| **D | UPSTREAMCO PENSION TRUST | 0 | 53.720 | 53.720 |
| **D | ALTE LEIPZIGER TRUST INVESTMENT | 0 | 94.275 | 94.275 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ALTE LEIPZIGER TRUST INVESTMENT GMBH | 0 | 59.049 | 59.049 |
| **D | INVESCO S AND P INTERNATIONAL DEVELOPED LOW VOLATILITY ETF | 0 | 415.026 | 415.026 |
| **D | FIRST TRUST HORIZON MANAGED VOLATILITY DEVELOPED INTERNATIONAL ETF | 0 | 26.340 | 26.340 |
| **D | VIRTUS WMC INTERNATIONAL DIVIDEND ETF | 0 | 5.802 | 5.802 |
| **D | TREASURER OF THE STATE OF NORTH CAROLINA EQUITY INVESTMENT | 0 | 15.059.413 | 15.059.413 |
| **D | FIRE AND POLICE PENSION ASSOCIATION OF COLORADO | 0 | 26.052 | 26.052 |
| **D | DIOCESE OF VENICE PENSION PLAN AND TRUST | 0 | 906 | 906 |
| **D | PUBLIC EMPLOYEE RETIREMENT SYSTEM OF IDAHO | 0 | 2.541.261 | 2.541.261 |
| **D | MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF OMAN | 0 | 80.350 | 80.350 |
| **D | STICHTING PENSIOENFONDS UWV | 0 | 148.374 | 148.374 |
| **D | NATIONAL TREASURY MANAGEMENT AGCY | 0 | 68.686 | 68.686 |
| **D | NSP MONTICELLO MINNESOTA RETAIL | 0 | 19.314 | 19.314 |
| **D | NSP MINNESOTA PRAIRIE I RETAIL QUALIFIED TRUST | 0 | 6.330 | 6.330 |
| **D | NSP MINNESEOTA RETAIL PRAIRIE II | 0 | 13.281 | 13.281 |
| **D | INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING FOR ACCOUNT OF BPT | 0 | 21.382 | 21.382 |
| **D | VANGUARD INTL HIGH DIV YLD INDEX FD | 0 | 1.365.146 | 1.365.146 |
| **D | GOLDMAN SACHS GLOBAL INFRASTRUCTURE FUND | 0 | 523.532 | 523.532 |
| **D | PGE CORPORATION RETIREMENT MASTER TRUST | 0 | 306.616 | 306.616 |
| **D | PUBLIC SCHOOL TEACHERS PENSION AND RETIREMENT FUND OF CHICAGO | 0 | 292.613 | 292.613 |
| **D | KOOKMIN BANK ACTING AS TRUSTEE OF HANA ALTERNATIVE ASSET DWS GLOBAL LISTED INFRASTRUCTURE QUALIFIED | 0 | 144.930 | |
| 144.930 | ||||
| **D | STICHTING PENSIOENFONDS HOOGOVENS | 0 | 94.533 | 94.533 |
| **D | DEAM FONDS ZDV | 0 | 17.644 | 17.644 |
| **D | FIDELITY SAI INTERNATIONAL INDEX FUND | 0 | 801.674 | 801.674 |
| **D | SHELL CANADA 2007 PENSION PLAN | 0 | 1.754 | 1.754 |
| **D | AURION GLOBAL EQUITY FUND | 0 | 7.302 | 7.302 |
| **D | AZL INTERNATIONAL INDEX FUND | 0 | 153.285 | 153.285 |
| **D | AZL DFA INTERNATIONAL CORE EQUITY FUND | 0 | 15.113 | 15.113 |
| **D | AGF SYSTEMATIC GLOBAL INFRASTRUCTURE ETF | 0 | 619.547 | 619.547 |
| **D | XTRACKERS MSCI ALL WORLD EX US HIGH DIVIDEND YIELD EQUITY E | 0 | 5.349 | 5.349 |
| **D | XTRACKERS MSCI EAFE HIGH DIVIDEND YIELD EQUITY ETF | 0 | 1.140.106 | 1.140.106 |
| **D | COUNTY EMPLOYEES ANNUITY AND BENEFIT FUND OF COOK COUNTY | 0 | 742.002 | 742.002 |
| **D | EMPLOYEES RETIREMENT SYSTEM OF THE STATE OF HAWAII | 0 | 848.815 | 848.815 |
| **D | LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LLC DEFINED BENEFIT PLAN GROUP TRUST | 0 | 290.738 | |
| 290.738 | ||||
| **D | SIEMENS BALANCED | 0 | 42.573 | 42.573 |
| **D | SISTERS OF CHARITY OF LEAVENWORTH HEALTH SYSTEM MASTER TRUST | 0 | 117.893 | 117.893 |
| **D | ISHARES PUBLIC LIMITED COMPANY | 0 | 749.843 | 749.843 |
| **D | ALASKA PERMANENT FUND CORPORATION | 0 | 2.491.542 | 2.491.542 |
| **D | GENERAL SYNOD PENSION PLAN | 0 | 62.824 | 62.824 |
| **D | PMPT INKA FONDS | 0 | 105.701 | 105.701 |
| **D | INKA PBEAKK | 0 | 832.929 | 832.929 |
| **D | COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES RETIR | 0 | 323.267 | 323.267 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MICROSOFT CORPORATION | 0 | 13.830 | 13.830 |
| **D | IVY APOLLO MULTI ASSET INCOME FUND | 0 | 85.717 | 85.717 |
| **D | LOUISIANA STATE EMPLOYEES RETIREMENT SYSTEM | 0 | 2.627.978 | 2.627.978 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF NEVADA | 0 | 931.725 | 931.725 |
| **D | RETIREMENT BENEFITS INVESTMENT FUND | 0 | 16.418 | 16.418 |
| **D | CITY OF AUSTIN EMPLOYEES RETIREMENT SYSTEM | 0 | 120.596 | 120.596 |
| **D | POOL REINSURANCE CO LTD | 0 | 13.584 | 13.584 |
| **D | PENN SERIES DEVELOPED INTERNATIONAL INDEX FUND | 0 | 9.464 | 9.464 |
| **D | HEALTHCARE EMPLOYEES PENSION PLAN MANITOBA | 0 | 880.819 | 880.819 |
| **D | LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL LEGG MASON GLOBAL FUNDS PLC LEGG MASON CLEARBRIDGE GLOBAL | 0 | ||
| 1.872.859 | 1.872.859 | |||
| **D | FLORIDA RETIREMENT SYSTEM TRUST FUND | 0 | 77 | 77 |
| **D | PENSION RESERVES INVESTMENT TRUST FUND | 0 | 4.350.853 | 4.350.853 |
| **D | HIGHMARK INC | 0 | 188.400 | 188.400 |
| **D | SOUTH DAKOTA RETIREMENT SYSTEM | 0 | 96.400 | 96.400 |
| **D | THE HKSAR GOVERNMENT SCHOLARSHIP FUND | 0 | 1.127 | 1.127 |
| **D | DUKE ENERGY QUALIFIED NUCLEAR DECOMMISSIONING | 0 | 69.015 | 69.015 |
| **D | QUALITY EDUCATION FUND | 0 | 3.990 | 3.990 |
| **D | PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 0 | 197.900 | 197.900 |
| **D | ADVANCE PLANNING LIMITED | 0 | 5.210 | 5.210 |
| **D | DIGNITY PRE ARRANGEMENT LIMITED | 0 | 7.377 | 7.377 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF NEW MEXICO | 0 | 53.397 | 53.397 |
| **D | BOARD OF PENSIONS OF THE EVANGELICAL LUTHERAN CHURCH IN AMERICA | 0 | 46.837 | 46.837 |
| **D | HSBC GLOBAL EQUITY VOLATILITY FOCUSED FUND | 0 | 75.593 | 75.593 |
| **D | HSBC INTERNATIONAL EQUITY INDEX FUND | 0 | 26.935 | 26.935 |
| **D | SOUTH CAROLINA RETIREMENT SYSTEMS GROUP TRUST | 0 | 247.270 | 247.270 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR | 0 | 5.136 | 5.136 |
| **D | STICHTING BEDRIJFSPENSIOENFONDS VOOR HET | 0 | 5.972 | 5.972 |
| **D | PGIM QMA INTERNATIONAL DEVELOPED MARKETS INDEX FUND | 0 | 6.716 | 6.716 |
| **D | ENERGY INSURANCE MUTUAL LIMITED | 0 | 10.266 | 10.266 |
| **D | MIDDLETOWN WORKS HOURLY AND SALARIED UNION | 0 | 9.984 | 9.984 |
| **D | METROPOLITAN LIFE INSURANCE COMPANY | 0 | 80.366 | 80.366 |
| **D | IOWA PUBLIC EMPLOYEES RETIREMENT SYSTEM | 0 | 101.216 | 101.216 |
| **D | MET WAT REC DST RF NRN TRUST GLV 997261 | 0 | 4.357 | 4.357 |
| **D | BOCI PRUDENTIAL TRUSTEE LIMITED BOCPIFS EUIF | 0 | 110.361 | 110.361 |
| **D | SEEYOND | 0 | 150.645 | 150.645 |
| **D | ICP PLACEMENT | 0 | 5.185 | 5.185 |
| **D | SILVER AMUNDI EUROPE EQUITY CO | 0 | 182.193 | 182.193 |
| **D | PROCURA FONDS TAUBE BL ACCOUNT | 0 | 11.840 | 11.840 |
| **D | AFS ICAV GLOBAL MULTI ASSET GR | 0 | 12.792 | 12.792 |
| **D | ECOFIN SUSTAINABLE LISTED INFR | 0 | 10.238 | 10.238 |
| **D | LYXOR FTSE MIB UCITS ETF | 0 | 1.968.642 | 1.968.642 |
| **D | LYXOR MSCI EUROPE UCITS ETF | 0 | 148.347 | 148.347 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge D D D D D D **D |
Ragione Sociale SG ACTIONS EURO RENDEMENT ISR SG ACTIONS ENERGIE EUROPE SG ACTIONS INTERNATIONALES SG BLACKROCK FLEXIBLE ISR LYXINDEX FUND - LYXOR MSCI EMU MULTI UNITS LUX-LYXOR CORE MSC LYXOR CORE MSCI WORLD (DR) UCI |
Proprio 0 0 0 0 0 |
Delega 74.385 77.606 62.014 12.677 |
Totale 74.385 77.606 62.014 |
|---|---|---|---|---|
| 12.677 | ||||
| 114.629 | 114.629 | |||
| 0 | 166.453 | 166.453 | ||
| 0 | 119.505 | 119.505 | ||
| **D MUL- |
LYX FTSE IT ALL CAP PIR 2 | 0 | 55.707 | 55.707 |
| **D | LIF-LYXOR MSCI WORLD CATHOL PR | 0 | 24.303 | 24.303 |
| **D ASI - |
PROGETTO SVILUPPO GLOBAL | 0 | 382.754 | 382.754 |
| **D | PSSF-PROGETTO AZIONE SOSTENIBI | 0 | 3.806 | 3.806 |
| **D ASI - |
PROGETTO AZIONE SOSTENIB | 0 | 5.045 | 5.045 |
| **D | AMIF - EMU EQUITY |
0 | 137.392 | 137.392 |
| **D | AMIF - EUROPEAN EQUITY |
0 | 183.689 | 183.689 |
| **D AIF- |
TACTICAL PORTFOLIO INCOME | 0 | 51.772 | 51.772 |
| **D | AMUNDI TOTAL RETURN | 0 | 61.771 | 61.771 |
| **D ASI - |
BILANCIATO PERCORSO ATTI | 0 | 71.511 | 71.511 |
| **D | ASI BIL PER ATTIVO III | 0 | 50.265 | 50.265 |
| **D | MULTI UNITS LUX AM STX EU 600 | 0 | 2.011.991 | 2.011.991 |
| **D | AIF-MULTI-ASSET TEODORICO | 0 | 79.782 | 79.782 |
| **D | AMUNDI SGR SPA/SECONDAPENSIONE FONDO PENSIONE APERTO | 0 | 2.048.222 | 2.048.222 |
| **D | AMUNDI SGR SPA / AMUNDI RISPARMIO ITALIA | 0 | 826.883 | 826.883 |
| **D | AMUNDI SGR SPA/AMUNDI SVILUPPO ATTIVO ITALIA | 0 | 1.775.000 | 1.775.000 |
| **D | AMUNDI SGR SPA/CORE PENSION FONDO PENSIONE APERTO | 0 | 877.050 | 877.050 |
| **D | AMUNDI SGR SPA/AMUNDI ELITE MULTI ASSET FLEXIBLE | 0 | 584.657 | 584.657 |
| **D | AMUNDI SGR SPA / AMUNDI BILANCIATO PIU` | 0 | 358.368 | 358.368 |
| **D | AMUNDI SGR SPA / OBBLIGAZIONARIO PIU` A DIS TRIBUZIONE | 0 | 288.533 | 288.533 |
| **D | CHERRY TREE FUND A SERIES TRUS | 0 | 1.271.825 | 1.271.825 |
| **D | SEI GLOBAL MASTER FUND PLC THE | 0 | 16.433 | 16.433 |
| **D | AB SICAV III - DYNAMIC ALL MAR |
0 | 5.132 | 5.132 |
| **D | KOKUSAI EQUITY INDEX FUND, A S | 0 | 46.838 | 46.838 |
| **D | MORGAN STANLEY PATHWAY FUNDS - | 0 | 58.564 | 58.564 |
| **D | CNS GLOBAL LIST INFRASTRUCTURE | 0 | 348.484 | 348.484 |
| **D | CUSTODY BANK OF JAPAN, LTD. RE | 0 | 946.408 | 946.408 |
| **D | NORTHERN LIGHTS FUND TRUST IV | 0 | 58.760 | 58.760 |
| **D | BRIDGE BUILDER INTERNATIONAL E | 0 | 33.092.791 | 33.092.791 |
| **D | INSPIRE INTERNATIONAL ETF | 0 | 302.830 | 302.830 |
| **D | BLK MAGI FUND A SERIES TRUST O | 0 | 410 | 410 |
| **D | BRIDGE BUILDER TAX MANAGED | 0 | 18.398 | 18.398 |
| **D | DESTINATIONS INTERNATIONAL EQU | 0 | 51.082 | 51.082 |
| **D | BLACKROCK GLOBAL ALLOCATION FU | 0 | 448.635 | 448.635 |
| **D | AB CAYMAN MASTER TRUST - GLOBA |
0 | 75.731 | 75.731 |
| **D | AMUNDI AUSTRIA | 0 | 47.082 | 47.082 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MLC INVESTMENTS MLC LIMITED | 0 | 182.241 | 182.241 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE II |
0 | 805.669 | 805.669 |
| **D | UBS (LUX) INSTITUTIONAL FUND - EQUITIES EUROPE (EX CH) PASSIVE |
0 | 269.492 | 269.492 |
| **D | MIGROS BANK (LUX) FONDS 30 | 0 | 3.200 | 3.200 |
| **D | MIGROS BANK (LUX) FONDS 40 (EUR) | 0 | 3.280 | 3.280 |
| **D | MIGROS BANK (LUX) FONDS 50 | 0 | 4.600 | 4.600 |
| **D | MIGROS BANK (LUX) FONDS INTERSTOCK | 0 | 6.200 | 6.200 |
| **D | UBS (LUX) SICAV 1 | 0 | 7.257 | 7.257 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF DEFENSIVE (USD) |
0 | 2.203 | 2.203 |
| **D | UBS (LUX) STRATEGY SICAV-SYSTEMATIC - ALLOCATION PF MEDIUM (USD) |
0 | 9.802 | 9.802 |
| **D | UBS (LUX) KEY SELECTION SICAV - SYSTEMATIC ALLOCAT PTF EQUITY (USD) |
0 | 8.330 | 8.330 |
| **D | STRATEGY SICAV | 0 | 10.846 | 10.846 |
| **D | UBS FUND MANAGEMENT(LUXEMBOURG) SA | 0 | 289.990 | 289.990 |
| **D | UBS (LUX) EQUITY SICAV - EUROPEAN - HIGH DIVIDEND (EUR) |
0 | 362.788 | 362.788 |
| **D | UBS (LUX) STRATEGY SICAV SAP DYNAMIC (USD) | 0 | 3.951 | 3.951 |
| **D | UBS (LUX) EQUITY SICAV - EURO COUNTRIES INCOME |
0 | 681.914 | 681.914 |
| **D | LGIASUPER | 0 | 129.085 | 129.085 |
| **D | PRIME SUPER | 0 | 3.141 | 3.141 |
| **D | GENERATION LIFE LIMITED | 0 | 138.074 | 138.074 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG. | 0 | 413.448 | 413.448 |
| **D | STIHL INTERNATIONAL GMBH | 0 | 780.849 | 780.849 |
| **D | NORGES BANK | 0 | 19.171.615 | 19.171.615 |
| **D | AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | 0 | 2.776 | 2.776 |
| **D | FONDS DE PLACEMENT PROMUTUEL GROUPE PROMUTUEL FEDERATION DE SOCIETES MUTUELLES DASSURANCE GENERALE | 0 | 91.715 | |
| 91.715 | ||||
| **D | ASSET MANAGEMENT EXCHANGE UCITS CCF. | 0 | 1.536.625 | 1.536.625 |
| **D | LGIM MANAGERS (EUROPE) LIMITED | 0 | 1.272.267 | 1.272.267 |
| **D | GENERAL ORGANISATION FOR SOCIAL INSURANCE. | 0 | 1.616.406 | 1.616.406 |
| **D | INTER-AMERICAN DEVELOPMENT BANK STAFF RETIREMENT FUND | 0 | 440.640 | 440.640 |
| **D | INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT | 0 | 31.366 | 31.366 |
| **D | INTER-AMERICAN DEVELOPMENT BANK POST-RETIREMENT BENEFITS FUN | 0 | 205.880 | 205.880 |
| **D | WHEELS COMMON INVESTMENT FUND. | 0 | 3.585 | 3.585 |
| **D | CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS. | 0 | 17.657 | 17.657 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 0 | 207.035 | 207.035 |
| **D | LEGAL AND GENERAL GLOBAL EQUITY INDEX FUND | 0 | 35.491 | 35.491 |
| **D | LEGAL & GENERAL GLOBAL INFRASTRUCTURE INDEX FUND | 0 | 1.806.933 | 1.806.933 |
| **D | LEGAL & GENERAL FUTURE WORLD CLIMATE CHANGE EQUITY FACTORS I | 0 | 5.969 | 5.969 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG DEVELOPED INDEX FUND | 0 | 74.003 | 74.003 |
| **D | LEGAL & GENERAL FUTURE WORLD ESG EUROPE EX UK INDEX FUND | 0 | 31.528 | 31.528 |
| **D | LEGAL & GENERAL EUROPEAN INDEX TRUST | 0 | 1.201.772 | 1.201.772 |
| **D | LEGAL AND GENERAL INTERNATIONAL INDEX TRUST | 0 | 241.405 | 241.405 |
| **D | GARD UNIT TRUST | 0 | 33.808 | 33.808 |
| **D | MONDRIAN FUNDS PLC | 0 | 111.898 | 111.898 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | BARINGS INTERNATIONAL UMBRELLA FUND | 0 | 144.748 | 144.748 |
| **D | STATE STREET GLOBAL ADVISORS GROSS ROLL UP UNIT TRUST | 0 | 13.024 | 13.024 |
| **D | MFG INVESTMENT FUND PLC | 0 | 229.958 | 229.958 |
| **D | OSMOSIS ICAV | 0 | 15.780 | 15.780 |
| **D | LEGAL & GENERAL ICAV. | 0 | 873 | 873 |
| **D | NORTHERN TRUST UCITS FGR FUND | 0 | 318.021 | 318.021 |
| **D | SCHLUMBERGER INTERNATIONAL STAFF RETIREMENT FUND FCP-SIF. | 0 | 9.119 | 9.119 |
| **D | VERDIPAPIRFONDET KLP AKSJEEUROPA INDEKS. | 0 | 95.336 | 95.336 |
| **D | VERDIPAPIRFONDET KLP AKSJEGLOBAL INDEKS | 0 | 354.942 | 354.942 |
| **D | PUBLIC SECTOR PENSION INVESTMENT BOARD. | 0 | 11.020 | 11.020 |
| **D | SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 0 | 2.166.601 | 2.166.601 |
| **D | TRUST FOR RETIREE MEDICAL DENTAL AND LIFE INSURANCE OF THE | 0 | 70.132 | 70.132 |
| **D | THE RETIREMENT ANNUITY PLAN FOR EMPLOYEES OF THE ARMY AND AI | 0 | 156.921 | 156.921 |
| **D | CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | 0 | 935.515 | 935.515 |
| **D | CSAA INSURANCE EXCHANGE | 0 | 12.833 | 12.833 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND - LENDING |
0 | 98.840 | 98.840 |
| **D | SCHLUMBERGER GROUP TRUST AGREEMENT | 0 | 48.715 | 48.715 |
| **D | MASTER TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT PLANS | 0 | 14.272 | 14.272 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD INDEX (ACWI) EX-US F | 0 | 114.460 | 114.460 |
| **D | GLOBAL DEVELOPED MARKET PASSIVE EQUITY FUND | 0 | 14.190 | 14.190 |
| **D | RETURN TO WORK CORPORATION OF SOUTH AUSTRALIA | 0 | 817.839 | 817.839 |
| **D | THE MINDEROO FOUNDATION TRUST | 0 | 11.576 | 11.576 |
| **D | EQUIPSUPER | 0 | 46.730 | 46.730 |
| **D | STICHTING PENSIOENFONDS SAGITTARIUS | 0 | 46.247 | 46.247 |
| **D | STICHTING HEINEKEN PENSIOENFONDS | 0 | 25.192 | 25.192 |
| **D | STICHTING PENSIOENFONDS APF. | 0 | 244.201 | 244.201 |
| **D | STICHTING PME PENSIOENFONDS | 0 | 280.987 | 280.987 |
| **D | PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 0 | 9.516.731 | 9.516.731 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF FUTURE F | 0 | 347.915 | 347.915 |
| **D | FUTURE FUND INVESTMENT COMPANY NO.2 PTY LTD | 0 | 4.700.000 | 4.700.000 |
| **D | MRFF INVESTMENT COMPANY NO. 2 PTY LTD. | 0 | 575.546 | 575.546 |
| **D | FUTURE FUND BOARD OF GUARDIANS FOR AND ON BEHALF OF THE MEDI. | 0 | 81.261 | 81.261 |
| **D | NORTHERN TRUST UCITS COMMON CONTRACTUAL FUND | 0 | 2.426.992 | 2.426.992 |
| **D | UNITED NATIONS RELIEF AND WORKS AGENCY FOR PALESTINE REFUGEE | 0 | 12.116 | 12.116 |
| **D | THOMAS L. WALTON FAMILY TRUST UAD 03/1 9/13 | 0 | 19.687 | 19.687 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE CIT | 0 | 971.248 | 971.248 |
| **D | FIDELITY INVESTMENTS CHARITABLE GIFT FUND DTD 8/18/2009 | 0 | 20.374 | 20.374 |
| **D | STEUART L. WALTON FAMILY TRUST UAD 03/19/13 | 0 | 5.250 | 5.250 |
| **D | EXELON CORPORATION PENSION MASTER RETIREMENT TRUST | 0 | 409.462 | 409.462 |
| **D | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | 0 | 96.190 | 96.190 |
| **D | R.E. GINNA NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 3.700 | 3.700 |
| **D | RUTGERS THE STATE UNIVERSITY | 0 | 23.624 | 23.624 |
| **D | PCA TAX SHELTERED ANNUITY PLAN | 0 | 10.740 | 10.740 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CSX CORP MASTER PENSION TRUST | 0 | 70.380 | 70.380 |
| **D | CONSTELLATION FITZPATRICK QUALIFIED FUND | 0 | 9.186 | 9.186 |
| **D | CONSUMERS ENERGY COMPANY NON-UNION WELFARE BENEFIT TRUST TO PROVIDE FOR RETIREE HEALTH CARE AND | 0 | 4.859 | 4.859 |
| **D | MASTER TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL | 0 | 203.520 | 203.520 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT TWO QUALIFIED FUND | 0 | 4.800 | 4.800 |
| **D | CALVERT CLIFFS NUCLEAR POWER PLANT UNIT ONE QUALIFIED FUND | 0 | 200 | 200 |
| **D | THE HARTFORD ROMAN CATHOLIC DIOCESAN CORPORATION RETIREMENT | 0 | 41 | 41 |
| **D | THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST | 0 | 31.443 | 31.443 |
| **D | ADVOCATE HEALTH AND HOSPITALS CORPORATION | 0 | 3.417.245 | 3.417.245 |
| **D | JOSHUA GREEN CORPORATION | 0 | 11.829 | 11.829 |
| **D | IBM PERSONAL PENSION PLAN TRUST | 0 | 5.206 | 5.206 |
| **D | NINE MILE POINT NDT QUALIFIED PARTNERSHIP | 0 | 21.500 | 21.500 |
| **D | PFIZER INC. MASTER TRUST | 0 | 459.887 | 459.887 |
| **D | MOZILLA CORPORATION | 0 | 3.285 | 3.285 |
| **D | NORTHERN TRUST COMMON EAFE INDEX FUND NON-LENDING | 0 | 305.710 | 305.710 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE O | 0 | 26.251 | 26.251 |
| **D | WILSHIRE MULTI-MANAGER REAL ASSET FUND | 0 | 32.589 | 32.589 |
| **D | UNITED SERVICES AUTOMOBILE ASSOCIATION | 0 | 39.608 | 39.608 |
| **D | HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT EXCHANGE | 0 | 1.191.901 | 1.191.901 |
| **D | HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 0 | 47.896 | 47.896 |
| **D | THE BOARD OF MANAGEMENT OF THE CHINESE PERMANENT CEMETERIES | 0 | 8.923 | 8.923 |
| **D | BEAT DRUGS FUND ASSOCIATION | 0 | 2.621 | 2.621 |
| **D | CARNELIAN INVESTMENT MANAGEMENT LLC. | 0 | 17.110 | 17.110 |
| **D | CARROLL AVENUE PARTNERS LLC. | 0 | 707 | 707 |
| **D | EVA VALLEY MA1 LLC | 0 | 13.180 | 13.180 |
| **D | FUNDO DE PENSOES | 0 | 20.946 | 20.946 |
| **D | DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 0 | 11.468 | 11.468 |
| **D | DFI LP EQUITY (PASSIVE | 0 | 1.373 | 1.373 |
| **D | DYNASTY INVEST LTD | 0 | 4.845 | 4.845 |
| **D | ALICE L WALTON CHARITABLE LLC | 0 | 571.708 | 571.708 |
| **D | FIDDLER PARTNERS LLC | 0 | 1.095 | 1.095 |
| **D | FOURTH AVENUE INVESTMENT COMPANY LIMITED PARTNERSHIP | 0 | 28.854 | 28.854 |
| **D | HAWTHORN DM LLC | 0 | 30.202 | 30.202 |
| **D | INTERNATIONAL EXPATRIATE BENEFIT MASTER TRUST | 0 | 3.938 | 3.938 |
| **D | PINK CALI LLC | 0 | 81 | 81 |
| **D | OMEGA FFIP LIMITED PARTNERSHIP | 0 | 3.407 | 3.407 |
| **D | HAWAII LLC | 0 | 14.549 | 14.549 |
| **D | MONDRIAN GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP. | 0 | 824.536 | 824.536 |
| **D | BUILDERS ASSET MANAGEMENT LLC | 0 | 55.623 | 55.623 |
| **D | LEHMAN-STAMM FAMILY PARTNERS LLC | 0 | 264 | 264 |
| **D | LEGAL & GENERAL MSCI EAFE FUND LLC | 0 | 143.531 | 143.531 |
| **D | METIS EQUITY TRUST- METIS INTERNATIONAL CLIMATE ALIGNED INDE |
0 | 20.900 | 20.900 |
| **D | MONDRIAN INTERNATIONAL EQUITY ESG FUND L.P | 0 | 536.790 | 536.790 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | MONDRIAN INTERNATIONAL EQUITY FOCUSED FUND L.P. | 0 | 263.597 | 263.597 |
| **D | NELKE PARTNERSHIP | 0 | 8.665 | 8.665 |
| **D | INTERNATIONAL EQUITY FUND LLC | 0 | 16.312 | 16.312 |
| **D | HOLTEC INDIAN POINT 3 LLC MASTER DECOMMISSIONING TRUST | 0 | 22.393 | 22.393 |
| **D | AVALON PORTFOLIO II LLC | 0 | 426 | 426 |
| **D | 801 INVESTMENTS LLC | 0 | 9.547 | 9.547 |
| **D | RTPIP LP | 0 | 2.467 | 2.467 |
| **D | FCM INTERNATIONAL LLC | 0 | 4.450 | 4.450 |
| **D | ZOMA CAPITAL PORTFOLIO LLC. | 0 | 19.875 | 19.875 |
| **D | THYSSEN GLOBAL INVESTMENTS CORP. | 0 | 1.673 | 1.673 |
| **D | GLOBAL BOND FUND WAYCROSSE INC | 0 | 185.502 | 185.502 |
| **D | MFC INTERNATIONAL FUND LLC | 0 | 15.782 | 15.782 |
| **D | GLOBAL EQUITY SERIES OF SALT CREEK INVESTMENTS LLC | 0 | 8.486 | 8.486 |
| **D | SENTINEL INTERNATIONAL FUND | 0 | 658 | 658 |
| **D | SALIX LLC | 0 | 38.659 | 38.659 |
| **D | SLW PORTFOLIO LLC | 0 | 1.778 | 1.778 |
| **D | PRO-GEN INVESTMENTS LLC | 0 | 5.770 | 5.770 |
| **D | CINDY SPRINGS LLC | 0 | 164.372 | 164.372 |
| **D | RUM CAY LP | 0 | 9.483 | 9.483 |
| **D | RDM LIQUID LLC | 0 | 57.800 | 57.800 |
| **D | K INVESTMENTS SH LIMITED. | 0 | 198.313 | 198.313 |
| **D | LEGAL & GENERAL MSCI EAFE SL FUND LLC | 0 | 145.559 | 145.559 |
| **D | MBB PUBLIC MARKETS I LLC | 0 | 142.583 | 142.583 |
| **D | PROVIDENCE ST. JOSEPH HEALTH LONG TERM PORTFOLIO | 0 | 5.321 | 5.321 |
| **D | FOOD AND AGRICULTURE ORGANIZATION OF THE UNITED NATIONS | 0 | 7.724 | 7.724 |
| **D | INTERNATIONAL MONETARY FUND STAFF RETIREMENT PLAN | 0 | 129.532 | 129.532 |
| **D | MONDRIAN GLOBAL EQUITY FUND L.P | 0 | 435.781 | 435.781 |
| **D | MONDRIAN ALL COUNRIES WORLD EX-US EQUITY FUND L.P. GLOBAL I | 0 | 4.390.123 | 4.390.123 |
| **D | MONDRIAN INTERNATIONAL EQUITY FUND L.P. | 0 | 16.978.011 | 16.978.011 |
| **D | NATIONAL COUNCIL FOR SOCIAL SECURITY FUND PRC | 0 | 551.197 | 551.197 |
| **D | CHEVRON UK PENSION PLAN | 0 | 8.657 | 8.657 |
| **D | FIFE COUNCIL PENSION FUND | 0 | 301.207 | 301.207 |
| **D | THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE | 0 | 19.238 | 19.238 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY SERIES GLOBAL EX U.S. INDEX FUND | 0 | 3.415.933 | 3.415.933 |
| **D | FIDELITY SALEM STREET TRUST: FIDELITY FLEX INTERNATIONAL INDEX FUND | 0 | 160.829 | 160.829 |
| **D | VI CAPITAL LTD. | 0 | 2.920 | 2.920 |
| **D | CBS INSURANCE COMPANY LIMITED | 0 | 2.726 | 2.726 |
| **D | STATE UNIVERSITIES RETIREMENT SYSTEM | 0 | 2.420.326 | 2.420.326 |
| **D | COMMONWEALTH SUPERANNUATION CORPORATION AS TRUSTEE FOR ARIA | 0 | 21.148 | 21.148 |
| **D | MERCER PASSIVE INTERNATIONAL SHARES FUND | 0 | 124.772 | 124.772 |
| **D | MERCER PASSIVE SUSTAINABLE INTERNATIONAL SHARES FUND | 0 | 16.393 | 16.393 |
| **D | MAGELLAN INFRASTRUCTURE FUND (CURRENCY HEDGED) | 0 | 1.721.879 | 1.721.879 |
| **D | NT WORLD GREEN TRANSITION INDEX FUND | 0 | 2.465 | 2.465 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | INSURANCE COMMISSION OF WESTERN AUSTRALIA | 0 | 895.984 | 895.984 |
| **D | AUSTRALIAN CAPITAL TERRITORY | 0 | 57.205 | 57.205 |
| **D | MERCER INDEXED INTERNATIONAL SHARES FUND | 0 | 150.054 | 150.054 |
| **D | INTERNATIONAL EQUITIES PASSIVE B UNIT TRUST | 0 | 3.595 | 3.595 |
| **D | SUPERANNUATION FUNDS MANAGEMENT CORPORATION OF SOUTH AUSTRAL | 0 | 14.495 | 14.495 |
| **D | GOVERNMENT EMPLOYEES SUPERANNUATION BOARD | 0 | 338.432 | 338.432 |
| **D | MAGELLAN INFRASTRUCTURE FUND (UNHEDGED) | 0 | 2.054.837 | 2.054.837 |
| **D | QIC INTERNATIONAL EQUITIES FUND. | 0 | 16.964 | 16.964 |
| **D | MAGELLAN INFRASTRUCTURE FUND | 0 | 4.458.311 | 4.458.311 |
| **D | MAGELLAN CORE INFRASTRUCTURE FUND | 0 | 792.158 | 792.158 |
| **D | THE TRUSTEES OF THE HENRY SMITH CHARITY | 0 | 36.611 | 36.611 |
| **D | S. ROBSON WALTON 1999 CHILDRENS TRUST | 0 | 5.218 | 5.218 |
| **D | MOBIUS LIFE LIMITED | 0 | 31.044 | 31.044 |
| **D | HRW TESTAMENTARY TRUST NO. 1 | 0 | 14.863 | 14.863 |
| **D | HRW TESTAMENTARY TRUST NO. 3 | 0 | 17.306 | 17.306 |
| **D | S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | 0 | 4.573 | 4.573 |
| **D | JOHN T. WALTON FAMILY TRUST | 0 | 50.037 | 50.037 |
| **D | HRW TESTAMENTARY TRUST NO. 6 | 0 | 1 | 1 |
| **D | HRW TESTAMENTARY TRUST NO. 4. | 0 | 5.361 | 5.361 |
| **D | HRW TESTAMENTARY TRUST NO. 9. | 0 | 4.439 | 4.439 |
| **D | HRW TESTAMENTARY TRUST NO. 8. | 0 | 83.727 | 83.727 |
| **D | HRW TESTAMENTARY TRUST NO. 2 | 0 | 14.383 | 14.383 |
| **D | HRW TRUST NO. 4 UAD 01/17/03 | 0 | 137.420 | 137.420 |
| **D | HRW TESTAMENTARY TRUST NO. 5 | 0 | 6.947 | 6.947 |
| **D | HRW TESTAMENTARY TRUST NO. 12. | 0 | 13.597 | 13.597 |
| **D | HRW TRUST NO. 3 UAD 01/17/03 | 0 | 111.815 | 111.815 |
| **D | HRW TESTAMENTARY TRUST NO. 11. | 0 | 63.276 | 63.276 |
| **D | S. ROBSON WALTON 2010 TRUST | 0 | 8.791 | 8.791 |
| **D | HRW TRUST NO. 1 UAD 01/17/03 | 0 | 3.454 | 3.454 |
| **D | HRW TESTAMENTARY TRUST NO. 10. | 0 | 6.127 | 6.127 |
| **D | HRW TRUST NO. 2 UAD 01/17/03 | 0 | 14.918 | 14.918 |
| **D | PROVIDENCE HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS | 0 | 5.144 | 5.144 |
| **D | PRESBYTERIAN CHURCH (USA) FOUNDATION | 0 | 9.707 | 9.707 |
| **D | NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 0 | 4.225.300 | 4.225.300 |
| **D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 0 | 43.530 | 43.530 |
| **D | ARVEST FOUNDATION | 0 | 1.277 | 1.277 |
| **D | FALKIRK COUNCIL PENSION FUND | 0 | 418.449 | 418.449 |
| **D | FCA US LLC DEFINED CONTRIBUTION PLAN MASTER TRUST | 0 | 945.317 | 945.317 |
| **D | ESSENTIA HEALTH | 0 | 1.965 | 1.965 |
| **D | THE CALIFORNIA WELLNESS FOUNDATION | 0 | 13.453 | 13.453 |
| **D | RETIREMENT PLAN FOR CHICAGO TRANSIT AUTHORITY EMPLOYEES. | 0 | 27.315 | 27.315 |
| **D | CONSTELLATION PEACH BOTTOM UNIT 1 QUALIFIED FUND | 0 | 1.126 | 1.126 |
| **D | CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 4.746 | 4.746 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ATRIUM HEALTH | 0 | 353.901 | 353.901 |
| **D | NORTHAMPTONSHIRE PENSION FUND | 0 | 6.868 | 6.868 |
| **D | ARIEL INTERNATIONAL FUND | 0 | 1.274.449 | 1.274.449 |
| **D | MICHIGAN CATHOLIC CONFERENCE | 0 | 13.823 | 13.823 |
| **D | NORTHERN FUNDS - INTERNATIONAL EQUITY INDEX FUND |
0 | 553.450 | 553.450 |
| **D | THE NEMOURS FOUNDATION PENSION PLAN | 0 | 1.940 | 1.940 |
| **D | NORTHERN MULTI MANAGER GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 2.870.315 | 2.870.315 |
| **D | THE MOTOROLA PENSION SCHEME. | 0 | 65.616 | 65.616 |
| **D | THE MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND | 0 | 5.831 | 5.831 |
| **D | MICHIGAN CATHOLIC CONFERENCE MASTER PENSION TRUST | 0 | 6.408 | 6.408 |
| **D | JTW TRUST NO. 1 UAD 9/19/02. | 0 | 10.211 | 10.211 |
| **D | JTW TRUST NO. 3 UAD 9/19/02. | 0 | 10.536 | 10.536 |
| **D | JTW TRUST NO. 5 UAD 9/19/02. | 0 | 7.625 | 7.625 |
| **D | JTW TRUST NO. 2 UAD 9/19/02. | 0 | 12.155 | 12.155 |
| **D | JTW TRUST NO. 4 UAD 9/19/02. | 0 | 8.489 | 8.489 |
| **D | ILLINOIS MUNICIPAL RETIREMENT FUND | 0 | 5.767.768 | 5.767.768 |
| **D | CITY OF LOS ANGELES FIRE AND POLICE PENSION PLAN | 0 | 235.259 | 235.259 |
| **D | LOS ANGELES CITY EMPLOYEES` RETIREMENT SYSTEM. | 0 | 138.415 | 138.415 |
| **D | LOTHIAN PENSION FUND | 0 | 1.602.787 | 1.602.787 |
| **D | MORNINGSTAR UNCONSTRAINED ALLOCATION FUND A SERIES OF MORNINGSTAR FUNDS TRUST | 0 | 678.958 | 678.958 |
| **D | MONTGOMERY COUNTY CONSOLIDATED RETIREE HEALTH BENEFITS TRUST | 0 | 139.410 | 139.410 |
| **D | BAPTIST FOUNDATION OF TEXAS. | 0 | 440.014 | 440.014 |
| **D | NEW YORK STATE NURSES ASSOCIATION PENSION PLAN | 0 | 457.003 | 457.003 |
| **D | PROVIDENCE HEALTH & SERVICES CASH BALANCE RETIREMENT PLAN TR. | 0 | 3.897 | 3.897 |
| **D | GENERAL PENSION AND SOCIAL SECURITY AUTHORITY | 0 | 38.842 | 38.842 |
| **D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0 | 116.668 | 116.668 |
| **D | ALFRED I. DUPONT CHARITABLE TRUST | 0 | 36.804 | 36.804 |
| **D | ABU DHABI PENSION FUND | 0 | 91.748 | 91.748 |
| **D | WYOMING RETIREMENT SYSTEM | 0 | 22.318 | 22.318 |
| **D | GARRISON PROPERTY AND CASUALTY INSURANCE COMPANY | 0 | 8.180 | 8.180 |
| **D | USAA GENERAL INDEMNITY COMPANY | 0 | 13.240 | 13.240 |
| **D | TEACHERS` RETIREMENT SYSTEM OF OKLAHOMA | 0 | 255.753 | 255.753 |
| **D | UTAH STATE RETIREMENT SYSTEMS | 0 | 268.360 | 268.360 |
| **D | USAA CASUALTY INSURANCE COMPANY | 0 | 23.563 | 23.563 |
| **D | SALT RIVER PIMA-MARICOPA INDIAN COMMUNITY | 0 | 186.012 | 186.012 |
| **D | SAN MATEO COUNTY EMPLOYEES` RETIREMENT ASSOCIATION | 0 | 1.325.788 | 1.325.788 |
| **D | EMPLOYEES RETIREMENT FUND OF THE CITY OF DALLAS. | 0 | 122.926 | 122.926 |
| **D | FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 0 | 4.554 | 4.554 |
| **D | REGIME DE RETRAITE DU PERSONNEL DES CPE ET DES GARDERIES PRI | 0 | 206.908 | 206.908 |
| **D | BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 0 | 3.782.803 | 3.782.803 |
| **D | ACS 30:70 GLOBAL EQUITY TRACKER FUND | 0 | 100 | 100 |
| **D | BRITISH COLUMBIA INVESTMENT MANAGEMENT CORPORATION. | 0 | 667.391 | 667.391 |
| **D | STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 0 | 1.758.477 | 1.758.477 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME | 0 | 200.000 | 200.000 |
| **D | UBS COMMON CONTRACTUAL FUND | 0 | 32.420 | 32.420 |
| **D | THE LF ACCESS POOL AUTHORISED CONTRACTUAL SCHEME | 0 | 1.640.272 | 1.640.272 |
| **D | BLACKROCK UCITS CCF | 0 | 186.898 | 186.898 |
| **D | WEST YORKSHIRE PENSION FUND | 0 | 1.003.311 | 1.003.311 |
| **D | RECORD INVEST SCA SICAV RAIF | 0 | 8.612 | 8.612 |
| **D | KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | 0 | 204.196 | 204.196 |
| **D | ELO MUTUAL PENSION INSURANCE COMPANY ELO MUTUAL PENSION INSURANCE COMPANY | 0 | 406.937 | 406.937 |
| **D | NOTHERN TRUST LUXEMBOURG MANAGEMENT COMPANY SA ACTING IN ITS | 0 | 407.544 | 407.544 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET LEVENSMIDDELENBEDRIJF | 0 | 81.818 | 81.818 |
| **D | STICHTING PENSIOENFONDS PGB | 0 | 556.811 | 556.811 |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR HET SCHOONMAAK EN GL. | 0 | 9.472 | 9.472 |
| **D | STICHTING PENSIOENFONDS OPENBARE BIBLIOTHEKEN | 0 | 9.180 | 9.180 |
| **D | FJARDE AP-FONDEN. | 0 | 2.112.866 | 2.112.866 |
| **D | ROBECO INSTITUTIONAL UMBRELLA FUND | 0 | 294.164 | 294.164 |
| **D | POINT72 LONDON INVESTMENTS LTD. | 0 | 5.695.419 | 5.695.419 |
| **D | D. E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS L.L.C. | 0 | 2.498 | 2.498 |
| **D | NORTH ROCK SPC - NR 1 SP |
0 | 211.223 | 211.223 |
| **D | DE SHAW US BROAD MARKET CORE ALPHA EXTENSION CUSTOM FUND II L.L.C. | 0 | 113.928 | 113.928 |
| **D | DE SHAW ALL COUNTRY GLOBAL ALPHA EXTENSION PORTFOLIOS LLC | 0 | 269 | 269 |
| **D | AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT L.P. PORTFOLIO MARGIN ACCT | 0 | 24.457 | 24.457 |
| **D | DE SHAW WORLD ALPHA EXTENSION PORTFOLIOS LLC | 0 | 7.816 | 7.816 |
| **D | D.E. SHAW ALL COUNTRY GLOBAL ALPHA PLUS PORTFOLIOS II L.L.C | 0 | 1.099 | 1.099 |
| **D | BG MASTER FUND ICAV | 0 | 403 | 403 |
| **D | CM GRAT LLC | 0 | 1.417 | 1.417 |
| **D | ROSEDENE LLC | 0 | 4.415 | 4.415 |
| **D | SPRING 625 | 0 | 48.014 | 48.014 |
| **D | THE CHERYL D DUFFIELD TRUST UAD 09/12/96 CHERYL D DUFFIELD TTEE | 0 | 1.207 | 1.207 |
| **D | THE DAVID A DUFFIELD TRUST UAD 07/14/88 | 0 | 25.982 | 25.982 |
| **D | LGT SELECT EQUITY GLOBAL | 0 | 1.096.632 | 1.096.632 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL CONVERTIBLE FUND |
0 | 120.039 | 120.039 |
| **D | MACQUARIE FUND SOLUTIONS - MACQUARIE GLOBAL LISTED INFRASTRU |
0 | 1.229.309 | 1.229.309 |
| **D | VARIOPARTNER SICAV - 3-ALPHA DIVERSIFIER EQUITIES EUROPE |
0 | 103.691 | 103.691 |
| **D | MACT - SIF |
0 | 16.867 | 16.867 |
| **D | GBPO - QCF - GLOBAL BALANCED POOL |
0 | 5.997 | 5.997 |
| **D | UNIVERSE THE CMI GLOBAL NETWORK FUND - CMI CONTINENTAL EURO |
0 | 183.243 | 183.243 |
| **D | CDIL WHITEHELM CAP LS CR INFS FD | 0 | 1.078.824 | 1.078.824 |
| **D | CMLA INDEXED GLOBAL SHARE FUND | 0 | 7.056 | 7.056 |
| **D | JOHN HANCOCK FUNDS III GLOBAL SHAREHOLDER YIELD FUND | 0 | 2.947.350 | 2.947.350 |
| **D | JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL EQUITY INDEX TRUST. | 0 | 68.097 | 68.097 |
| **D | PRUDENTIAL ASSURANCE COMPANY SINGAPORE (PTE) LTD | 0 | 391.460 | 391.460 |
| **D | SCHWAB INTERNATIONAL INDEX FUND | 0 | 1.162.786 | 1.162.786 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX FUND | 0 | 235.198 | 235.198 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TIMOTHY PLAN MARKET NEUTRAL ETF | 0 | 43.011 | 43.011 |
| **D | COLONIAL FIRST STATE INVESTMENT FUND 50. | 0 | 29.053 | 29.053 |
| **D | COLONIAL FIRST STATE WHOLESALE INDEXED GLOBAL SHARE FUND | 0 | 110.842 | 110.842 |
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 6. | 0 | 988.762 | 988.762 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE SECURITIES FUND1 | 0 | 1.317.314 | 1.317.314 |
| **D | COMMONWEALTH GLOBAL LISTED INFRASTRUCTURE FUND 7 | 0 | 1.159.045 | 1.159.045 |
| **D | WM POOL - EQUITIES TRUST NO. 31 - ROBECO |
0 | 2.508 | 2.508 |
| **D | ONEMARKETS ITALY ICAV | 0 | 53.241 | 53.241 |
| **D | LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 0 | 18.670.981 | 18.670.981 |
| **D | ILA-LA WORLD ESG SCREENED FUND | 0 | 15.566 | 15.566 |
| **D | ILA - RAFIMF |
0 | 16.692 | 16.692 |
| **D | ILA-A-ILSDMH | 0 | 372.296 | 372.296 |
| **D | IRISH LIFE ASSURANCE. | 0 | 174.452 | 174.452 |
| **D | ILA-ILSEAFE - SUSTAINABLE EAFE EQUITY |
0 | 99.192 | 99.192 |
| **D | ILA - A-ILGLOEQN |
0 | 3.318 | 3.318 |
| **D | ILA - A-ILDSCG |
0 | 9.927 | 9.927 |
| **D | ILA - A-ILGLOEQG |
0 | 14.859 | 14.859 |
| **D | IRISH LIFE ASSURANCE PLC | 0 | 1.756.389 | 1.756.389 |
| **D | ILA - A-ILEZEQG |
0 | 46.146 | 46.146 |
| **D | ILA - A-ILHYEQG |
0 | 47.532 | 47.532 |
| **D | AEGON CUSTODY B.V. | 0 | 609.460 | 609.460 |
| **D | LARGE CAP INTL PORTFOLIO OF DFA INV | 0 | 381.578 | 381.578 |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LTD PMC FTSE TPI GLOBAL (EX FOSSIL FUELS) EQUITY INDEX FUND 29.573 |
0 | 29.573 | |
| **D | LEGAL AND GENERAL ASSURANCE ( PENSIONS MANAGEMENT) LIMITEDONS MANAGEMENT) LIMITED | 0 | 327.393 | 327.393 |
| **D | LEGAL & GENERAL ASSURANCE SOCIETY LIMITED | 0 | 13.693 | 13.693 |
| **D | TSGX SOLACT ESG TBACO EX UNHG(3387) | 0 | 8.468 | 8.468 |
| **D | FUTURE WORLD DEVELOPED EQUITY INDEX FUND (3500) | 0 | 11.986 | 11.986 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 LGIM PMC CSUF(36670) TESCO INDEX EQUITY TSGN (5270 | 0 | 61.059 | 61.059 |
| **D | L AND G ASSUR(PENS MGNT)LTD 1 RAFI FUNDAMENTAL GLOBAL EQUITY LOW CARBON TRANSITION INDEX FUND3495 | 0 | 109.336 | 109.336 |
| **D | OETGEN COMMUNITY PROPERTY TRUST DTD 12/24/2008 AS AMENDED A | 0 | 6.124 | 6.124 |
| **D | CFSIL RE CNEALTH GS FD 16 | 0 | 45.140 | 45.140 |
| **D | INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC | 0 | 1.641.266 | 1.641.266 |
| **D | MANULIFE GLOBAL FUND (SICA | 0 | 93.165 | 93.165 |
| **D | CFSIL RE COMM GLB INFRA SEC FD 2 | 0 | 1.510.343 | 1.510.343 |
| **D | NMTB/NIK KOKUSAI-NH 935026 | 0 | 91.120 | 91.120 |
| **D | NMTB/NIK KOKUSAI-H 935034 | 0 | 7.266 | 7.266 |
| **D | BERESFORD FUNDS ICAV | 0 | 8.326 | 8.326 |
| **D | CFSIL-CFS GLOBAL SHARE FD 20 | 0 | 251.182 | 251.182 |
| **D | COMMONWEALTH GLOBAL INFRASTRUCTURE FUND 3 | 0 | 604.081 | 604.081 |
| **D | STICHTING PGGM DEPOSITARY | 0 | 1.205.227 | 1.205.227 |
| **D | PGGM SPD (DMAEMFGL)PGGM SPD DMAE MULTIFACTOR GLOBAL | 0 | 1.384.441 | 1.384.441 |
| **D | NATIONAL COUNCIL FOR SOCIAL SEC FUND | 0 | 39.645 | 39.645 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TWO SIGMA INTERNATIONAL CORE | 0 | 29 | 29 |
| **D | BUREAU OF PUBLIC SERVICE PENSION FUND | 0 | 935.640 | 935.640 |
| **D | LEGAL AND GENERAL COLLECTIVE INVESTMENT TRUST. | 0 | 6.086.133 | 6.086.133 |
| **D | HUTCHISON PROVIDENT FUND. | 0 | 24.710 | 24.710 |
| **D | VICTORY MARKET NEUTRAL INCOMEFUND | 0 | 1.870.673 | 1.870.673 |
| **D | SAMSUNG GLOBAL CORE EQUITY FUND | 0 | 4.767 | 4.767 |
| **D | VICTORY RS GLOBAL FUND | 0 | 1.040.398 | 1.040.398 |
| **D | VICTORY RS INTERNATIONAL FUND | 0 | 839.745 | 839.745 |
| **D | VICTORY RS INTERNATIONAL VIPSERIES | 0 | 249.165 | 249.165 |
| **D | JOHN HANCOCK FUNDS II INTERNATIONAL STRATEGIC EQUITY ALLOCATION FUND | 0 | 349.211 | 349.211 |
| **D | CITITRUST LIMITED | 0 | 58.878 | 58.878 |
| **D | VICTORYSHARES DEVELOPED ENHANCEDVOLATILITY WTD INDEX ETF. | 0 | 20.034 | 20.034 |
| **D | VICTORYSHARES INTERNATIONALVOLATILITY WTD INDEX ETF. | 0 | 52.674 | 52.674 |
| **D | CITITRUST LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND | 0 | 32.235 | 32.235 |
| **D | VICTORYSHARES INTERNATIONAL HIGHDIV VOLATILITY WTD INDEX ETF | 0 | 47.766 | 47.766 |
| **D | HOSTPLUS POOLED SUPERANNUATION TRUST | 0 | 196.122 | 196.122 |
| **D | AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE FUND | 0 | 332.696 | 332.696 |
| **D | ABRDN OEIC IV-ABRDN EUROPEAN EQUITY TRACKER FUND | 0 | 116.717 | 116.717 |
| **D | VICTORY CAPITAL GROWTH FUND | 0 | 338.435 | 338.435 |
| **D | VICTORY INTERNATIONAL FUND | 0 | 2.863.409 | 2.863.409 |
| **D | VICTORY SUSTAINABLE WORLD FUND | 0 | 959.373 | 959.373 |
| **D | TIMOTHY PLAN INTERNATIONAL ETF. | 0 | 81.054 | 81.054 |
| **D | THE NATIONAL BANK OF THE REPUBLIC OF KAZAKHSTAN | 0 | 7.941 | 7.941 |
| **D | UAPF - BLACK ROCK PASSIVE EQUITY |
0 | 9.844 | 9.844 |
| **D | UNIFIED ACCUMULATIVE PENSION FUND JOINT STOCK COMPANY | 0 | 9.472 | 9.472 |
| **D | MARSHALL WACE MASTER FUNDS SPC-SP ALPHA PLUS FUND | 0 | 22.692 | 22.692 |
| **D | MAN INSIGHT LIMITED | 0 | 327 | 327 |
| **D | MARSHALL WACE INVESTMENT STRATEGIES-WORLD TOPS ENVIRONMENTAL | 0 | 9.116 | 9.116 |
| **D | MAN FUNDS XII SPC-MAN 1783 I SP C/O MAPLES SECRETARIES (CAYMAN) LIMITED | 0 | 6.000 | 6.000 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND | 0 | 46.925 | 46.925 |
| **D | VESTCOR LOW VOLATILITY INTERNATIONAL EQUITY FUND - CLASS N |
0 | 2.813 | 2.813 |
| **D | NBIMC PUBLIC INFRASTRUCTURE (2017) FUND. | 0 | 44.745 | 44.745 |
| **D | MERCER PRIVATE WEALTH REAL ASSETS POOL | 0 | 37.816 | 37.816 |
| **D | FONDS DE SOLIDARITE DES TRAVAILLEURS DU QUEBEC (F.T.Q.) | 0 | 138.219 | 138.219 |
| **D | BIMCOR GLOBAL DIVIDEND YIELD POOLED FUND | 0 | 12.982 | 12.982 |
| **D | NORTHWATER ENHANCED IMMUNIZATION TRUST II | 0 | 20.728 | 20.728 |
| **D | BOMBARDIER TRUST (CANADA) REAL RETURN ASSETS FUND | 0 | 530.840 | 530.840 |
| **D | LETKO BROSSEAU INFRASTRUCTURE EQUITY FUND | 0 | 49.825 | 49.825 |
| **D | SUN LIFE REAL ASSETS PRIVATE POOL | 0 | 4.204.622 | 4.204.622 |
| **D | DIVERSIFIED FUND OF CANADA - DFC QUALITY LOW VOLATILITY GLOB |
0 | 7.488 | 7.488 |
| **D | NBIMC EAFE EQUITY INDEX FUND. | 0 | 27.586 | 27.586 |
| **D | AMUNDI DIVIDENDO ITALIA | 0 | 870.000 | 870.000 |
| **D | AMUNDI ESG SELECTION BILANCIATO | 0 | 95.870 | 95.870 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI ESG SELECTION DINAMICO | 0 | 51.763 | 51.763 |
| **D | AMUNDI VALORE ITALIA PIR | 0 | 150.000 | 150.000 |
| **D | AMUNDI ESG SELECTION CONSERVATIVO | 0 | 39.600 | 39.600 |
| **D | AMUNDI ACCUMULAZIONE INFRASTRUTTURE GLOBALI 2028 DUE | 0 | 32.775 | 32.775 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLOBALI 2028 | 0 | 43.527 | 43.527 |
| **D | AMUNDI PROGETTO INCOME 2028 | 0 | 6.208 | 6.208 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 QUATTRO | 0 | 7.819 | 7.819 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 TRE | 0 | 8.031 | 8.031 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 DUE | 0 | 21.848 | 21.848 |
| **D | AMUNDI PROGETTO INCOME REALE 2027 | 0 | 37.754 | 37.754 |
| **D | AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE | 0 | 110.890 | 110.890 |
| **D | AMUNDI PROG INC REALE 2026 | 0 | 29.514 | 29.514 |
| **D | AMUNDI PROGETTO INCOME AGOSTO 2026 | 0 | 23.729 | 23.729 |
| **D | AMUNDI PROGETTO INCOME 2026 DUE 20121 | 0 | 29.456 | 29.456 |
| **D | AM ACCUMULAZIONE INFRASTRUTTURE GLO 2026 | 0 | 193.674 | 193.674 |
| **D | FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME 2026 |
0 | 16.657 | 16.657 |
| **D | AMUNDI PRIVATE GLOBAL INFRASTRU 2024 | 0 | 90.876 | 90.876 |
| **D | AMUNDI PROGETTO INCOME 2025 | 0 | 27.354 | 27.354 |
| **D | CRELAN INVEST DYNAMIC | 0 | 36.712 | 36.712 |
| **D | CRELAN INVEST CONSERVATIVE | 0 | 9.854 | 9.854 |
| **D | CRELAN INVEST BALANCED | 0 | 77.017 | 77.017 |
| **D | ASR INSTITUT FONDSEN EUR AANDELEN | 0 | 276.053 | 276.053 |
| **D | ING SELECT FUND - INKOMEN ZEER OFFENSIEF |
0 | 38.518 | 38.518 |
| **D | ING SELECT FUND - INKOMEN OFFENSIEF |
0 | 71.115 | 71.115 |
| **D | ING SELECT FUND - INKOMEN NEUTRAAL |
0 | 238.436 | 238.436 |
| **D | ING SELECT FUND - INKOMEN ZEER DEFENSIEF |
0 | 3.464 | 3.464 |
| **D | ING SELECT FUND - INKOMEN DEFENSIEF |
0 | 83.643 | 83.643 |
| **D | ONDERLINGE S GRAVEN | 0 | 312.024 | 312.024 |
| **D | BEVEILIGING MANDAAT SSGA RE AANDELEN | 0 | 81.581 | 81.581 |
| **D | SPA MANDATE BLACKROCK | 0 | 70.090 | 70.090 |
| **D | ST PFD PMA MANDATE BLACKROCK | 0 | 26.825 | 26.825 |
| **D | ST. PF VOOR DE ARCHITECTENBUREAUS-DME SS | 0 | 5.597 | 5.597 |
| **D | CENTRAL BANK OF IRELAND | 0 | 16.367 | 16.367 |
| **D | ONEMARKETS AMUNDI FLEXIBLE INCOME FUND | 0 | 235.729 | 235.729 |
| **D | CANDRIAM GF AUSBIL GLOBAL ESSENTIAL INFRASTRUCTURE | 0 | 65.401 | 65.401 |
| **D | CPR INVEST HYDROGEN | 0 | 1.734.994 | 1.734.994 |
| **D | AMUNDI STOXX EUROPE 600 | 0 | 1.521.684 | 1.521.684 |
| **D | AMUNDI MSCI EUROPE | 0 | 1.156.581 | 1.156.581 |
| **D | ONEMARKETS PIMCO GLOBAL BALANCED ALLOC | 0 | 21.813 | 21.813 |
| **D | AMUNDI FTSE MIB | 0 | 1.314.283 | 1.314.283 |
| **D | STRUCTURA - DIVERSIF GROWTH FD-CSA AMUND |
0 | 4.834 | 4.834 |
| **D | LUXCELLENCE-HELVETIA EUROP EQUITY | 0 | 24.600 | 24.600 |
| **D | CPR INVEST - EUROPEAN STRATEGIC AUTONOMY |
0 | 281.513 | 281.513 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | RCO LUX MONTJOLY INVEST POOL AMUNDI | 0 | 23.561 | 23.561 |
| **D | AMUNDI MSCI WORLD ESG UNIVERSAL SELECT | 0 | 9.882 | 9.882 |
| **D | AMUNDI MSCI EMU ESG UNIVERSAL SELECT | 0 | 30.115 | 30.115 |
| **D | AMUNDI FD EUROPEAN EQUITY ESG IMPROVERS | 0 | 2.431.059 | 2.431.059 |
| **D | CLEOME INDEX - WORLD EQUITIES |
0 | 12.226 | 12.226 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY CONSERVATIVE |
0 | 2.860.846 | 2.860.846 |
| **D | LO FUNDS - ALL ROADS |
0 | 285.488 | 285.488 |
| **D | AMUNDI INDEX MSCI EUROPE | 0 | 797.057 | 797.057 |
| **D | AMUNDI MSCI WORLD CLIMATE TRANSITION CTB | 0 | 2.793 | 2.793 |
| **D | AMUNDI INDEX MSCI WORLD | 0 | 142.354 | 142.354 |
| **D | AMUNDI FUNDS EQUITY EURO RISK PARITY | 0 | 382.304 | 382.304 |
| **D | AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA | 0 | 1.917 | 1.917 |
| **D | LO FUNDS - ALL ROADS CONSERVATIVE |
0 | 32.588 | 32.588 |
| **D | LO FUNDS - ALL ROADS GROWTH |
0 | 193.435 | 193.435 |
| **D | AMUNDI FUNDS MULTI ASSET CONSERVATIVE | 0 | 61.442 | 61.442 |
| **D | AMUNDI FUNDS - EUROPEAN EQUITY RISK PARITY |
0 | 51.941 | 51.941 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME EUROPE |
0 | 16.430 | 16.430 |
| **D | AMUNDI PRIME EUROZONE | 0 | 40.585 | 40.585 |
| **D | AMUNDI INDEX SOLUTIONS - AMUNDI PRIME GLOBAL |
0 | 31.989 | 31.989 |
| **D | AMUNDI FDS GLOBAL MULTI-ASSET TARGET INC | 0 | 180.459 | 180.459 |
| **D | AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNIT | 0 | 108.684 | 108.684 |
| **D | AMUNDI FUNDS REAL ASSETS TARGET INCOME | 0 | 250.000 | 250.000 |
| **D | AMUNDI FUNDS GLOBAL MULTI-ASSET | 0 | 199.508 | 199.508 |
| **D | AMUNDI FDS GLOB MULTI-ASSET CONSERVATIVE | 0 | 480.991 | 480.991 |
| **D | AMUNDI FUNDS EURO MULTI-ASSET TARGET INC | 0 | 186.711 | 186.711 |
| **D | CLEOME INDEX - EMU EQUITIES |
0 | 66.454 | 66.454 |
| **D | AMUNDI EURO STOXX SELECT DIVIDEND 30 | 0 | 451.795 | 451.795 |
| **D | AMUNDI MSCI EMU ESG CTB NET ZERO AMBIT | 0 | 354.855 | 354.855 |
| **D | EDMOND DE ROTHSCHILD FUND INCOME EUROPE | 0 | 332.910 | 332.910 |
| **D | EDR FUND II - INCOME 2024 |
0 | 40.362 | 40.362 |
| **D | NATWEST TDS DEP VT DWEUUNIN C | 0 | 340.780 | 340.780 |
| **D | SB CIF - ECOFIN ADVISORS |
0 | 77.055 | 77.055 |
| **D | SB CIF - MACQUARIE |
0 | 195.069 | 195.069 |
| **D | AMUNDI DEUTSCHLAND GMBH - SUEDINVEST 43 |
0 | 12.000 | 12.000 |
| **D | HI-LH FONDS | 0 | 13.004 | 13.004 |
| **D | AMUNDI ETHIK PLUS | 0 | 215.833 | 215.833 |
| **D | VPV-SPEZIAL AMUNDI | 0 | 24.669 | 24.669 |
| **D | AMUNDI WELTPORTFOLIO | 0 | 2.842 | 2.842 |
| **D | OSTRUM ASSET MANAGEMENT | 0 | 104.500 | 104.500 |
| **D | JUNON ACTIONS OBLIGATIONS | 0 | 613.859 | 613.859 |
| **D | PLURI-INVESTISSEMENTS | 0 | 6.925 | 6.925 |
| **D | FCP ARRCO LONG TERME D | 0 | 786.758 | 786.758 |
| **D | LBPAM 3 MOIS | 0 | 7.815.235 | 7.815.235 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TONI ACTIONS ISR 100 | 0 | 65.997 | 65.997 |
| **D | FCP CARP - INDO |
0 | 722.315 | 722.315 |
| **D | FDRN AMUNDI | 0 | 272.843 | 272.843 |
| **D | CRN AMUNDI ACTIONS | 0 | 407.528 | 407.528 |
| **D | LBPAM ACTIONS DIVIDENDES EUROP | 0 | 267.634 | 267.634 |
| **D | ROPS EURO P | 0 | 260.142 | 260.142 |
| **D | INVESTISSEMENT N101 | 0 | 30.141 | 30.141 |
| **D | IRCEC CASSETTE DIVERSIFIE | 0 | 148.710 | 148.710 |
| **D | FGV ACTIONS EUROPE LM A | 0 | 82.079 | 82.079 |
| **D | CNP ACTIONS EUROPE AMUNDI | 0 | 393.161 | 393.161 |
| **D | DIEZE | 0 | 26.757 | 26.757 |
| **D | VILLIERS ALTO | 0 | 130.670 | 130.670 |
| **D | AA SSGA ACTIONS INDICE EURO | 0 | 573.535 | 573.535 |
| **D | STAR PASTEUR | 0 | 71.494 | 71.494 |
| **D | CONTI GESTION | 0 | 82.569 | 82.569 |
| **D | SACD INVESTISSEMENT | 0 | 83.902 | 83.902 |
| **D | ALLOCATION INVEST EQUITY CORE | 0 | 227.044 | 227.044 |
| **D | IP ACTIONS EURO | 0 | 49.532 | 49.532 |
| **D | BEL EQUITY EUROPE ESG | 0 | 88.005 | 88.005 |
| **D | ALLOCATION INVEST EQUITY SATELLITE | 0 | 33.896 | 33.896 |
| **D | GROUPAMA SELECTION EURO DIVERSIFIE | 0 | 5.451 | 5.451 |
| **D | MICHELET TUNNEL | 0 | 100.062 | 100.062 |
| **D | GROUPAMA LOIRE BRETAGNE REGIONAL 1 | 0 | 18.726 | 18.726 |
| **D | WORLD EQUITIES | 0 | 4.597 | 4.597 |
| **D | ARRCO QUANT 2 | 0 | 106.826 | 106.826 |
| **D | AP ACTIONS 1 EURO | 0 | 99.401 | 99.401 |
| **D | ALLOCATION ACTIONS SATELLITE | 0 | 3.193 | 3.193 |
| **D | ROPS-SMART INDEX EURO | 0 | 1.132.228 | 1.132.228 |
| **D | AVENIR PROTECTION 90 | 0 | 109.245 | 109.245 |
| **D | AA NATIXIS ACTIONS MIN VAR | 0 | 177.926 | 177.926 |
| **D | EGEPARGNE 2 DIVERSIFIE | 0 | 37.734 | 37.734 |
| **D | FCP PEA COURT TERME | 0 | 2.439.466 | 2.439.466 |
| **D | AMUNDI STRATEGIES ACTIONS EURO OPTIM DIV HR | 0 | 151.278 | 151.278 |
| **D | AMUNDI STRATEGIES ACTIONS EURO CORE + | 0 | 73.248 | 73.248 |
| **D | LCL ACTIONS MONDE HORS EUROPE EURO | 0 | 128.035 | 128.035 |
| **D | AMUNDI RENDEMENT PLUS | 0 | 56.237 | 56.237 |
| **D | COVEA OBLIGATIONS CONVERTIBLES | 0 | 439.065 | 439.065 |
| **D | COVEA ACTIONS RENDEMENT | 0 | 1.425.806 | 1.425.806 |
| **D | ASSURDIX | 0 | 179.592 | 179.592 |
| **D | LCL ACTIONS FRANCE CORE PLUS | 0 | 9.470 | 9.470 |
| **D | CPR EURO HIGH DIVIDEND | 0 | 264.761 | 264.761 |
| **D | AMUNDI ACTIONS FRANCE ISR | 0 | 1.025.761 | 1.025.761 |
| **D | AMUNDI ESG IMPROVERS EURO | 0 | 2.831.253 | 2.831.253 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | AMUNDI EUROPE MONDE | 0 | 181.770 | 181.770 |
| **D | AMUNDI ACTIONS EURO ISR | 0 | 393.583 | 393.583 |
| **D | LCL ACTIONS EURO CORE+ | 0 | 47.736 | 47.736 |
| **D | ATOUT FRANCE CORE | 0 | 36.620 | 36.620 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE CORE + | 0 | 33.215 | 33.215 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE OPTIM DIV HR | 0 | 85.017 | 85.017 |
| **D | COLOMBES 6 | 0 | 112.000 | 112.000 |
| **D | AMUNDI STRATEGIES ACTIONS EUROPE RISK PARITY | 0 | 7.314 | 7.314 |
| **D | GROUPAMA EURO EQUITIES | 0 | 17.157 | 17.157 |
| **D | AMUNDI PATRIMOINE PEA | 0 | 220.972 | 220.972 |
| **D | COVEA PATRIMOINE | 0 | 105.000 | 105.000 |
| **D | AMUNDI EQUITY EURO CONSERVATIV | 0 | 1.492.676 | 1.492.676 |
| **D | CPR EUROLAND PREMIUM ESG | 0 | 30.093 | 30.093 |
| **D | FINALTIS EFFICIENT BETA EURO | 0 | 56.506 | 56.506 |
| **D | STRATEGIE EURO ISR | 0 | 60.231 | 60.231 |
| **D | COVEA SOLIS | 0 | 1.647.050 | 1.647.050 |
| **D | LBPAM ISR ACTIONS EURO MIN VOL | 0 | 14.194 | 14.194 |
| **D | BETAMAX GLOBAL SMART FOR CLIMATE | 0 | 8.310 | 8.310 |
| **D | FIDEAS SMART FOR CLIMATE ACTIONS EUROZ | 0 | 161.411 | 161.411 |
| **D | GLOBAL MULTI-FACTOR EQUITY FUND | 0 | 22.052 | 22.052 |
| **D | AMUNDI ETF PEA S P 500 UCITS E | 0 | 5.200.000 | 5.200.000 |
| **D | TOCQUEVILLE DIVIDENDE ISR | 0 | 750.000 | 750.000 |
| **D | ALLOCATION PROTECTION 80 | 0 | 1.950.000 | 1.950.000 |
| **D | REAUMUR ACTIONS | 0 | 2.510.423 | 2.510.423 |
| **D | OSTRUM SRI EURO MINVOL EQUITY | 0 | 83.027 | 83.027 |
| **D | EDR SICAV - EQUITY EURO SOLVE |
0 | 210.230 | 210.230 |
| **D | EDMOND DE ROTHSCHILD ASSET MANAGEMENT (EDRAM) | 0 | 9.829 | 9.829 |
| **D | POLLUX | 0 | 29.050 | 29.050 |
| **D | EDR SICAV - EUROPEAN IMPROVERS |
0 | 31.400 | 31.400 |
| **D | CNP ASSUR EDRAM ACTIONS EUROPE | 0 | 618.640 | 618.640 |
| **D | HELVETIA I EUROPA | 0 | 160.890 | 160.890 |
| **D | ING DIRECT FONDO NARANJA CONSERVADOR FI | 0 | 5.264 | 5.264 |
| **D | ING DIRECT FONDO NARANJA MODERADO FI | 0 | 32.463 | 32.463 |
| **D | ING DIRECT FONDO NARANJA DINAMICO FI | 0 | 46.575 | 46.575 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA |
0 | 6.700.000 | 6.700.000 |
| **D | MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA |
0 | 1.200.000 | 1.200.000 |
| **D | ALLEANZA ASSICURAZIONI SPA | 0 | 895.060 | 895.060 |
| **D | TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO OF MASTER INV | 0 | 147.765 | 147.765 |
| **D | CANADA PENSION PLAN INVESTMENT BOARD (CPPIB) | 0 | 1.889.963 | 1.889.963 |
| **D | PEOPLE`S BANK OF CHINA | 0 | 1.415.189 | 1.415.189 |
| **D | FLOURISH INVESTMENT CORPORATION | 0 | 163.170 | 163.170 |
| **D | INTERNATIONAL MONETARY FUND | 0 | 859.172 | 859.172 |
| **D | ABN AMRO FUNDS | 0 | 45.833 | 45.833 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ISHARES EURO STOXX UCITS ETF (DE) | 0 | 780.555 | 780.555 |
| **D | ISHARES EURO STOXX SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 3.733.991 | 3.733.991 |
| **D | ISHARES STOXX EUROPE MID 200 UCITS ETF (DE) | 0 | 693.503 | 693.503 |
| **D | ISHARES STOXX EUROPE SELECT DIVIDEND 30 UCITS ETF (DE) | 0 | 2.006.668 | 2.006.668 |
| **D | ISHARES STOXX GLOBAL SELECT DIVI100 UCITS ETF DE | 0 | 4.784.255 | 4.784.255 |
| **D | ISHARES STOXX EUROPE 600 UCITS ETF (DE) | 0 | 1.250.680 | 1.250.680 |
| **D | ISHARES STOXX EUROPE 600 OIL GAS UCITS ETF DE | 0 | 2.258.767 | 2.258.767 |
| **D | GENERAL CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS | 0 | 264.201 | 264.201 |
| **D | PACE INTERNATIONAL EQUITY INVESTMENTS | 0 | 1.569.809 | 1.569.809 |
| **D | COLLEGE RETIREMENT EQUITIES FUND | 0 | 69.008 | 69.008 |
| **D | TIAACREF INTERNATIONAL EQUITY INDEX FUND | 0 | 2.883.365 | 2.883.365 |
| **D | BON SECOURS MERCY HEALTH | 0 | 450.049 | 450.049 |
| **D | DESJARDINS GLOBAL DIVIDEND FUND | 0 | 4.932.045 | 4.932.045 |
| **D | THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 0 | 803.152 | 803.152 |
| **D | BRIGHTHOUSE FUNDS TRUST II METLIFE MSCI EAFE INDEX PORTFOLIO | 0 | 112.553 | 112.553 |
| **D | VALIC COMPANY I INTERNATIONAL EQUITIES INDEX FUND | 0 | 217.192 | 217.192 |
| **D | STATE OF MINNESOTA | 0 | 868.764 | 868.764 |
| **D | JOHN HANCOCK LIFE AND HEALTH INSURANCE COMPANY | 0 | 119.526 | 119.526 |
| **D | RUSSELL INVESTMENT COMPANY PLC | 0 | 41.532 | 41.532 |
| **D | SPDR MSCI ACWI EXUS ETF | 0 | 166.424 | 166.424 |
| **D | SPDR S&P INTERNATIONAL DIVIDENDETF | 0 | 1.429.658 | 1.429.658 |
| **D | SPDR PORTFOLIO DEVELOPED WORLD EXUS ETF | 0 | 1.818.382 | 1.818.382 |
| **D | MORGAN STANLEY VARIABLE INSURANCE FUND, INC. GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 111.523 | 111.523 |
| **D | MORGAN STANLEY INSTITUTIONAL FUND TRUST - GLOBAL STRATEGIST PORTFOLIO |
0 | 9.588 | 9.588 |
| **D | MORGAN STANLEY VARIABLE INSURANCE F UND, INC. GLOBAL STRATEGI ST PORTFOLIO | 0 | 608 | 608 |
| **D | PRINCIPAL DIVERSIFIED REAL ASSET CIT | 0 | 1.889.666 | 1.889.666 |
| **D | CALIFORNIA STATE TEACHERS` RETIREMENT SYSTEM | 0 | 11.778.868 | 11.778.868 |
| **D | TEACHER RETIREMENT SYSTEM OF TEXAS | 0 | 2.829 | 2.829 |
| **D | MERCY HEALTH RETIREMENT TRUST | 0 | 1.413 | 1.413 |
| **D | SPDR PORTFOLIO EUROPE ETF | 0 | 45.871 | 45.871 |
| **D | SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 0 | 8.710.704 | 8.710.704 |
| **D | SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 0 | 1.506.028 | 1.506.028 |
| **D | TEACHERS` RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 0 | 257.390 | 257.390 |
| **D | M INTERNATIONAL EQUITY FUND | 0 | 9.035 | 9.035 |
| **D | FRANK RUSSELL INVESTMENT CO II PLC | 0 | 9.667 | 9.667 |
| **D | IBM 401(K) PLUS PLAN TRUST | 0 | 325.042 | 325.042 |
| **D | THE MONETARY AUTHORITY OF SINGAPORE | 0 | 49.998 | 49.998 |
| **D | MANAGED PENSION FUNDS LIMITED | 0 | 541.379 | 541.379 |
| **D | SCOTTISH WIDOWS MANAGED INVESTMENT FUNDS ICVC-INTERNATIONAL EQUITY TRACKER FUND | 0 | 8.196 | 8.196 |
| **D | SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- EUROPEAN (EX UK)EQUITY FUND |
0 | 311.917 | 311.917 |
| **D | EURIZON FUND | 0 | 3.174.290 | 3.174.290 |
| **D | INSTITUTIONAL SOLUTIONS FUND FCP-SIF | 0 | 724.685 | 724.685 |
| **D | STATE STREET INTERNATIONAL EQUITIES INDEX TRUST LEVEL 15 | 0 | 7.415 | 7.415 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | THE MONETARY AUTHORITY OF SINGAPORE MAS | 0 | 3.472 | 3.472 |
| **D | BLACKROCK ASSET MANAGEMENT SCHWEIZ AG FOR ISHARES WORLD EX SWITZERLAND ESG SCREENED EQUITY INDEX | 0 | 81.652 | 81.652 |
| **D | ISHARES WORLD EX SWITZERLAND EQUITY INDEX FUND II (CH) | 0 | 17.428 | 17.428 |
| **D | ISHARES II PUBLIC LIMITED COMPANY | 0 | 4.390.658 | 4.390.658 |
| **D | ISHARES V PUBLIC LIMITED COMPANY | 0 | 11.483 | 11.483 |
| **D | ISHARES III PUBLIC LIMITED COMPANY | 0 | 979 | 979 |
| **D | ISHARES VI PUBLIC LIMITED COMPANY | 0 | 200 | 200 |
| **D | ISHARES IV PUBLIC LIMITED COMPANY | 0 | 4.380.835 | 4.380.835 |
| **D | ARGO GLOBAL LISTED INFRASTRUCTURE LIMITED | 0 | 561.032 | 561.032 |
| **D | AUSTRALIAN RETIREMENT TRUST | 0 | 1.556.200 | 1.556.200 |
| **D | RUSSELL INVESTMENTS LOW CARBON GLOBAL SHARES FUND | 0 | 29.333 | 29.333 |
| **D | RUSSELL INVESTMENTS GLOBAL SHARES INDEX FUND LEVEL 28 | 0 | 26.092 | 26.092 |
| **D | EMERGENCY SERVICES SUPERANNUATION SCHEME | 0 | 5.806 | 5.806 |
| **D | AWARE SUPER | 0 | 8.769 | 8.769 |
| **D | VANECK VECTORS FTSE GLOBAL INFRASTRUCTURE (HEDGED) ETF GOLD FIELD HOUSE | 0 | 455.604 | 455.604 |
| **D | RUSSELL INVESTMENTS GLOBAL LISTED INFRASTUCTURE FUND HEDGED | 0 | 56.408 | 56.408 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE FUND | 0 | 13.848.447 | 13.848.447 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND (HEDGED) | 0 | 396.377 | 396.377 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE FUND | 0 | 1.703.657 | 1.703.657 |
| **D | RETAIL EMPLOYEES SUPERANNUATIONTRUST | 0 | 292.898 | 292.898 |
| **D | INTERNATIONAL EQUITIES SECTOR TRUST | 0 | 1.311 | 1.311 |
| **D | GMO MULTI-ASSET TRUST | 0 | 41.357 | 41.357 |
| **D | NEW AIRWAYS PENSION SCHEME | 0 | 5.813 | 5.813 |
| **D | FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA REGIAO ADMINISTRATIVA ESPECIAL DE MACAU | 0 | 47.582 | 47.582 |
| **D | EURIZON PIR ITALIA AZIONI | 0 | 85.705 | 85.705 |
| **D | EURIZON CAP SGR-RENDITA | 0 | 8.336 | 8.336 |
| **D | EURIZON AZIONI ITALIA | 0 | 3.063.937 | 3.063.937 |
| **D | EURIZON PROGETTO ITALIA 40 | 0 | 351.592 | 351.592 |
| **D | EURIZON PROGETTO ITALIA 70 | 0 | 480.133 | 480.133 |
| **D | ISHARES MSCI EAFE INTERNATIONALINDEX FUND | 0 | 1.188.259 | 1.188.259 |
| **D | ISHARES MSCI ACWI ETF | 0 | 578.941 | 578.941 |
| **D | ISHARES MSCI ACWI EX U.S. ETF | 0 | 362.897 | 362.897 |
| **D | ISHARES GLOBAL UTILITIES ETF | 0 | 165.558 | 165.558 |
| **D | ISHARES MSCI EUROZONE ETF | 0 | 2.736.314 | 2.736.314 |
| **D | ISHARES EUROPE ETF | 0 | 326.366 | 326.366 |
| **D | ISHARES MSCI EAFE ETF | 0 | 6.354.405 | 6.354.405 |
| **D | ISHARES MSCI EAFE VALUE ETF | 0 | 4.201.907 | 4.201.907 |
| **D | ISHARES MSCI KOKUSAI ETF | 0 | 6.301 | 6.301 |
| **D | ISHARES MSCI ITALY ETF | 0 | 2.631.595 | 2.631.595 |
| **D | ISHARES INTERNATIONAL SELECT DIVIDEND ETF | 0 | 9.295.330 | 9.295.330 |
| **D | ISHARES MSCI EAFE MIN VOL FACTOR ETF | 0 | 6.662.963 | 6.662.963 |
| **D | ISHARES CORE MSCI EUROPE ETF | 0 | 761.870 | 761.870 |
| **D | ISHARES INTERNATIONAL EQUITY FACTOR ETF | 0 | 394.415 | 394.415 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | ISHARES MSCI GLOBAL MULTIFACTORETF | 0 | 39.180 | 39.180 |
| **D | ISHARES MSCI ACWI LOW CARBON TARGET ETF | 0 | 167.543 | 167.543 |
| **D | ISHARES MSCI INTL SIZE FACTOR ETF | 0 | 1.176 | 1.176 |
| **D | ISHARES MSCI WORLD ETF | 0 | 101.998 | 101.998 |
| **D | ISHARES CORE MSCI EAFE ETF | 0 | 11.752.759 | 11.752.759 |
| **D | ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 0 | 2.384.742 | 2.384.742 |
| **D | ISHARES CORE MSCI INTERNATIONALDEVELOPED MARKETS ETF | 0 | 1.223.036 | 1.223.036 |
| **D | ISHARES CORE MSCI GLOBAL QUALITY DIVIDEND INDEX ETF | 0 | 39.535 | 39.535 |
| **D | ISHARES CORE MSCI EAFE IMI INDEX ETF | 0 | 564.712 | 564.712 |
| **D | ISHARES MSCI EUROPE IMI INDEX ETF | 0 | 39.227 | 39.227 |
| **D | ISHARES INTERNATIONAL FUNDAMENTAL INDEX ETF | 0 | 13.283 | 13.283 |
| **D | ISHARES GLOBAL MONTHLY DIVIDENDINDEX ETF (CAD-HEDGED) | 0 | 66.319 | 66.319 |
| **D | ACOMEA PMITALIA ESG | 0 | 421.800 | 421.800 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QVALUE |
0 | 7.792 | 7.792 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR QRETURN |
0 | 21.501 | 21.501 |
| **D | EPSILON ASSOCIATI SGR - EPSILONSGR DLONGRUN |
0 | 814 | 814 |
| **D | ACOMEA PATRIMONIO ESENTE | 0 | 30.000 | 30.000 |
| **D | DWS INVESTMENT GMBH FOR MULTIINDEX EQUITY FUND | 0 | 18.056 | 18.056 |
| **D | STATE STREET GLOBAL ADVISORS LUXEMBOURG SICAV | 0 | 552.170 | 552.170 |
| **D | BLACKROCK STRATEGIC FUNDS | 0 | 100 | 100 |
| **D | BLACKROCK GLOBAL INDEX FUNDS | 0 | 200 | 200 |
| **D | COHEN AND STEERS SICAV | 0 | 260.087 | 260.087 |
| **D | XTRACKERS | 0 | 3.152.311 | 3.152.311 |
| **D | DWS MULTI ASSET PIR FUND | 0 | 215.000 | 215.000 |
| **D | DWS INVEST | 0 | 7.560.627 | 7.560.627 |
| **D | GOLDMAN SACHS FUNDS | 0 | 103.794 | 103.794 |
| **D | EPSILON FUND | 0 | 370.479 | 370.479 |
| **D | EURIZON INVESTMENT SICAV | 0 | 23.412 | 23.412 |
| **D | EURIZON NEXT 2.0 | 0 | 48.890 | 48.890 |
| **D | OSSIAM LUX | 0 | 54.825 | 54.825 |
| **D | EURIZON AM SICAV | 0 | 6.589 | 6.589 |
| **D | ARERO - DER WELTFONDS - ESG |
0 | 40.331 | 40.331 |
| **D | UBS LUX FUND SOLUTIONS | 0 | 2.436.922 | 2.436.922 |
| **D | AB VARIABLE PRODUCTS SERIES FUND INC. - AB DYNAMIC ASSET AL LOCATION PORTFOLIO |
0 | 100 | 100 |
| **D | AB VPSF AB GLOBAL RISK ALLOCATIONMODERATE PORTFOLIO | 0 | 21.938 | 21.938 |
| **D | AB GLOBAL RISK ALLOCATION FUND INC | 0 | 22.765 | 22.765 |
| **D | THE MASTER TRUST BANK OF JAPAN LTD RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND | 0 | 45.108 | 45.108 |
| **D | COMMONFUND STRATEGIC SOLUTIONS GLOBAL EQUITY, LLC | 0 | 21.642 | 21.642 |
| **D | VPV ALLGEMEINE VERSICHERUNGSAG | 0 | 70.000 | 70.000 |
| **D | INTERNATIONAL PAPER COMPANY COMMINGLED INVESTMENT GROUP TRUST | 0 | 1.048.454 | 1.048.454 |
| **D | UNIVERSAL INVESTMENT GESELLSCHAFT MBH FOR KFPT UNIVERSAL FONDS | 0 | 74.982 | 74.982 |
| **D | COHEN & STEERS REAL ASSETS FUND, INC | 0 | 398.760 | 398.760 |
| **D | COHEN AND STEERS GLOBAL REALTY FOCUS FUND | 0 | 246.723 | 246.723 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | COHEN & STEERS INFRASTRUCTURE FUND, INC. | 0 | 3.661.538 | 3.661.538 |
| **D | JOHN HANCOCK TAX-ADVANTAGED GLOBAL SHAREHOLDER YIELD FUND | 0 | 143.000 | 143.000 |
| **D | JOHN HANCOCK VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST | 0 | 271.252 | 271.252 |
| **D | JOHN HANCOCK TRUST COMPANY COLLECTIVE INVESTMENT TRUST | 0 | 116.641 | 116.641 |
| **D | JOHN HANCOCK MULTIFACTOR DEVELOPED INTERNATIONAL ETF | 0 | 82.599 | 82.599 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 0 | 193.817 | 193.817 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR LHPRIVATRENTEAKTIEN | 0 | 116.754 | 116.754 |
| **D | HC CAPITAL TRUST- THE INTERNATIONAL EQUITY PORTFOLIO |
0 | 104.597 | 104.597 |
| **D | JOHN HANCOCK FUNDS II INCOME ALLOCATION FUND | 0 | 45.818 | 45.818 |
| **D | SCHWAB INTERNATIONAL EQUITY ETF | 0 | 4.165.807 | 4.165.807 |
| **D | SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX ETF | 0 | 1.162.996 | 1.162.996 |
| **D | FCA US LLC MASTER RETIREMENT TRUST | 0 | 611.709 | 611.709 |
| **D | KAISER FOUNDATION HOSPITALS | 0 | 27.152 | 27.152 |
| **D | KAISER PERMANENTE GROUP TRUST | 0 | 26.384 | 26.384 |
| **D | HC CAPITAL TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY PORTFOL |
0 | 82.141 | 82.141 |
| **D | HC CAPITAL TRUST - THE ESG GROWTH PORTFOLIO |
0 | 7.012 | 7.012 |
| **D | HC CAPITAL TRUST- THE CATHOLIC SRI GROWTH PORTFOLIO |
0 | 1.265 | 1.265 |
| **D | SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND | 0 | 66.552 | 66.552 |
| **D | STATE STREET TOTAL RETURN VIS FUND | 0 | 18.214 | 18.214 |
| **D | VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST | 0 | 355.095 | 355.095 |
| **D | VANGUARD TOTAL WORLD STOCK INDEX FUND | 0 | 1.305.558 | 1.305.558 |
| **D | VANGUARD DEVELOPED MARKETS INDEX FUND | 0 | 18.898.040 | 18.898.040 |
| **D | INVESCO INCOME ADVANTAGE INTERNATIONAL FUND | 0 | 2.274 | 2.274 |
| **D | ZURICH INVEST ICAV | 0 | 150.523 | 150.523 |
| **D | SSB FTSE RAFI DEVELOPED 1000 INDEX NONLENDING COMMON TRUST FUND | 0 | 10.500 | 10.500 |
| **D | STATE STREET FACTORBASED NONLENDING COMMON TRUST FUND | 0 | 9.801 | 9.801 |
| **D | SSB MSCI EUROPE SCREENED INDEX NONLENDING COMMON TRUST FUND | 0 | 22.978 | 22.978 |
| **D | PENSIOENFONDS METAAL OFP | 0 | 330.632 | 330.632 |
| **D | FCA CANADA INC. ELECTED MASTER TRUST | 0 | 170.589 | 170.589 |
| **D | NEW YORK STATE TEACHERS RETIREMENT SYSTEM | 0 | 577.935 | 577.935 |
| **D | EMPOWER ANNUITY INSURANCE COMPANY | 0 | 82.371 | 82.371 |
| **D | MANULIFE INVESTMENT MANAGEMENT INTERNATIONAL EQUITY INDEX POOLED FUND | 0 | 77.565 | 77.565 |
| **D | UBS FUND MANAGEMENT (SWITZERLAND) AG ON BEHALF OF ZURICH INVESTINSTITUTIONAL FUNDS - ZIF GREEN |
0 | 85.409 | 85.409 |
| **D | WISDOMTREE INTERNATIONAL EQUITYFUND | 0 | 7.077 | 7.077 |
| **D | WISDOMTREE GLOBAL HIGH DIVIDENDFUND | 0 | 395 | 395 |
| **D | WISDOMTREE INTERNATIONAL DIVIDEND EX-FINANCIALS FUND | 0 | 70.587 | 70.587 |
| **D | WISDOMTREE INTERNATIONAL LARGECAP DIVIDEND | 0 | 153.521 | 153.521 |
| **D | WISDOMTREE INTERNATIONAL EFFICIENT CORE FUND | 0 | 493 | 493 |
| **D | WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND | 0 | 69.066 | 69.066 |
| **D | VANGUARD FTSE DEVELOPED EX NORTH AMERICA HIGH DIVIDEND YIELD IND | 0 | 28.374 | 28.374 |
| **D | WISDOMTREE ISSUER ICAV | 0 | 44.019 | 44.019 |
| **D | WASHINGTON STATE INVESTMENT BOARD | 0 | 823.057 | 823.057 |
| **D | WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 0 | 94.150 | 94.150 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| D UBS (IRL) ETF PLC 0 729.814 D DWS INVESTMENT GMBH FOR DEAMFONDS PG EQ 0 51.024 D AXA INVESTMENT MANAGERS SCHWEIZAG ON BEHALF OF AXA (CH) STRATEGY FUND - GLOBAL EQUITY CHF 0 67.678 D DWS INVESTMENT GMBH FOR DEAMFONDS GSK 1 0 23.155 D VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF 0 24.423 D VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF 0 337.143 D ASIAN DEVELOPMENT BANK 0 1.102.876 D UNITED INCOME FOCUS TRUST 0 77.204 D TENNESSEE CONSOLIDATED RETIREMENT SYSTEM 0 5.440.588 D PUBLIC EMPLOYEES` LONG-TERM CARE FUND 0 12.192.303 D ALBERTA INVESTMENT MANAGEMENT CORPORATION 0 2.674.753 D STATE STREET CCF 0 29.042 D INTEL RETIREMENT PLANS COLLECTIVE INVESTMENT TRUST 0 103.315 D THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER 0 409.231 D SIR DAVID TRENCH FUND FOR RECREATION 0 2.586 D UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR SRV100 0 10.504 D STATE STREET IRELAND UNIT TRUST 0 85.182 D SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY 0 975.128 D SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY 0 409.946 D STICHTING PENSIOENFONDS TANDARTSEN EN TANDARTS-SPECIALISTEN 0 6.791 D DESJARDINS INTERNATIONAL EQUITYIND EX ETF 0 15.663 D SCOTIA INTERNATIONAL EQUITY INDEX FUND 0 3.823 D SSGA MSCI ACWI EX-USA INDEX NON-LENDING DAILY TRUST 0 11.017 D THE BANK OF KOREA 0 8.612 D SELFFINANCING POSTSECONDARY EDUCATION FUND 0 1.351 D GOVERNMENT PENSION INVESTMENT FUND 0 11.713.378 **D RUSSELL INVESTMENTS MULTIFACTORINTERNATIONAL EQUITY POOL 0 6.760 |
729.814 51.024 67.678 23.155 24.423 337.143 1.102.876 77.204 5.440.588 12.192.303 2.674.753 29.042 103.315 409.231 2.586 |
|---|---|
| 10.504 | |
| 85.182 | |
| 975.128 | |
| 409.946 | |
| 6.791 | |
| 15.663 | |
| 3.823 | |
| 11.017 | |
| 8.612 | |
| 1.351 | |
| 11.713.378 | |
| 6.760 | |
| **D RUSSELL INVESTMENTS YIELD OPPORTUNITIES POOL 0 3.202 |
3.202 |
| **D RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC INTERNATIONAL EQUIT 0 57.662 |
57.662 |
| **D RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC MULTI ASSET COR E PLUS FUND 0 202.308 |
202.308 |
| **D RUSSELL INVESTMENTS INSTITUTIONAL FUNDS, LLC GLOBAL LISTED INFRA 0 194.868 |
194.868 |
| **D RUSSELL INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET I-ASSET GROWTH FUND 0 27.488 |
27.488 |
| **D THE INCUBATION FUND LTD 0 592 |
592 |
| **D DWS INVESTMENT GMBH FOR DEAMFONDS KGPENSIONEN 0 7.867 |
7.867 |
| **D DEAM-FONDS CPT 0 27.115 |
27.115 |
| **D THRIVENT INTERNATIONAL INDEX PORTFOLIO 0 23.752 |
23.752 |
| **D RUSSELL INVESTMENTS GLOBAL INFRASTRUCTURE POOL 0 951.895 |
951.895 |
| **D RUSSELL OVERSEAS EQUITY POOL . 0 31.149 |
31.149 |
| **D STATE OF NEW JERSEY COMMON PENSION FUND D 0 688.338 |
688.338 |
| **D CITY OF NEW YORK GROUP TRUST 0 705.702 |
705.702 |
| **D BRIGHTHOUSE FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO 0 78.165 |
78.165 |
| **D JANE TAFT INGALLS TR DTD 12 6 51 FDC ATTN GARY LOMBARDO 0 2.700 |
2.700 |
| **D RSS INV COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST 0 352.625 |
352.625 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | IBM RETIREMENT PLAN | 0 | 6.974 | 6.974 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR CTWI 1 UI | 0 | 8.000 | 8.000 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR DEBEKAAKTIENEUROPAESG | 0 | 1.108.300 | 1.108.300 |
| **D | GOLDMAN SACHS TRUST - GOLDMAN SACHS ABSOLUTE RETURN TRACKER FUND |
0 | 152.813 | 152.813 |
| **D | GOLDMAN SACHS MULTIMANAGER REALASSETS STRATEGY FND | 0 | 852.132 | 852.132 |
| **D | GOLDMAN SACHS TRUST GOLDMAN SACHS GLOBAL MANAGED BETA FUND | 0 | 13.345 | 13.345 |
| **D | RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST | 0 | 148.126 | 148.126 |
| **D | ALLIANCEBERNSTEIN LP | 0 | 10.417 | 10.417 |
| **D | LAZARD EQUITY FRANCHISE PORTFOLIO | 0 | 1.582.400 | 1.582.400 |
| **D | LAZARD ESC GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 165.709 | 165.709 |
| **D | DEKA INVESTMENT GMBH FOR KDF 3 | 0 | 84.054 | 84.054 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE PORTFOLIO | 0 | 90.149.645 | 90.149.645 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR ARBOR I UI | 0 | 18.641 | 18.641 |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 0 | 61.500 | 61.500 |
| **D | MERCER QIF COMMON CONTRACTUAL FUND | 0 | 482.752 | 482.752 |
| **D | MARIGOLD TACTICAL STRATEGIES LTD | 0 | 9.105 | 9.105 |
| **D | MERCER UCITS COMMON CONTRACTUALFUND | 0 | 1.347.204 | 1.347.204 |
| **D | RHUMBLINE LOW CARBON INDEX FUNDLLC | 0 | 71.647 | 71.647 |
| **D | MDPIM INTERNATIONAL EQUITY INDEX POOL | 0 | 95.115 | 95.115 |
| **D | THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 0 | 71.455 | 71.455 |
| **D | MGI FUNDS PLC | 0 | 120.963 | 120.963 |
| **D | MORG STI INSTITUTIONAL FUND GLOBAL INFRASTRUCTURE PORTFOLIO | 0 | 445.637 | 445.637 |
| **D | SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF | 0 | 34.427 | 34.427 |
| **D | SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF | 0 | 35.510 | 35.510 |
| **D | SPDR MSCI EAFE STRATEGICFACTORSETF | 0 | 289.382 | 289.382 |
| **D | LAZARD GLOBAL ACTIVE FUNDS PLC | 0 | 22.936.814 | 22.936.814 |
| **D | RHUMBLINE INTERNATIONAL POOLED INDEX TRUST | 0 | 59.240 | 59.240 |
| **D | LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 0 | 3.711.715 | 3.711.715 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR DC EUROLAND EQUITIES | 0 | 297.487 | 297.487 |
| **D | LVIP BLACKROCK GLOBAL ALLOCATION FUND | 0 | 50.339 | 50.339 |
| **D | LVIP MONDRIAN INTERNATIONAL VALUE FUND | 0 | 6.668.345 | 6.668.345 |
| **D | LVIP SSGA INTERNATIONAL INDEX FUND | 0 | 277.650 | 277.650 |
| **D | LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 0 | 23.121 | 23.121 |
| **D | INSTITUTIONAL RETIREMENT TRUST | 0 | 35.339 | 35.339 |
| **D | CAYMAN ISLANDS CHAMBER OF COMMERCE PENSION FUND | 0 | 11.344 | 11.344 |
| **D | STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 0 | 455.368 | 455.368 |
| **D | STATE STREET INTERNATIONAL DEVELOPED EQUITY INDEX PORTFOLIO | 0 | 379.104 | 379.104 |
| **D | LACERA MASTER OPEB TRUST | 0 | 42.685 | 42.685 |
| **D | SUNAMERICA SERIES TRUST SA JPM DIVERSIFIED BALANCED PORTFOLIO | 0 | 4.424 | 4.424 |
| **D | SEASONS SERIES TRUST SA MULTI-MANAGED INTERNATIONAL EQUITY PORTF | 0 | 11.123 | 11.123 |
| **D | SUNAMERICA SERIES TRUST SA BLACKROCK VCP GLOBAL MULTI ASSET PORT | 0 | 18.644 | 18.644 |
| **D | SUNAMERICA SERIES TRUST - SA INTERNATIONAL INDEX PORTFOLIO |
0 | 88.412 | 88.412 |
| **D | OPENWORLD PUBLIC LIMITED COMPANY | 0 | 352.486 | 352.486 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE (CANADA) FUND | 0 | 5.277.566 | 5.277.566 |
| **D | LAZARD GLOBAL EQUITY FRANCHISE (CANADA) FUND | 0 | 1.543.012 | 1.543.012 |
| **D | TRANSAMERICA MORGAN STANLEY GLOBAL ALLOCATION VP | 0 | 17.239 | 17.239 |
| **D | TRANSAMERICA INTERNATIONAL EQUITY INDEX VP | 0 | 10.221 | 10.221 |
| **D | JNL/MELLON MSCI WORLD INDEX FUND | 0 | 13.874 | 13.874 |
| **D | JNL/JPMORGAN GLOBAL ALLOCATION FUND | 0 | 2.579 | 2.579 |
| **D | JNL/DFA INTERNATIONAL CORE EQUITY FUND | 0 | 9.377 | 9.377 |
| **D | TANGERINE DIVIDEND PORTFOLIO | 0 | 47.160 | 47.160 |
| **D | TANGERINE BALANCED INCOME PORTFOLIO | 0 | 2.734 | 2.734 |
| **D | TANGERINE BALANCED PORTFOLIO | 0 | 24.218 | 24.218 |
| **D | TANGERINE BALANCED GROWTH PORTFOLIO | 0 | 32.133 | 32.133 |
| **D | TANGERINE EQUITY GROWTH PORTFOLIO | 0 | 41.213 | 41.213 |
| **D | FIRST CHURCH OF CHRIST SCIENTIST | 0 | 6.811 | 6.811 |
| **D | PRESIMA GLOBAL REAL ESTATE SECURITIES ENHANCED YIELD FUND (TAXABLE) | 0 | 86.400 | 86.400 |
| **D | RUSSELL INVESTMENT COMPANY MULTIASSET GROWTH STRATEGY FUND | 0 | 30.484 | 30.484 |
| **D | SCOTIA INTERNATIONAL EQUITY INDEX TRACKER ETF | 0 | 28.817 | 28.817 |
| **D | LAZARD GLOBAL LISTED INFRASTRUCTURE TRUST | 0 | 2.956.945 | 2.956.945 |
| **D | FIDELITY GLOBAL EX-U.S. EQUITY INDEX INSTITUTIONAL TRUST | 0 | 1.757 | 1.757 |
| **D | RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOPED MARKETS FUND | 0 | 409.057 | 409.057 |
| **D | RUSSELL INVESTMENT COMPANY GLOBAL INFRASTRUCTURE FUND | 0 | 340.057 | 340.057 |
| **D | RUSSELL INVESTMENT COMPANY MULTISTRATEGY INCOME FUND | 0 | 5.071 | 5.071 |
| **D | RUSSELL INVESTMENT COMPANY MULTIFACTOR INTERNATIONAL EQUITY FUND | 0 | 22.279 | 22.279 |
| **D | FRANKLIN TEMPLETON ICAV | 0 | 374.490 | 374.490 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE ETF |
0 | 14.040 | 14.040 |
| **D | FRANKLIN TEMPLETON ETF TRUST-FRANKLIN LIBERTYQ INT`L EQUITY HEDG | 0 | 297.104 | 297.104 |
| **D | FRANKLIN INTERNATIONAL EQUITY INDEX ETF | 0 | 21.840 | 21.840 |
| **D | FRANKLIN TEMPLETON ETF TRUST - FRANKLIN FTSE EUROZONE ETF |
0 | 8.084 | 8.084 |
| **D | VALIC COMPANY I - INTERNATIONALSOCIALLY RESPONSIBLE FUNDK |
0 | 279.780 | 279.780 |
| **D | MICROSOFT CORPORATION SAVINGS PLUS 401(K) PLAN | 0 | 2.236.549 | 2.236.549 |
| **D | EPOCH INVESTMENT FUNDS PUBLIC LIMITED COMPANY | 0 | 126.428 | 126.428 |
| **D | AEON GLOBAL EQUITY SHAREHOLDER YIELD FUND | 0 | 118.899 | 118.899 |
| **D | CUSTODY BANK OF JAPAN LTD ASTRUSTEE FOR SUMITOMOMITSUI TRUST BANK LIMITED ASTRUSTEE FOR ANCHORMF | 0 | 1.525.423 | 1.525.423 |
| **D | EATON VANCE TAXMANAGED GLOBAL BUYWRITE OPPORTUNITIES FUND | 0 | 152.501 | 152.501 |
| **D | PARAMETRIC INTERNATIONAL EQUITYFUND | 0 | 62.700 | 62.700 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 0 | 122.821 | 122.821 |
| **D | CALVERT IMPACT FUND INC CALVERT GLOBAL ENERGY SOLUTIONS FUND | 0 | 182.139 | 182.139 |
| **D | CALVERT VP EAFE INTERNATIONAL INDEX PORTFOLIO | 0 | 18.440 | 18.440 |
| **D | XTRACKERS (IE) PUBLIC LIMITED COMPANY | 0 | 990.266 | 990.266 |
| **D | DESJARDINS SECURITE FINANCIERE COMPAGNIE D`ASSURANCE VIE | 0 | 7.155 | 7.155 |
| **D | REGIME DE RENTES DU MOUVEMENT DESJARDINS | 0 | 11.199 | 11.199 |
| **D | REGIME DE RETRAITE DE LA CONFEDERATION DES SYNDICATS NATIONAUX | 0 | 33.400 | 33.400 |
| **D | CAISSE DE DEPOT ET PLACEMENT DUQUEBEC | 0 | 60.129 | 60.129 |
| **D | CITY UNIVERSITY OF NEW YORK | 0 | 2.473 | 2.473 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TRUST I AB GLOBAL DYNAMIC ALLOCATION PORTFOLIO | 0 | 79.569 | 79.569 |
| **D | BMO INTERNATIONAL DIVIDEND ETF | 0 | 275.550 | 275.550 |
| **D | BMO LOW VOLATILITY INTERNATIONALEQUITY ETF | 0 | 567.199 | 567.199 |
| **D | CAPULA TAIL RISK MASTER FUND LIMITED | 0 | 12.096 | 12.096 |
| **D | CARDANO COMMON CONTRACTUAL FUND | 0 | 38.777 | 38.777 |
| **D | CENTRAL PROVIDENT FUND BOARD | 0 | 7.398 | 7.398 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 0 | 384.018 | 384.018 |
| **D | AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 0 | 28.121 | 28.121 |
| **D | MATB MSCI KOKUSAI INDEX MOTHER FUND | 0 | 25.768 | 25.768 |
| **D | AMERICAN BUREAU OF SHIPPING | 0 | 2.090 | 2.090 |
| **D | RTX SAVINGS PLAN MASTER TRUST | 0 | 558.757 | 558.757 |
| **D | THE WALT DISNEY COMPANY RETIREMENT PLAN MASTER TRUST | 0 | 59.041 | 59.041 |
| **D | BMO MSCI EAFE INDEX ETF | 0 | 601.938 | 601.938 |
| **D | BRUNEL LOW VOLATILITY GLOBAL EQUITY FUND | 0 | 466.472 | 466.472 |
| **D | PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 0 | 15.041 | 15.041 |
| **D | HSBC BANK PLC AS TRUSTEE OF STATE STREET AUT EUROPE EX UK S CREENED INDEX EQUITY FUND | 0 | 1.877.301 | 1.877.301 |
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF ST. JAMES`S PLACE STRATEGIC MANAGE | 0 | 43.497 | 43.497 |
| **D | FAMILY INVESTMENTS CHILD TRUST FUND | 0 | 47.362 | 47.362 |
| **D | FAMILY INVESTMENTS GLOBAL ICVC FAMILY BALANCED INTERNATIONALFUND | 0 | 38.776 | 38.776 |
| **D | NATIONAL EMPLOYMENT SAVINGS TRUST | 0 | 3.497.717 | 3.497.717 |
| **D | SUN CHEMICAL LIMITED PENSION SCHEME | 0 | 34.556 | 34.556 |
| **D | VANGUARD INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX - U.K. EQUITY INDEX FUND |
0 | 696.587 | 696.587 |
| **D | VIF ICVC VANGUARD FTSE DEVELOPED EUROPE EXUK EQUITY INDEX FUND | 0 | 1.272.645 | 1.272.645 |
| **D | VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 0 | 135.821 | 135.821 |
| **D | SCOTTISH WIDOWS INV.SOLUTIONS FUNDS ICVC-FUNDAMENTAL INDEX GLOBAL EQUITY FUND | 0 | 167.906 | 167.906 |
| **D | MULTI STYLE MULTI MANAGER FUNDSPLC | 0 | 97.622 | 97.622 |
| **D | DWS RREEF COLLECTIVE INVESTMENT TRUST | 0 | 178.390 | 178.390 |
| **D | DYNAMIC INFRASTRUCTURE SECURITIES FUND LP | 0 | 4.370 | 4.370 |
| **D | DWS RREEF REAL ASSETS FUND | 0 | 2.695.800 | 2.695.800 |
| **D | MCIC VERMONT (A RECIPROCAL RISKRETENTION GROUP) | 0 | 55.915 | 55.915 |
| **D | MARYLAND STATE RETIREMENT PENSION SYSTEM | 0 | 89.044 | 89.044 |
| **D | RUSSELL INVESTMENTS MULTIASSET FACTOR EXPOSURE FUND | 0 | 5.024 | 5.024 |
| **D | NUVEEN REAL ASSET INCOME FUND | 0 | 1.997.825 | 1.997.825 |
| **D | FIDELITY COVINGTON TRUST: FIDELITY TARGETED INTL FACTOR ETF | 0 | 183.901 | 183.901 |
| **D | POLICE AND FIREMEN`S RETIREMENTSYSTEM OF NEW JERSEY | 0 | 315.128 | 315.128 |
| **D | PROCTER AND GAMBLE BELGIUM PENSION FUND | 0 | 5.128 | 5.128 |
| **D | PRUDENTIAL HONG KONG LIMITED | 0 | 1.626.494 | 1.626.494 |
| **D | PACIFIC SELECT FUND -PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO | 0 | 90.751 | 90.751 |
| **D | PES:PIMCO RAFI DYNAMIC MULTI-FACTOR INTERNATIONAL EQUITY ETF | 0 | 20.616 | 20.616 |
| **D | NUVEEN MULTI-ASSET INCOME FUND | 0 | 139.528 | 139.528 |
| **D | NUVEEN REAL ASSET INCOME & GROWTH FUND | 0 | 977.152 | 977.152 |
| **D | NUVEEN INTERNATIONAL DIVIDEND GROWTH FUND | 0 | 27.926 | 27.926 |
| **D | TALCOTT RESOLUTION LIFE INSURANCE COMPANY | 0 | 18.477 | 18.477 |
| Azionisti: | 1.775 | Teste: | 8 |
|---|---|---|---|
| Azionisti in proprio: | 7 | Azionisti in delega: | 1.768 |

Assemblea Ordinaria del 07 maggio 2024
LISTA ESITO DELLE VOTAZIONE
Oggetto: O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | NORTHROP GRUMMAN PENSION MASTERTRUST | 0 | 45.189 | 45.189 |
| **D | THE BARCLAYS BANK UK RETIREMENTFUND | 0 | 27.368 | 27.368 |
| **D | GOLDMAN SACHS UK RETIREMENT PLAN | 0 | 97.433 | 97.433 |
| **D | STICHTING PHILIPS PENSIOENFONDS | 0 | 23.133 | 23.133 |
| **D | NOW PENSIONS TRUST | 0 | 43.699 | 43.699 |
| **D | COHEN & STEERS GLOBAL INFRASTRUCTURE FUND, INC. | 0 | 1.591.087 | 1.591.087 |
| **D | COHEN & STEERS, INC. | 0 | 5.135 | 5.135 |
| **D | COHEN + STEERS FUTURE OF ENERGYFUND, INC. | 0 | 247.033 | 247.033 |
| **D | INTE KAPITALANLAGEGESELLSCHAFT MBH FOR ENTSORGUNGSFONDS | 0 | 898.801 | 898.801 |
| **D | LAZARD REAL ASSETS PORTFOLIO | 0 | 7.622 | 7.622 |
| 10689 | GRANDI ROI | 2.500 | 0 | 2.500 |
| 10796 | RINAUDO MAURO | 3.000 | 0 | 3.000 |
| 10892 | MAGNANI DUILIO | 100 | 0 | 100 |
| 11582 | FIORENTINO ANNA MARIA | 7.387 | 0 | 7.387 |
| 11921 | MANUNTA DAVIDE | 0 | 0 | 0 |
| DE* | CDP RETI SPA | 0 | 1.053.692.127 | 1.053.692.127 |
| 11929 | TREVISAN DARIO RAPPRESENTANTE DESIGNATO IN QUALITA' DI DELEGATO 135-UNDECIES TUF | 0 | 0 | 0 |
| **D | GRANITIFIANDRE SOCIETA` PER AZIONI | 0 | 27.652.190 | 27.652.190 |
| *** | MINOZZI ROMANO | 0 | 126.807.958 | 126.807.958 |
| **D | PREVEDI | 0 | 853 | 853 |
| **D | IRIS CERAMICA GROUP SOCIETA` PER AZIONI | 0 | 84.890.583 | 84.890.583 |
| **D | FINANZIARIA CERAMICA CASTELLARANO S P A | 0 | 10.958.722 | 10.958.722 |
| **D | FONDO GOMMA PLASTICA | 0 | 312.660 | 312.660 |
| **D | FONDO SCUOLA ESPERO CRESCITA AZIONARIO | 0 | 2.761 | 2.761 |
| **D | INARCASSA - CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA PER |
0 | 23.920.000 | 23.920.000 |
| 8806 | OTTOLENGHI GUIDO | 0 | 0 | 0 |
| RL* | ESTROSA SOCIETA` PER AZIONI | 120.000 | 0 | 120.000 |
| RL* | LA PETROLIFERA ITALO RUMENA SPA | 850.000 | 0 | 850.000 |
| RL* | ZIPORA S.R.L. | 100.000 | 0 | 100.000 |
| Totale voti | 2.504.030.139 |
|---|---|
| Percentuale votanti % | 97,835543 |
| Percentuale Capitale % | 74,505685 |

ESITO VOTAZIONE
Oggetto : O.4b. Relazione sulla politica in materia di remunerazione e sui compensi corrisposti 2024: II Sezione non vincolante
Hanno partecipato alla votazione:
-n° 1.829 azionisti, portatori di n° 2.559.427.857 azioni ordinarie, di cui n° 2.559.427.857 ammesse al voto, pari
al 76,154006% del capitale sociale.
Hanno votato:
| %AZIONI ORDINARIE RAPPRESENTATE (Quorum deliberativo) |
%AZIONI AMMESSE AL VOTO |
%CAP.SOC. | |||
|---|---|---|---|---|---|
| Favorevoli | 2.504.030.139 | 97,835543 | 97,835543 | 74,505685 | |
| Contrari | 54.926.857 | 2,146060 | 2,146060 | 1,634311 | |
| SubTotale | 2.558.956.996 | 99,981603 | 99,981603 | 76,139996 | |
| Astenuti | 437.461 | 0,017092 | 0,017092 | 0,013016 | |
| Non Votanti | 33.400 | 0,001305 | 0,001305 | 0,000994 | |
| SubTotale | 470.861 | 0,018397 | 0,018397 | 0,014010 | |
| Totale | 2.559.427.857 | 100,000000 | 100,000000 | 76,154006 |


Assemblea Ordinaria di Snam S.p.A. 7 maggio 2024
Risposte a domande pervenute prima dell'Assemblea ai sensi dell'art. 127-ter del d.lgs. n. 58/1998
Domande pervenute dal Socio Tommaso Marino

1) Domande e risposte saranno allegate al verbale d'assemblea, come chiedo fin d'ora?
Si conferma che il fascicolo contenente le risposte alle domande pervenute dai soci prima dell'Assemblea ai sensi dell'art. 127-ter del d. lgs. 58/1998 sarà allegato, come di consueto, al verbale di Assemblea. Si precisa inoltre che il menzionato fascicolo sarà pubblicato nell'apposita sezione del sito internet della Società (www.snam.it, Sezione "Governance" - "Struttura di Corporate Governance" - "Assemblea degli Azionisti") entro i termini indicati nell'avviso di convocazione.
2) Come abbiamo aiutato l'Ucraina? Intendiamo aiutare ancora il suo popolo in futuro? Come? Possiamo rifornire loro energia a titolo gratuito? Possiamo stanziare delle somme affinché acquistino armi e munizioni a difesa della loro entità di popolo libero? Possiamo inviare medicine e vettovaglie?
Nel 2022, su richiesta del Gas Transmission System Operator of Ukraine, Snam Rete Gas S.p.A. ha approvato la proposta di acquisto e donazione di materiali (generatori elettrici, cavi, commutatori) per una cifra complessiva di circa euro 318.000.
Sempre nel 2022, la Fondazione Snam ha attivato anche un'iniziativa interna di "payroll giving", aprendo alla possibilità per i dipendenti Snam S.p.A. di donare il corrispettivo economico di una o più ore di lavoro a supporto dell'Ucraina. Il totale dei contributi donati, pari a euro 62.000, è stato poi raddoppiato dalla Fondazione Snam per un totale donato di euro 124.000 suddivisi equamente tra la Croce Rossa e l'UNHCR, entità entrambe attive nel sostegno alla popolazione civile colpita dal conflitto.
Nel 2023, su proposta del Ministero degli Affari Esteri e della Cooperazione Internazionale, nell'ambito dell'iniziativa nata per il coordinamento tra i Paesi del G7 delle azioni a sostegno della

sicurezza energetica dell'Ucraina, Snam Rete Gas S.p.A. ha donato generatori per la produzione di energia elettrica aventi un valore complessivo di circa euro 100.000. La procedura relativa all'individuazione del destinatario ucraino, il trasporto e la consegna dei materiali sono stati gestiti dalla Protezione Civile Italiana in raccordo con il Directorate General for European Civil Protection and Humanitarian Aid Operations della Commissione Europea.
Nell'aprile 2024 Snam S.p.A. ha ospitato un'ampia delegazione del TSO Ucraino, che ha visitato il dispacciamento e la centrale di compressione di Sergnano e approfondito procedure e progetti di innovazione nella gestione dell'infrastruttura di Snam (Asset Control Room in primis).
La Società, anche sulla base di indicazioni istituzionali, valuterà eventuali ulteriori donazioni a favore dell'Ucraina. La Società, in coerenza con quanto previsto dal Codice Etico pubblicato sul sito web, ripudia la guerra e pertanto non stanzia finanziamenti per l'acquisto di armi e munizioni.
3) Quanto ha fatturato al Gruppo Snam l'Head Hunter Korn Ferry nel 2023? Quanti e quali mandati tale società ha ricevuto, per cosa, da chi, per quali importi e con quale esiti?
Nel 2023 Korn Ferry S.r.l. ha fatturato euro 85.000 per servizi resi al gruppo Snam S.p.A. In particolare:
- euro 60.500 per attività di executive search (euro 50.000) e di development center (euro 10.500) afferenti un contratto sottoscritto nel 2023;
- euro 24.500 per attività di development center afferenti un contratto sottoscritto nel 2022.
I citati contratti sono stati affidati in conformità alla normativa aziendale di riferimento.

4) Quali valutazioni ha svolto il Collegio Sindacale, con riferimento alla buona amministrazione, rispetto agli incarichi esterni di governance che la dirigente con responsabilità strategiche di Snam, dott.ssa Paola Boromei, a giudicare dal link Pirelli (qui di seguito riportato e aggiornato al luglio 2023), la suddetta ha ricevuto?
In ogni caso, dal link qui di seguito, risulta allo scrivente che la suddetta, assunta nel 2017, ha fatto parte di Pirelli sicuramente fino al 2023 ma potrebbe esserne ancora in CDA mentre peraltro era in una controllata di Snam.
Se ne riporta uno stralcio, aggiornato, come detto, al 31/07/2023 e vi chiedo se confermiate: "Attualmente è, da giugno 2020, Consigliere indipendente di Pirelli S.p.A., e, dal novembre 2019, componente del Consiglio di Amministrazione di Snam Rete Gas S.p.A. Nel quadriennio 2017¬-2020 è stata inoltre Segretario del Comitato Remunerazione Snam, dal 2017 al 2019 componente del Consiglio di Amministrazione di Terega S.a.S. e, dal 2019 al 2020, componente del Consiglio di Amministrazione di ADAPT e, dal 2020 al 2023, Consigliere indipendente di Grifal S.p.A".
La Dott.ssa Boromei è stata riconfermata come consigliere indipendente del Consiglio di Amministrazione di Pirelli & Co. S.p.A. dall'assemblea del 31 luglio 2023. In coerenza con la normativa aziendale in materia, adottata in data 12 ottobre 2021, l'Amministratore Delegato ha autorizzato la ricandidatura della Dott.ssa Boromei in Pirelli & Co. S.p.A. previo parere favorevole obbligatorio e non vincolante reso dal Comitato Nomine e Remunerazioni della Società in data 7 febbraio 2023. Si precisa che gli incarichi ricoperti dalla Dott.ssa Boromei in Snam Rete Gas S.p.A., Terega S.a.S. e Fondazione ADAPT non rilevano ai fini della citata normativa aziendale. La carica ricoperta dalla Dott.ssa Boromei in Grifal S.p.A. dal 29 aprile 2020 sino alla data dell'assemblea convocata per l'approvazione del bilancio al 31

dicembre 2022 è stata assunta prima dell'adozione della normativa aziendale in materia.
Il Collegio Sindacale ha vigilato sulla corretta applicazione dell'iter previsto dalla normativa aziendale in materia senza formulare rilievi.
5) In merito agli incarichi esterni, quali autorizzazioni e valutazioni ha ricevuto dal CDA di Snam, la dott.ssa e sulla base di quali considerazioni?
In data 15 febbraio 2023 il Consiglio di Amministrazione è stato informato dalla Presidente del Comitato Nomine e Remunerazioni dell'istruttoria svolta sulla candidatura della Dott.ssa Boromei in Pirelli & C. S.p.A. e del parere favorevole obbligatorio e non vincolante rilasciato da tale Comitato sulla base delle seguenti considerazioni:
- la carica di amministratore indipendente di Pirelli & C. S.p.A. è compatibile in termini di impegno, tempo da dedicare e carico di lavoro con il diligente svolgimento delle mansioni in Snam S.p.A. da un punto di vista quali/quantitativo;
- Pirelli & C. S.p.A. non opera in concorrenza con il gruppo Snam e non è cliente o fornitore rilevante del gruppo Snam.
- 6) Risponde al vero che la suddetta avrebbe percepito compensi da società esterne al Gruppo, almeno per 110 K? In caso affermativo, i compensi percepiti sono stati riversati nel Gruppo Snam? E in ogni caso, da chi provenivano esattamente i relativi incarichi?
La Società non è a conoscenza degli emolumenti percepiti dalla Dott.ssa Boromei negli esercizi 2021 - 2023 per la carica ricoperta in Pirelli & Co. S.p.A. Tali emolumenti non sono stati riversati a Snam S.p.A. in quanto la normativa aziendale non lo prevede.
7) In quali altre società non del Gruppo Snam, tale dirigente opererebbe e/o avrebbe operato, oltre che in Pirelli?

La Dott.ssa Boromei ha informato la Società, ai sensi della normativa aziendale applicabile, di essere stata: (i) consigliere indipendente in Grifal S.p.A. dal 29 aprile 2020 sino alla data dell'assemblea convocata per l'approvazione del bilancio al 31 dicembre 2022 e (ii) componente del consiglio di amministrazione di Fondazione ADAPT dal 2019 al 2020.
8) E Risponde al vero che la suddetta nel prossimo triennio opererà In Intercos, su indicazioni di Assogestioni? A quando risale tale accettazione? Prima o dopo le dimissioni, che da un comunicato stampa di Snam, in data 18/03/24, la dott.ssa Boromei avrebbe dato in detta data, a decorrere dal primo aprile c.a.?
La Società non è a conoscenza dei programmi futuri della Dott.ssa Boromei, che ha consensualmente risolto il proprio rapporto con la Società a decorrere dall'1 aprile 2024, avendo contestualmente rassegnato le proprie dimissioni da consigliere di Snam Rete Gas S.p.A.


Assemblea Ordinaria di Snam S.p.A. 7 maggio 2024
Risposte a domande pervenute prima dell'Assemblea ai sensi dell'art. 127-ter del d.lgs. n. 58/1998
Domande pervenute dal Socio Luigi Santi

Egregi Amministratori buongiorno,
con la presente sono a chiedere aggiornate informazioni in ordine alla società EVOLVE SpA che, dalle informazioni in mio possesso è vostra controllata (tramite la sub-holding RENOVIT - a sua volta controllata da SNAM per il 70%, mentre il restante 30% fa capo a Cassa Depositi e Prestiti) e consolidata nel bilancio SNAM con il metodo Integrale.
La mia richiesta nasce dalle notizie circa attuali gravi difficoltà che EVOLVE incontra nel portare a termine contratti in essere con propri clienti per interventi Ecobonus e Superbonus. Per esperienza diretta, risulta che:
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- spesso non sono rispettati i termini di consegna,
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- i lavori sono sospesi a fasi alterne,
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- la qualità delle lavorazioni effettuate è ben lontana dal "a regola d'arte" prevista dal contratto,
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- non viene minimamente rispettata la qualità di vita nei condomini interessati dai lavori.
Tutto questo genera danni ai committenti con il conseguente rischio di azioni legali con probabile impatto negativo sul bilancio della stessa EVOLVE e sul consolidato SNAM.
Con tali premesse chiedo cortesemente di conoscere:
- 1) Se nel consolidamento integrale di EVOLVE adottato da SNAM sono state considerati gli effetti economici di tali criticità. Il bilancio civilistico al 31 dicembre 2023 di Evolve S.p.A. tiene conto:
- dell'impatto, in termini di riduzione dei ricavi, in proporzione allo stato avanzamento lavori, dei ritardi nella realizzazione di alcuni interventi di riqualificazione energetica;

• del rischio connesso al mancato rispetto dei termini di conclusione di tutti gli adempimenti documentali necessari per il riconoscimento del credito fiscale legato al superbonus e a bonus minori che potrebbe impedire di utilizzare i crediti fiscali generati per i lavori eseguiti. Evolve S.p.A., sulla base delle informazioni disponibili alla data di redazione del bilancio d'esercizio, ha accantonato in bilancio uno specifico fondo per far fronte a tale rischio.
Poiché Evolve S.p.A. è consolidata integralmente ai fini del bilancio consolidato del gruppo Snam, i medesimi effetti sono riflessi nel bilancio di gruppo al 31 dicembre 2023.
2) Quale sia il criterio di valutazione dei crediti che risultano nel bilancio consolidato SNAM per €400/mln a pag. 678, per €158/mln a pag.677 e per €29/mln a pag. 675 della "Relazione Finanziaria annuale 2023" verso la società EVOLVE consolidata integralmente e come verranno rimborsati. Al 31 dicembre 2023 Snam S.p.A. (bilancio separato) ha in essere nei confronti di Evolve S.p.A. 400 milioni di euro di crediti finanziari valutati secondo le disposizioni del principio contabile internazionale IFRS 9 (costo ammortizzato). Tali crediti si riferiscono al contratto di cash pooling nell'ambito della gestione accentrata della tesoreria di gruppo (225 milioni di euro; 158 milioni di euro nel 2022) e ad un finanziamento Term Loan (175 milioni di euro).
Si rileva che il gruppo Snam, a fronte dell'ampia capacità fiscale, prevede di utilizzare i crediti ecobonus/sismabonus relativi a progetti di efficienza energetica nell'arco temporale previsto dalla normativa vigente.
Al 31 dicembre 2023 Snam S.p.A. (bilancio separato) ha in essere, inoltre, nei confronti di Evolve S.p.A. 29 milioni di euro di crediti per IVA di gruppo relativa al mese di dicembre 2023, credito rimborsato nel mese di gennaio 2024.
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3) ed infine quali sono le iniziative che, nella vostra attività di direzione e coordinamento, avete posto in essere e che ancora avvierete per:
a) sanare al più presto queste gravi criticità a tutela, non solo dei crediti vantati da SNAM nei confronti di EVOLVE (a bilancio 2023 per totali ben 587/mln), ma soprattutto dei committenti incolpevoli.
b) evitare danni reputazionali che inevitabilmente ricadrebbero su SNAM, leader mondiale di impiantistica che apparirebbe incapace, di gestire e governare, anche se indirettamente, una pluralità di attività edili/impiantistiche, ancorché prese singolarmente, di relativamente modesto valore.
Nel corso del 2023, anche alla luce della significativa evoluzione del contesto normativo di riferimento, Snam S.p.A. ha principalmente supportato Evolve S.p.A. nella gestione dei cantieri dando priorità alla sicurezza e alla qualità dei lavori. Ciò ha comportato per Evolve S.p.A. di dover sostituire alcune imprese sub appaltatrici e di dover revisionare i relativi cronoprogrammi. Gli eventuali impatti di questa riprogrammazione sono stati inclusi nella pianificazione finanziaria di Evolve S.p.A. senza alcun aggravio economico nei confronti dei clienti finali.
Si segnala inoltre che nei primi mesi del 2023 è stato completato un intervento di audit alle attività di Evolve S.p.A., svolto dalla funzione Internal Audit di Snam S.p.A., in aderenza al Piano di Audit approvato dal Consiglio di Amministrazione di Snam S.p.A.
Ad esito delle evidenze di tale intervento il management si è impegnato ad irrobustire il sistema di controllo interno tramite un piano di azioni oggetto di monitoraggio. Si segnala inoltre che i processi commerciali ed operativi di Evolve S.p.A. saranno oggetto di ulteriori interventi di audit nel prossimo triennio.
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Assemblea Ordinaria di Snam S.p.A. 7 maggio 2024
Risposte a domande pervenute prima dell'Assemblea ai sensi dell'art. 127-ter del d.lgs. n. 58/1998
Domande pervenute dal Socio Marco Bava

1) Perché' la Snam continua a far credere che i suoi metanodotti possono trasportare idrogeno. In realtà si tratta di una smaccata operazione di greenwashing perché le tubature per il metano non sono idonee per il trasporto di idrogeno, essendo quest'ultimo un gas più espanso e soprattutto corrosivo. È possibile solo una miscelazione parziale che può arrivare al massimo al 10 per cento di idrogeno e al 90 per cento di metano, come dimostra lo stesso comunicato Snam relativo all'acquisto delle turbine per la centrale di compressione prevista a Case Pente?
Il trasporto di idrogeno mediante rete di gasdotti è normato a livello internazionale dallo standard americano ASME B.31.12 che definisce i criteri e le prescrizioni con cui progettare idrogenodotti nuovi o convertire al trasporto di idrogeno tubazioni utilizzate in precedenza per il trasporto di altri fluidi.
L'idoneità della quasi totalità dei metanodotti al trasporto di idrogeno, sia in blending sia al 100% di idrogeno, è stata ampiamente verificata dai trasportatori europei sulla base di tale standard, integrato da ulteriori campagne di test e verifiche volontarie sui materiali effettuate in cooperazione con vari enti di certificazione internazionali (es., campagne prove di OGE in Germania verificate da DVGW e certificazione di un tratto significativo della rete italiana, pari ad oggi a circa 1500 km, in progressiva estensione, a cura dell'istituto di certificazione e ingegneria Rina).
Il comunicato Snam cui si fa riferimento è relativo alle turbine a gas e non ai metanodotti, la cui idoneità è verificata fino a percentuali pari al 100%. Le turbine a cui ci si riferisce, nell'attuale configurazione, sono operabili con le percentuali indicate; con eventuali upgrade dei turbogruppi possono raggiungere percentuali crescenti, secondo esigenze.
2) ll Consiglio di Amministrazione di Snam ha approvato in data odierna il Piano Strategico 2023-2027. Il piano di Snam prevede 11,5 miliardi di euro di investimenti totali tra il 2023 e il 2027 (+15% rispetto al piano precedente) che si svilupperanno su due direttrici principali: infrastrutture per la decarbonizzazione ed Idrogeno Per la transizione energetica saranno destinati 1,2 miliardi di euro di cui 100 milioni di euro alla filiera dell'idrogeno. In particolare, Snam stanzierà 20 milioni per la fase di ingegneria del SoutH2 Corridor, il progetto PCI gestito in collaborazione di altri TSO europei (TAG, GCA e bayernets) che prevede la realizzazione di una dorsale dell'idrogeno lunga 3.300 km attraverso il Nord Africa, l'Italia, l'Austria e la

Germania. L'obiettivo del SoutH2 Corridor è quello di fornire a un prezzo competitivo l'idrogeno verde prodotto in Nord Africa ai principali cluster di domanda italiani ed europei. Snam è inoltre coinvolta in altri progetti ed iniziative H2 in Italia. Tra queste, la Hydrogen Valley a Modena e in Puglia, lo sviluppo di stazioni di rifornimento e la Gigafactory di elettrolizzatori in collaborazione di De Nora. Per quanto riguarda l'ammodernamento della rete saranno destinati 10,3 miliardi di euro di cui:
- 7,4 miliardi di euro dedicati al trasporto compresi gli investimenti relativi al potenziamento della Dorsale Adriatica, la sostituzione di circa 900 km di rete, la costruzione di stazioni di compressione dual fuel, le opere di collegamento con le FSRU e gli impianti di biometano;
- 1,4 miliardi di euro (rispetto a 1,3 miliardi del precedente piano) per l'ampliamento e l'upgrade dei siti di stoccaggio;
- 1,5 miliardi di euro (rispetto a 1,4 miliardi del precedente piano) destinati al GNL, con un aumento riconducibile alla messa in esercizio della FSRU di Ravenna, al ricollocamento della FSRU di Piombino, ai relativi investimenti infrastrutturali e alla realizzazione delle infrastrutture small-scale (Panigaglia e Pignataro) nel Nord e nel Sud Italia.
Snam mira a diventare nei primi anni del prossimo decennio l'operatore energetico pan-europeo nella realizzazione e gestione di infrastrutture multi-molecola per un futuro sostenibile, sicuro, digitale, connesso e inclusivo.
Tra il 2028 e il 2032 l'azienda prevede opportunità di investimento fino a 14,5 miliardi che, aggiungendosi ai 11,5 miliardi del piano attuale, arriveranno a un totale di circa 26 miliardi, nel periodo 2023-2032.
L'obiettivo sarà quello di mantenere l'affidabilità e la resilienza degli asset, completare gli investimenti per il rafforzamento della sicurezza e della flessibilità del sistema energetico e realizzare le opere infrastrutturali correlate alla dorsale dell'idrogeno e all'espansione dei progetti legati alla CCS. La Linea Adriatica potrà anche essere "hydrogen-ready", ma non lo sono le condotte che saranno collegate alla Linea Adriatica. Affinché la rete metanifera italiana possa trasportare idrogeno bisognerebbe sostituirla completamente, il che ovviamente non è possibile. L'idrogeno, inoltre, può avere un utilizzo limitato ad alcuni settori, come le industrie fortemente energivore come le centrali elettriche e i trasporti. Pertanto, è più logico e anche più conveniente produrlo in appositi distretti lì dove serve, come

nel caso del progetto IGE a Corfinio, e non portarlo attraverso enormi idrogenodotti che dovrebbero partire addirittura dal continente africano, come è nei progetti dell'ENI?
L'idrogeno rappresenta una soluzione particolarmente promettente per gli utilizzi nei settori dell'industria e della mobilità. In Italia ad oggi vengono utilizzati circa 17 Terawattora ("TWh") (0,5 milioni di tonnellante all'anno, "Mtpa") di idrogeno grigio, in particolare come feedstock nel settore della raffinazione e della chimica. Inoltre, fra i settori definiti hard-to-abate, come l'acciaio, la ceramica e il vetro, l'idrogeno può essere impiegato per la decarbonizzazione in sostituzione al gas proveniente da fonti fossili. Nella mobilità può avere impieghi per i trasporti stradali, ferroviari, marittimi e aerei.
Per soddisfare una crescente domanda di idrogeno e garantire costi competitivi, è importante guardare allo sviluppo di una catena del valore efficiente. Soluzioni di produzione locale che servono un cluster di utilizzatori industriali coesisteranno con soluzioni di produzione localizzate in regioni con abbondante produzione di elettricità rinnovabile a basso costo. Quando queste condizioni non siano verificate, e la produzione di idrogeno da elettricità rinnovabile avvenga a costi competitivi a centinaia/migliaia di km di distanza (esempio Sud Italia, Nord Africa), il trasporto via pipeline, tantopiù se pre-esistente (e solo da completare/adattare) è la soluzione più economica per l'utilizzatore finale.
Un vantaggio addizionale di questa configurazione, rispetto a uno sviluppo decentralizzato e poco coordinato, è di evitare aggravi al sistema elettrico, nonché costi aggiuntivi per stoccaggi elettrici e potenziamenti delle infrastrutture elettriche che a parità di energia trasportata risultano più onerosi. In termini di costi per il sistema, il repurposing di pipelines esistenti consente di ottimizzare il costo dell'infrastruttura che rimane comunque residuale rispetto al costo di produzione dell'idrogeno. Questa configurazione permette inoltre, di alimentare la domanda con idrogeno blu (prodotto da metano con CCS) per una fase transitoria e creare il mercato. E come ultimo vantaggio, segnaliamo che sviluppare da subito un'infrastruttura pronta per lo scale-up della domanda e l'export, favorirà gli utilizzatori italiani serviti nella prima parte della backbone,
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alleggerendo il sistema italiano di parte dei costi di sviluppo delle infrastrutture che potranno essere allocati anche ai beneficiari dell'export. Per quanto riguarda infine la compatibilità dei metanodotti esistenti al trasporto di idrogeno (incluse le linee che potranno essere collegate alla linea Adriatica) si veda la risposta alla domanda 1.
3) Anche l'affermazione secondo cui la Snam intende raggiungere la neutralità carbonica sulle emissioni dirette entro il 2040 è vera?
L'obiettivo di neutralità carbonica sulle emissioni dirette al 2040 (cioè emissioni Scope 1 e di Scope 2) fa parte dei target ufficiali di decarbonizzazione della Società; a questo si aggiungono obiettivi di riduzione emissioni intermedi (al 2027-2030-2032) e l'obiettivo di net zero su tutte le emissioni (incluse Scope 3), al 2050. Al fine di conseguire questi obiettivi l'azienda ha messo a punto una serie di iniziative di investimento, quali ad esempio la sostituzione di una parte delle turbomacchine con elettrocompressori, nonché un ampio programma di azioni, a cominciare da quelle già in corso da anni e in continuo arricchimento sull'intercettazione delle emissioni fuggitive di metano, che hanno consentito di conseguire gli obiettivi di riduzione precedentemente fissati con oltre tre anni di anticipo.
4) Impianti come le centrali e i gasdotti hanno una vita tecnica di almeno 50 anni, durante i quali vengono spalmati gli enormi costi di costruzione che saranno pagati dai cittadini attraverso la bolletta energetica. Se la Snam avesse davvero come obiettivo il raggiungimento della neutralità carbonica entro il 2040 non dovrebbe costruire affatto questi nuovi impianti fossili che, se i programmi saranno rispettati, saranno pronti nella seconda metà di questo decennio. Quando sarà ancora più evidente ciò che è platealmente evidente già da oggi, e cioè che la centrale di Case Pente e la Linea Adriatica non servono assolutamente a nulla. L'unica ragione per cui la Snam costruisce tali impianti è perché realizza lauti guadagni su un appalto che è lievitato fino a 2 miliardi e 500 milioni di euro, che in parte saranno pagati dalla Unione Europea?
In relazione alla neutralità carbonica di Snam, rimandiamo alla risposta alla precedente domanda 3.

In relazione ai progetti citati (i.e. Linea Adriatica), essi sono stati valutati sulla base di un'analisi costi-benefici condotta secondo la metodologia prevista dalla normativa vigente nel rispetto di tutti i criteri di trasparenza previsti.
La domanda di gas utilizzata per tali analisi costi-benefici è quella degli scenari elaborati congiuntamente con l'operatore della rete elettrica nazionale (Terna), che considerano come riferimento la Legge Europea sul clima (rif. Regolamento UE 2021/1119), che sancisce l'obiettivo dell'UE di raggiungere la neutralità climatica ("Net Zero") entro il 2050 e l'obiettivo intermedio di ridurre le emissioni di gas a effetto serra di almeno il 55% entro il 2030 rispetto ai livelli del 1990 (Fit-For-55).
Nel caso della Linea Adriatica, peraltro, il progetto è stato giudicato di interesse strategico per la sicurezza energetica nazionale ed europea dal Governo italiano e dalla Commissione Europea, che ha deciso di destinare risorse finanziarie specifiche per la sua realizzazione nell'ambito del programma RePowerEu (per maggiori dettagli si veda la risposta alla domanda 5).
5) La rete metanifera del nostro Paese è stata in grado di trasportare e distribuire nel 2005 86,2 miliardi di metri cubi di gas; nel 2023 i consumi di metano sono crollati a 61,5 miliardi di metri cubi e tutte le previsioni dicono che continueranno a scendere. L'talia ha sostituito quasi del tutto il gas russo con altre fonti senza che ci fosse la Linea Adriatica e non ha alcun problema di approvvigionamento, tanto che continua ad esportare all'estero il metano in surplus. La loro inutilità è sotto gli occhi di tutti? La Linea Adriatica costituisce un'infrastruttura energetica essenziale che riveste un ruolo strategico per la sicurezza e la resilienza del sistema gas nazionale, per la diversificazione delle fonti di approvvigionamento e per il rafforzamento della competitività del mercato, così come rimarcato nell'articolo 5 del decreto-legge 17 maggio 2022, n. 50 e ss.mm.ii., convertito in legge 15 luglio 2022 n. 91, recante "Misure urgenti in materia di politiche energetiche nazionali, produttività delle imprese e attrazione degli investimenti, nonché in materia di politiche sociali e di crisi ucraina". Tali valutazioni si basano sulla necessità di assicurare il soddisfacimento dei fabbisogni di domanda gas giornaliera previsti in diversi scenari, ivi inclusi quelli relativi a inverni particolarmente rigidi e a scarsità di GNL sul

mercato spot, nonché di garantire il necessario sostegno al sistema elettrico. Va infatti considerato che lo sviluppo delle fonti di energia rinnovabili - per loro natura non programmabili - richiede che il sistema gas continui ad assicurare il necessario sostegno al sistema elettrico, garantendo la produzione termoelettrica in assenza di produzione rinnovabile.
In questo contesto, anche alla luce delle intese del Governo con i Paesi del Nord Africa e del Caspio volte a gestire aumenti delle importazioni di gas nei punti di ingresso di Mazara del Vallo, Gela e Melendugno, a cui si aggiungono le recenti iniziative di sviluppo di nuove produzioni nazionali off-shore nel canale di Sicilia e nell'area Ionica, lo sviluppo della Linea Adriatica, che permetterà di portare l'attuale capacità di trasporto lungo la rotta Sud-Nord da ca. 126 milioni di standard metri cubi ("Smc") /giorno a 150 milioni di Smc/giorno, risulta essenziale.
6) Non vi rendete conto che la Valle Peligna e l'intero Appennino sono diventati "territori di sacrificio", al servizio esclusivo degli interessi di una multinazionale, senza alcun vantaggio né economico né occupazionale per la popolazione; ma avendone in cambio, anzi, devastazione ambientale, rischi per la sicurezza e la salute dei cittadini, e ulteriore impoverimento del tessuto economico e sociale?
Snam da sempre presta particolare attenzione ai rapporti con il territorio e le comunità locali ed al tema del mantenimento della biodiversità: entrambe queste aree sono parte dei pilastri della nuova strategia di sostenibilità. Nel 2023 Snam è stata una delle prime società a misurare scientificamente il proprio impatto sulla biodiversità ed a prendere impegni per avere al 2027 un impatto positivo sulla natura. Tali attività sono complementari all'approccio di attenzione al territorio sempre avuto in ogni fase di realizzazione e gestione delle nostre infrastrutture, dalla scelta dei percorsi tecnicamente più idonei e meno impattanti sull'ambiente al totale ripristino post-operam. La presenza dell'infrastruttura di trasporto non limita, specialmente nei territori appenninici, le attività agricole ed anzi rappresenta un'opportunità a supporto di eventuali iniziative imprenditoriali locali di natura industriale. Inoltre, i lavori di esecuzione delle opere di Snam si svolgono nel pieno rispetto delle norme ambientali, di salute e sicurezza applicabili.
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7) Il Piano Mattei, uno dei pilastri della politica estera del governo Meloni è stato presentato durante la conferenza Italia-Africa tenutasi a Roma lo scorso fine gennaio. Il Piano è per ora una cornice appena abbozzata, nel quale rientra qualche progetto di sviluppo, si eseguono partite di giro con fondi già stanziati e si accenna a opere per la produzione di energia. Tra queste, per l'appunto, il Corridoio Sud dell'Idrogeno (o SouthH2Corridor). Un'infrastruttura mastodontica, un serpentone lungo 3.300 chilometri che dall'Africa del Nord dovrebbe giungere fino in Germania, passando per l'Italia. L'idrogeno sarebbe prodotto in buona parte in Tunisia. IL TRATTO NOSTRANO SI CHIAMERÀ Italian Hydrogen Backbone e sarà davvero la spina dorsale di un progetto particolarmente ambizioso. Il segmento italiano, da quanto si sa, dovrebbe essere composto per il 70 per cento da gasdotti già esistenti ri-adattati, o retrofitted che dir si voglia, per far circolare nelle loro tubature idrogeno. Un'operazione stimata in quattro miliardi di euro, che potrebbero essere coperti in buona parte da aiuti di stato. La Commissione europea ha dato infatti via libera alla richiesta di sette governi, tra cui Italia, Germania e Slovacchia, di sussidiare progetti per il trasporto e la produzione di idrogeno per 6,9 miliardi di euro. Si tratta di risorse che provengono dalle casse pubbliche di ciascun esecutivo e che quindi dovranno essere sottratte ad altri capitoli di spesa. LA COMMISSIONE EUROPEA HA ANCHE INCLUSO il Corridoio Sud dell'idrogeno nella nuova lista dei Progetti di Interesse Comune e di Interesse Mutuo: questo garantirà la possibilità di applicare procedure semplificate per la sua costruzione e ai proponenti di accedere a finanziamenti pubblici della Connecting Europe Facility, oltre che di istituzioni finanziarie come la Banca europea degli investimenti e la Banca europea per la ricostruzione e lo sviluppo (quest'ultima solo per la componente nordafricana). Già, i «proponenti». A spingere per il Corridoio, oltre a società tedesche e austriache di primo piano, spicca la Snam (30% di azioni in capo allo Stato), tra le corporation che da anni fanno pressione sulle istituzioni per chiedere sostegno economico e politico per la creazione di un mercato dell'idrogeno e tra i principali promotori della European Hydrogen Backbone, il macro-progetto infrastrutturale delle corporation del gas europee che ne sta alla base. SE IL PROGETTO VEDESSE LA LUCE, dichiarano le varie multinazionali dei tubi, si potrebbe coprire fino al 40% dei target di importazione di idrogeno previsti da RePower EU, calcolati in 20 milioni di tonnellate l'anno entro il 2030, di cui 10 milioni da fuori dall'Ue. IL CORRIDOIO SUD SAREBBE LA PRIMA DI CINQUE dorsali europee, per costi che si aggirano tra gli 80 e i 130

miliardi di euro. Insomma, quello dell'idrogeno è il nuovo business fiutato dalle multinazionali fossili, compresa la nostra Snam, per garantire lunga vita a infrastrutture fossili che grazie alla narrazione dell'idrogeno sembrano un po'più green, ma in realtà non fanno altro che perpetuare il caro, vecchio modello estrattivista?
È importante considerare il ruolo cruciale che l'idrogeno decarbonizzato può svolgere nella decarbonizzazione del settore industriale e dei trasporti. L'idrogeno prodotto da elettricità rinnovabile (verde) e, in fase transitoria, quello prodotto da metano catturando le emissioni CO2 (blu), rappresentano una soluzione di decarbonazione per l'industria hard-to abate laddove l'elettrificazione non arriva (altissime temperature). Lo stesso si può dire per il settore dei trasporti: e-fuels o fuel-cells sono soluzioni basate su idrogeno.
La costruzione di infrastrutture per l'idrogeno, come reti di distribuzione e stazioni di rifornimento per la mobilità, è necessaria per supportare l'adozione su larga scala di questa tecnologia e facilitare la sua diffusione. L'Italia ha il potenziale per diventare un hub strategico per l'idrogeno, grazie alle possibilità di utilizzo efficiente dell'infrastruttura esistente, alla prossimità geografica a siti di produzione di idrogeno rinnovabile a costi competitivi (Sud Italia/Nord Africa), alla disponibilità di approdi via mare per importazioni dal Medio Oriente ed alla disponibilità di siti di stoccaggio di energia (es., campi depletati). In particolare, il progetto SoutH2 Corridor prevede la produzione di idrogeno prodotto da elettrolisi alimentata da fonti di energia rinnovabile in Nord Africa e trasportato in Italia ed Europa Centrale tramite una pipeline dedicata.
È importante ricordare che il ruolo di Snam, così come previsto dalla normativa europea sull'unbundling, si limita alla realizzazione delle infrastrutture per il trasporto dell'idrogeno e non si estende alle attività di produzione di questa molecola.
Per ulteriori considerazioni si rimanda alla risposta alla domanda 2.
8) Ma quanto idrogeno viene realmente prodotto oggi su scala globale? La domanda di idrogeno ha raggiunto 95 milioni di tonnellate ("Mton") nel 2022 (Global Hydrogen Review 2023 - IEA).

9) Secondo l'Agenzia Internazionale per l'Energia è molto poco idrogeno viene realmente prodotto oggi su scala globale: 95 milioni di tonnellate nel 2022, di cui 0,087 milioni sono stati prodotti da elettrolisi, un misero 0,1%, in cui va fatta rientrare anche la quota derivante dal nucleare – quindi saremmo addirittura sotto lo 0,1% di idrogeno verde. Come dire che la crescita dell'idrogeno verde alla base del Corridoio Sud va tutta verificata. POI C'E' UN IMMENSO PUNTO INTERROGATIVO su come verrebbe generato l'idrogeno verde, bollato da 500 organizzazioni della società civile africana come una «falsa soluzione»?
Il numero di progetti annunciati per la produzione di idrogeno a basse emissioni è in rapida crescita. La produzione annua di idrogeno a basse emissioni potrebbe raggiungere i 38 Mton nel 2030 (Global Hydrogen Review 2023 - IEA). Inoltre, la domanda di idrogeno è destinata a salire, in quanto l'idrogeno rinnovabile e low carbon sarà utilizzato sia per decarbonizzare i consumi esistenti sia per far fronte al suo utilizzo in nuove applicazioni, come il settore del calore ad alta temperatura, la mobilità pesante e il trasporto aereo e marittimo. Entro il 2050 la domanda di idrogeno pulito potrebbe rappresentare il 73-100% (da 125 a 585 milioni di tonnellante all'anno ("Mtpa")) della domanda totale di idrogeno, con solo meno di 1-50 Mtpa di domanda soddisfatta dall'idrogeno grigio, a seconda dello scenario. (Global Energy Perspective 2023: Hydrogen outlook - Mckinsey & Company)
Il 2023 è stato un anno decisivo nello sviluppo dell'idrogeno decarbonizzato a livello europeo. A febbraio 2023 sono stati pubblicati gli Atti Delegati alla Direttiva sull'Energia Rinnovabile, che stabiliscono le regole affinché l'idrogeno prodotto sia considerato un "renewable fuel of non-biological origins" (RFNBO), cioè un idrogeno prodotto tramite elettrolisi dell'acqua e da fonti di energia rinnovabile che garantisca una riduzione delle emissioni ≥70%. Questo riconoscimento ufficiale è un passo importante per promuovere l'uso dell'idrogeno verde come fonte energetica sostenibile. All'inizio del 2024 è stato pubblicato il "Gas & Hydrogen Decarbonization Package" che definisce l'idrogeno a bassa emissione di carbonio (low-carbon hydrogen); inoltre, lo scorso febbraio è stata pubblicata dalla Commissione la Carbon Management Roadmap, tesa
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a indirizzare le linee di sviluppo strategico per le soluzioni di cattura della CO2 in ambito europeo.
10) La desalinizzazione dell'acqua di mare per la produzione di idrogeno verde è dannosa anche per il nostro ecosistema marino. L'idrogeno verde per la produzione a basso valore aggiunto in Africa genera trappole economiche strutturali che dobbiamo superare». LA SOCIETA' CIVILE AFRICANA RIMARCA così le criticità di un progetto che, oltre all'accaparramento di terre (servono migliaia di ettari per le installazioni di energia rinnovabile e degli elettrolizzatori), presenta come elemento critico proprio quello dell'uso delle risorse idriche, che nel nord del continente non sono certo abbondanti, tanto che si dovrebbe attingere in maniera copiosa – e dannosa – dal mare. PER OTTENERE 9 LITRI DI ACQUA ULTRA PURA, necessari a produrre un chilo di idrogeno, servono almeno 13 litri di acqua dolce, e fino a 20 litri di acqua da desalinizzare. In paesi in buona parte desertici e semi desertici come Marocco e Tunisia, la realizzazione di impianti di desalinizzazione dedicati alla produzione di idrogeno rischia di acuire l'instabilità sociale su un tema delicato come quello dell'accesso all'acqua e sulla gestione della risorsa idrica. Un approccio neocoloniale in cui la politica italiana ed europea incentivano una visione «al servizio dei bisogni europei», che fa prevalere l'utilizzo dell'acqua per la produzione di energia sui bisogni di base della popolazione locale e sulla tutela di un ambiente fragile, che diventa così zona di sacrificio. Un corto-circuito in contrasto con la retorica di sostegno all'Africa tanto cara alla presidente del consiglio. Una spessa patina di «sviluppismo» un tanto al chilo per favorire gli interessi di multinazionali nostrane come Snam destinata a sciogliersi come neve al sole una volta che ne sapremo di più sul Piano Mattei. Mentre non credete più funzionale esportare dall'Africa all'Europa elettricità con elettrodotti? Gli elettrodotti possono comportare perdite significative di energia durante il trasporto dall'Africa all'Europa. Al contrario, il trasporto di idrogeno gassoso comporta perdite infinitesime (leakage, ben gestito da Snam). Secondariamente, l'idrogeno può essere generato sfruttando disponibilità eccessiva di elettricità rinnovabile - che altrimenti andrebbe persa - e rappresentare una soluzione di immagazzinamento energetico a lungo termine, consentendo di bilanciare l'offerta e la domanda di energia. Ciò è particolarmente utile per le energie rinnovabili intermittenti, che possono essere convertite in idrogeno durante i periodi di eccesso di produzione e utilizzate quando l'energia è richiesta.

11) Insomma, per ora è tutto fermo, probabilmente in attesa di "tempi migliori", ma ciò non toglie che le grandi manovre sul gas tra governo di Israele ed Eni siano effettivamente in corso. E rappresentano un'ulteriore conferma di come il cane a sei zampe stia rafforzando la propria posizione nel Mediterraneo, area storicamente molto rilevante per la società fondata da Enrico Mattei. Dal 2015, in particolare, la multinazionale fossile italiana è molto attiva nel quadrante orientale del "Mare Nostrum" con la scoperta e il successivo avvio delle attività estrattive (nel 2017) del giacimento di Zohr -considerato la più grande riserva di gas "naturale" del Mediterraneo, con riserve stimate in 850 miliardi di metri cubi- all'interno della Zona economica esclusiva (Zee) dell'Egitto. A questo si sono poi aggiunte varie assegnazioni per l'esplorazione nelle altre Zee cipriote e libanesi, fino a quelle recenti assegnate da Israele. Per comprendere meglio il contesto, va evidenziato come, negli ultimi due anni, l'Egitto sia stato il Paese chiave per l'esportazione di gas israeliano verso l'Europa. Nel giugno 2022, l'Unione europea ha siglato un accordo trilaterale orientato alla sicurezza energetica con Egitto e Israele. Accordo di cui Eni ha beneficiato grazie proprio terminal egiziano (Damietta Lng): l'infrastruttura era rimasta ferma dal 2012 fino a febbraio 2021 per un contenzioso tra Eni e la società spagnola Union Fenosa Gas. Ma anche negli anni successivi era rimasto sottoutilizzato fino allo scoppio della guerra in Ucraina. Anche Snam, altro grande player dell'industria fossile italiana, ha tratto un grosso vantaggio economico dall'intesa: è infatti azionista del gasdotto al Arish-Askhelon che permette di esportare il gas estratto nei giacimenti sottomarini verso l'Egitto. Gli ultimi incontri tra i vertici del governo italiano con quelli israeliani hanno "agevolato" la presenza di Eni. Il primo meeting ufficiale si è svolto a marzo 2023, in quell'occasione Benjamin Netanyahu ha portato a casa un'importante intesa commerciale con Leonardo per lo sviluppo di un nuovo sistema laser ed è stata occasione per iniziare a discutere di una possibile collaborazione con Eni. Ma è nel corso dell'ultimo incontro, datato fine ottobre 2023, quindi già in pieno conflitto, che il ministro dell'Energia di Netanyahu ha concesso le tanto contestate licenze. I giacimenti, infatti, si trovano in acqua profonde all'interno dei confini marittimi dichiarati dallo Stato palestinese nel 2019 in conformità con le disposizioni della Convenzione delle Nazioni Unite sul diritto del mare (Unclos) del 1982 firmata dalla Palestina nel 2015. Più precisamente, lo studio legale Foley Hoag sostiene che il 62% della cosiddetta "Zona G" sia di competenza palestinese. Da qui la richiesta a Eni di fermare

qualunque attività nell'area per evitare la possibile complicità in violazione di normative internazionali. Se l'attività di esplorazione dovesse dare i frutti sperati, la multinazionale fossile italiana potrebbe richiedere delle licenze di estrazione. Con un ulteriore effetto paradossale: dovrebbe pagare le royalties per l'estrazione di gas allo Stato con cui ha siglato un accordo commerciale (Israele), ignorando però completamente il secondo interlocutore: l'Autorità nazionale palestinese che, in base a quanto previsto dagli Accordi di Oslo, è competente anche sul territorio della Striscia di Gaza.
Il tema non è pertinente.
12) Todde, già sottosegretaria al ministero dello Sviluppo economico ai tempi del governo Conte II, è stata l'autrice di una proposta alternativa, con la creazione di due "virtual pipelines", che avrebbero comunque portato il metano nell'isola, la costruzione di un rigassificatore e l'istallazione di due FSRU a Porto Torres e Portovesme, oltre alla costruzione di oltre 400 chilometri di nuovi gasdotti. Sembrava non se ne dovesse fare più nulla, invece negli ultimi giorni c'è stata la sorpresa del nuovo accordo ministero-Regione. Se non ci saranno più passi indietro, il grande vincitore della partita sarà SNAM in quanto potrà partecipare alla definizione del progetto, che "spinge" da sempre. Gli interessi di Snam sono evidenti in quanto per ogni infrastruttura di import, di stoccaggio e di distribuzione di metano la società di San Donato Milanese ha accesso a sussidi statali che riducono al minimo il rischio di impresa a spese dei contribuenti. SNAM si continua a trovare in una situazione nella quale più infrastrutture gestisce, più viene ricompensata dallo Stato. Proprio per questo continua a sponsorizzare nuovi progetti: al momento oltre alla metanizzazione della Sardegna, ci sono gli impianti di GNL di Vado Ligure e Ravenna, la Dorsale Adriatica e il raddoppio del gasdotto Tap. In questo modo SNAM ci legherà per almeno un ventennio al gas fossile. Non è forse giunto il momento che qualcuno fermi tutto questo e compia delle scelte coraggiose indirizzate verso una giusta transizione realmente "libera" dal gas?
Come riportato precedentemente, i progetti che Snam deve sviluppare sono il risultato di un processo che ne valuta i costi e i benefici rispetto agli scenari di decarbonizzazione di riferimento. Visto il loro ruolo, gli interventi citati sono anche stati richiamati come prioritari nella bozza di Piano Nazionale Italiano Energia e Clima inviata dal Ministero Ambiente e Sicurezza Energetica alla Commissione Europea a giugno 2023.
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Degli investimenti sopra citati, si precisa invece che il raddoppio del Trans Adriatic Pipeline è una decisione che verrà presa dalla società stessa, a valle delle offerte legate al market test.
13) Nel 2020 Snam, una delle principali società di infrastrutture energetiche al mondo, ha fondato una piccola entità dal quanto mai significativo nome di Arbolia. In quanto società benefit, Arbolia non ha prevalente finalità di profitto, ma punta a raggiungere obiettivi socio-ambientali. Come? Arbolia "realizza" boschi urbani, perché, come si legge sul sito web della società, questi hanno la capacità di sottrarre anidride carbonica dall'atmosfera, essenziale per "combattere la crisi climatica". Un secondo valore costantemente indicato da Arbolia si riferisce all'assorbimento di PM 10, le polveri sottili, particolarmente dannose per la salute, la cui origine si deve in gran parte ai processi di combustione. Altri servizi citati da Arbolia riguardano la tutela della biodiversità e il miglioramento della qualità dell'aria. Infine, si cita anche il valore sociale ed economico che le iniziative di forestazione possono produrre. Per il 2022 la società prevedeva di arrivare a un assorbimento di CO2 (proiettato su 20 anni) pari a 7.000 tonnellate, traguardo dichiarato raggiunto con la piantumazione di 66.000 piante. Parliamo quindi di circa 350 tonnellate all'anno in media. Snam, per fare un esempio, nell'ultimo report sulla sostenibilità ha dichiarato emissioni per 2,8 milioni di tonnellate per il 2022, circa 8.000 volte l'assorbimento annuale generato dai progetti di Arbolia. Ma tutto questo serve davvero? Uno studio realizzato da Valerio Bini (Università degli Studi di Milano), Stefania Albertazzi (Università degli Studi di Milano) e Francesca Giacometti (Master Global Change Management, Hochschule für nachhaltige Entwicklung Eberswalde) attesta come i benefici siano molto parziali ed evidenzia come tutta l'operazione si innesti più nell'ormai fiorente settore del greenwashing, strumento sempre più impiegato dalle multinazionali del settore fossile, come Snam. In concreto, parliamo di 28 progetti di forestazione urbana realizzati dal 2020 a oggi, come riportato nella relazione di impatto del 2022 di Arbolia. Attualmente, alcuni di questi non sono ancora operativi o sono stati approntati da poco. La ricerca prende in considerazione un totale di 26 interventi distribuiti su 23 comuni, in 11 regioni italiane, con una prevalenza nel Nord Italia, le regioni più interessate sono il Veneto e la Lombardia. I progetti sono portati avanti attraverso un accordo tra l'amministrazione locale e Arbolia, che si occupa della realizzazione dell'intervento e della sua manutenzione nei primi due anni di vita, dopo aver ottenuto un

finanziamento da una o più imprese private. I finanziatori dei progetti sono di norma imprese di grandi dimensioni, attive nei settori del gas, dell'energia e delle telecomunicazioni, nella maggior parte dei casi legati alle attività di Snam. Snam stessa risulta promotrice di vari progetti, o direttamente (Pignataro Maggiore, San Donato Milanese, Vicenza Sant'Agostino) o attraverso sue controllate come Renovit (Taranto, Poirino, Treviglio). Altre aziende promotrici dei progetti sono attive nell'ambito delle infrastrutture per il settore Oil&Gas (Max Streicher, Tre Colli, Valvitalia, Sicim) o dei servizi (Rina). Secondo la Banca Mondiale ogni persona in Italia emette circa 5 tonnellate di CO2 all'anno, mentre mediamente un progetto di Arbolia assorbe 13 tonnellate di CO2 all'anno. Semplificando, potremmo dire che tutte le attività di Arbolia riescono a compensare le emissioni annuali di meno di 70 italiani. Se invece rapportiamo gli interventi con le emissioni delle società che finanziano i progetti di Arbolia, possiamo osservare la sproporzione esistente tra impatto ambientale e possibilità di "compensazione". Il caso più esplicativo è quello del rigassificatore di Livorno, per il quale la società OLT Offshore LNG Toscana, per il 49% in capo a Snam, dichiara emissioni annuali di gas a effetto serra pari a 74mila tonnellate per il 2021, a fronte di due progetti di riforestazione a Pisa e nella stessa Livorno, finanziati proprio dalla OLT, che sarebbero in grado di assorbire complessivamente una media di sole 20 tonnellate di gas all'anno. Il tutto è pari a un insignificante 0,027%. Per dare un ordine di grandezza più generale, Snam nell'ultimo report sulla sostenibilità ha dichiarato emissioni per 2,8 milioni di t per il 2022, circa 8000 volte l'assorbimento annuale generato dai progetti di Arbolia. Gli interventi di Arbolia fanno parte di un'ampia categoria di iniziative volte a compensare gli impatti socio-ambientali delle iniziative imprenditoriali che ha conosciuto una notevole crescita negli ultimi anni. L'assunto di base di questo tipo di progetti è che i danni all'ambiente e alle comunità prodotti da un intervento pubblico o, più spesso, privato, anziché evitati possano essere riequilibrati da interventi di uguale valore in un'altra parte del pianeta. Si tratta di una prospettiva che ha diversi punti deboli, a partire dalla premessa che i luoghi siano tutti intercambiabili. L'elemento che però presenta maggiori criticità è il fatto che risulta difficile misurare realmente l'impatto positivo o negativo di un intervento, considerando tutti gli aspetti ambientali, sociali, economici e culturali che questo produce. La comunità internazionale, tuttavia, a partire dalla firma del protocollo di Kyoto (1997), ha sviluppato l'idea che il valore più utile per misurare l'impatto dei progetti sia la quantità di CO2 emessa e assorbita. Anche Arbolia, nella
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presentazione dei suoi progetti, comunica in primo luogo questo valore, espresso in tonnellate di CO2 assorbite in 20 anni. All'interno degli accordi internazionali sul tema, si distinguono due tipologie di progetti: quelli certificati da agenzie indipendenti e quelli che vengono promossi al di fuori di una vera e propria certificazione. In questa seconda categoria possiamo includere i progetti di Arbolia. Accanto a questa forma di compensazione, espressa in tonnellate di CO2, occorre citare una seconda forma di compensazione che si riferisce alla produzione di spazi di valore socio-ambientale come risarcimento rispetto a interventi urbanistici di grande impatto (per esempio la costruzione di una grande infrastruttura). Anche in questo caso esiste una normativa che regola gli interventi di compensazione urbanistica ed esistono invece progetti che intendono risarcire la comunità locale in modo non formalizzato, come accade con i progetti di Arbolia. In alcuni casi i progetti di forestazione realizzati da Arbolia rientrano in iniziative più complessive delle amministrazioni locali per il miglioramento dell'ambiente urbano. È il caso di Parma, dove gli interventi sono inseriti nell'ambito di un programma di forestazione urbana in corso di realizzazione intorno alle vie ad alto scorrimento. In altri casi, hanno un carattere più puntuale e sono pensati come compensazione di operazioni urbanistiche con un significativo impatto ambientale. La legge italiana prevede un percorso specifico per la compensazione urbanistica per il quale un'amministrazione locale può chiedere a un'impresa responsabile di un progetto edilizio di realizzare opere che equilibrino l'impatto del progetto stesso. Il caso di Arbolia non rientra in questo ambito specifico perché le azioni sono sempre di tipo volontario, frutto di un accordo tra un'amministrazione locale, un'impresa che finanzia l'intervento e Arbolia che lo implementa. Tuttavia, i progetti di forestazione possono essere utilizzati dal punto di vista comunicativo da parte delle amministrazioni o delle imprese come una sorta di indennizzo per un'opera ad alto impatto socio-ambientale. Da parte delle amministrazioni un caso di questo tipo può essere quello di San Donato Milanese, comune che ospita la sede di Snam e dove il progetto di Arbolia si collega a un parco urbano creato come compensazione dell'intervento di espansione del Policlinico privato del gruppo San Donato. Da parte delle imprese invece c'è il caso di Pignataro Maggiore, dove nel 2021 è stata approvata la costruzione di un deposito di GAS Naturale Liquido (GNL) da parte di Snam e contemporaneamente è stata prevista la realizzazione dell'intervento di forestazione. Insomma, finché tutto si muove su basi volontarie e senza dei controlli e delle certificazioni severe ed affidabili, i dubbi sulla scarsa efficacia di questi progetti rimangono. Accanto all'assorbimento di gas serra

e polveri sottili, i progetti di Arbolia dovrebbero svolgere anche altre funzioni socioambientali. Un primo criterio per valutare questo aspetto riguarda la capacità (o meno) di questi interventi di connettere tra loro spazi "naturali" (non edificati). Da questo punto di vista, è possibile distinguere gli interventi di Arbolia in tre categorie: i progetti inseriti in spazi interstiziali, ai lati di grandi infrastrutture (autostrada, tangenziale, ferrovia), spazi cementati o stabilimenti industriali; quelli che si collocano all'interno di una più ampia zona agricola o boschiva, con potenzialità maggiori in termini ecologici; quelli infine ubicati all'interno di quartieri residenziali, che si configurano come giardini urbani. Nel caso di questi ultimi interventi si è considerata soprattutto la fruibilità dello spazio da parte della cittadinanza, più che la sua funzione di corridoio ecologico. Tra i 26 progetti presi in considerazione, quasi la metà a un valore socio-ecologico scarso o intermedio. Il progetto di Pisa è un esempio tra quelli più negativi. La riforestazione interessa un'area larga 10-20 metri e lunga quasi 1 chilometro, circondata sul lato est dalla ferrovia e da una strada statale e sul lato ovest da un cantiere navale, un parco fotovoltaico e un piccolo canale. In questo caso, il progetto si trova inserito in un contesto altamente cementificato, disconnesso dalle rare aree naturali o non edificate circostanti. La distanza tra ciò che viene comunicato e l'impatto socio-ambientale dei soggetti promotori degli interventi è ciò che definisce il cosiddetto "greenwashing", l'uso di iniziative di valore ambientale per migliorare l'immagine pubblica di soggetti con gravi responsabilità nei confronti della collettività. Questo, ad oggi, sembra il principale elemento di criticità di questi piccoli progetti di forestazione urbana. "Snam aumenta le proprie emissioni anno dopo anno: 2,8 milioni di tonnellate di CO2eq nel 2022, +19% rispetto al 2021, altro che sostenibilità. Senza contare gli impatti sulla salute e sull'ambiente derivate da tutta la filiera del GNL in cui Snam si è gettata a capofitto" ha dichiarato Elena Gerebizza di ReCommon. "Il problema non è la forestazione in sé, che nelle aree urbane di norma male non fa. La questione critica è che l'impatto positivo di questi interventi viene presentato come certo e rilevante quando invece è ipotetico ed estremamente limitato, soprattutto se comparato con le emissioni prodotte da Snam, peraltro in notevole aumento" ha affermato Valerio Bini, uno degli autori del rapporto. Quanto sono costati questi investimenti? Chi li ha proposti e con quali finalità?
Arbolia è nata come veicolo per facilitare la creazione di boschi urbani in Italia e per aumentare la consapevolezza pubblica sull'importanza delle oasi verdi; la società è responsabile della progettazione ed esecuzione di

iniziative che vengono sponsorizzate anche da terzi. Sul sito della società si può trovare per ogni progetto realizzato una scheda descrittiva con i principali dati di riferimento ed i benefici generati.
Non c'è relazione tra le attività di Arbolia (in minima parte sponsorizzate da Snam) e le emissioni di Snam. In Europa ad oggi non è presente un framework regolatorio che permetta di generare crediti di carbonio dalle attività di riforestazione. Arbolia supporta Snam solo per la compensazione delle emissioni legate agli eventi aziendali.
Inoltre, Arbolia ha supportato un lavoro con l'Università della Tuscia finalizzato alla verifica empirica dell'effettivo impatto positivo sulle emissioni in Italia. Infine, i boschi di Arbolia sono tutti collocati in Italia e pertanto facilmente verificabili.
14) Snam è il primo grande gruppo dell'energia che decide di realizzare la propria rete 5G. A questo scopo il principale operatore europeo del trasporto, dello stoccaggio e della rigassificazione del metano ha firmato con Vodafone Business un accordo per realizzare un'infrastruttura di rete privata ibrida, integrata in quella di Vodafone, e quindi disponibile su tutto il territorio nazionale coperto. La nuova infrastruttura fornirà copertura nei 23 impianti nazionali di Snam. I due gruppi spiegano che il ricorso alla tecnologia 5G «permetterà di connettere contemporaneamente un numero elevato di dispositivi e abiliterà servizi e soluzioni innovative, accelerando così la transizione energetica in Italia». Infatti, la transizione è legata in forte misura alla gestione digitale dei dispositivi. A beneficiare della tecnologia 5G saranno, ad esempio, la sensoristica di campo, come ad esempio misuratori di pressione, vibrazione e altri dispositivi in grado di raccogliere localmente grandi quantità di dati e di inviarli alla centrale; telecamere e sensori antintrusione; applicazioni per la telediagnostica e il monitoraggio degli impianti; soluzioni di realtà aumentata e realtà virtuale per la formazione dei tecnici e per l'assistenza da remoto. L'infrastruttura ibrida «migliorerà la copertura veloce 4G e 5G con vantaggio sia delle popolazione locale attraverso la rete pubblica sia del personale Snam all'interno degli stabilimenti, grazie alla realizzazione di coperture dedicate, con la garanzia dei più elevati standard di sicurezza nella trasmissione e segregazione dei dati». Alessandro Magnino, di Vodafone Business Italia, dice che l'infrastruttura di rete 5G consentirà di mettere a valore «tutti i vantaggi di questa tecnologia: la banda ultralarga, la bassa latenza, la possibilità di raccogliere una quantità straordinaria di dati e – non

ultima, data l'importanza cruciale del settore in cui opera Snam – la sicurezza». Giorgio Veronesi, di Snam, spiega che «la soluzione che ci propone Vodafone coniuga i benefici del 5G pubblico e del 5G privato, garantendoci elevati livelli di prestazione, disponibilità ed affidabilità». Quanto ci è costato?
La soluzione, selezionata in maniera competitiva sulla base di requisiti tecnici ed economici fra alcuni dei principali operatori di telecomunicazioni in Italia, integra le coperture di telefonia pubbliche esistenti, fornendo servizi di telefonia e di dati su rete 5G, dedicati al personale ed agli impianti. Questa soluzione permette un miglioramento dell'efficacia delle telecomunicazioni ed una riduzione dei costi di fonia, di connettività e di cablaggio, in aree che hanno bassa copertura "commerciale" da parte degli operatori di telecomunicazioni.
15) Quanto si è speso per attività di lobbying? Per cosa? Quando?
La Società non ha sostenuto spese dirette per attività di lobbying ma aderisce soltanto ad associazioni e centri studi in cui vengono rappresentate le diverse posizioni dell'azienda nei confronti degli stakeholder istituzionali.
16) I certificatori di bilancio fanno anche una consulenza fiscale?
Snam non ha richiesto consulenze fiscali al revisore di bilancio. Per completezza indichiamo che Snam ha richiesto delle attestazioni, alcune delle quali devono essere rilasciate dal revisore di bilancio per espressa disposizione di legge (ad esempio quelle relative al credito d'imposta per la Ricerca e Sviluppo).
17) Esiste un conto del Presidente? Di quale ammontare è stato? Per cosa viene utilizzato?
Non esiste alcun conto del Presidente.
- 18) Avete avuto attacchi ai dati con richiesta di riscatti dagli hacker? Non ci sono stati attacchi con richiesta di riscatto.
- 19) Quanto avete investito in cybersecurity?

Nell'arco di piano 2023-2027 sono previsti investimenti complessivi in tecnologia e infrastruttura tecnologica (DT&T) per circa 400 milioni di euro, di cui una parte dedicata alla Cyber Security. Nel solo 2023 sono stati spesi circa 25 milioni di euro.
20) Avete un programma di incentivazione e retribuzione delle idee?
L'azienda annualmente ingaggia tutti i dipendenti nella condivisione di proposte di miglioramento su tematiche di rilievo per il business; non sono previsti riconoscimenti economici.
21) AVETE ADOTTATO la ISO 37001 ed i Sistemi di Gestione Anti-Corruzione?
Snam nel corso del 2022 ha avviato un progetto di implementazione del proprio "Compliance Program Anticorruzione" ai sensi della norma ISO 37001:2016 "Sistema di Gestione per la Prevenzione della Corruzione", anche al fine di confermare ed attestare il proprio impegno alla lotta alla corruzione.
A maggio 2023 la Società ha ottenuto la certificazione ISO 37001:2016 da parte dell'organismo di certificazione terzo DNV Business Assurance Italia S.r.l.
La Società ha strutturato un sistema di gestione anticorruzione i cui principali documenti di riferimento sono: (i) il Codice Etico; (ii) la Politica Anticorruzione, redatta ai sensi della norma UNI ISO 37001:2016 e approvata dal Consiglio di Amministrazione di Snam del 18 gennaio 2023 quale espressione dell'impegno del top management nella prevenzione del rischio corruzione; e (iii) la Linea Guida Anticorruzione, pubblicata a febbraio 2019 e aggiornata nel 2023, che racchiude il quadro sistematico di riferimento degli strumenti normativi anticorruzione adottati da Snam.
A seguito del previsto audit di mantenimento, che ha evidenziato l'assenza di non conformità, la Società ha ottenuto la conferma del mantenimento della Certificazione ISO 37001 a marzo 2024.
22) IL PRESIDENTE, i consiglieri d'amministrazione ed i sindaci CREDONO NEL PARADISO?
La domanda non è pertinente.

23) SONO STATE CONTESTATE MULTE INTERNAZIONALI?
La Società non è a conoscenza di multe internazionali contestate alla medesima.
24) SONO STATE FATTE OPERAZIONI DI PING-PONG SULLE AZIONI PROPRIE CHUSE ENTRO IL 31.12? CON QUALI RISULTATI ECONOMICI DOVE SONO ISCRITTI A BILANCIO?
È opportuno precisare che Snam non effettua trading su azioni proprie o di altre società quotate e pertanto non ha mai effettuato operazioni di "ping pong".
25) A chi bisogna rivolgersi per proporre l'acquisto di cioccolatini promozionali, brevetti, marchi e startup?
Snam lavora solo con fornitori qualificati. Il processo di qualifica, semplice e trasparente, è aperto a tutti. Per poter avviare tale processo basta iscriversi sul portale fornitori di Snam www.snam.it
26) Avete intenzione di realizzare iniziative in favore degli azionisti come i centri medici realizzati dalla BANCA D'ALBA?
È opportuno ricordare che rispetto all'esempio citato, Snam non è una società cooperativa. Snam, attraverso la Fondazione ETS nata nella seconda metà del 2017, ha avviato e avvierà una serie di iniziative per i propri stakeholder in ottica di sviluppo ad impatto sociale dei territori nei quali opera. Ad esempio, nel 2023 i progetti della Fondazione hanno raggiunto 32.350 beneficiari.
27) TIR: TASSO INTERNO DI REDDITIVITA' MEDIO e WACC = TASSO INTERESSI PASSIVI MEDIO PONDERATO?
Nell'anno 2023 il tasso medio lordo degli interessi passivi è stato pari a circa il 2% mentre il tasso interno di redditività medio (calcolato come rapporto tra utile netto adjusted ed equity, ROE o Return on Equity) è stato pari a circa il 15,3%.
28) AVETE INTENZIONE DI CERTIFICARVI BENEFIT CORPORATION ed ISO 37001?

Alcune società controllate da Snam sono già B-Corp (Renovit) o benefit company (Arbolia); ad oggi non è previsto che la Società segua il loro percorso.
Con riferimento alla certificazione ISO 37001, vedasi risposta alla domanda 21.
29) Avete intenzione di fare le assemblee anche via internet?
Da anni la Società consente di assistere all'Assemblea degli Azionisti attraverso un webcast disponibile sul sito web della Società. Lo Statuto sociale di Snam, tuttavia, non prevede l'intervento in assemblea mediante mezzi di telecomunicazione.
- 30) A quanto sono ammontati i fondi europei per la formazione e per cosa li avete usati? La Società non usufruisce dei fondi europei per la formazione.
- 31) Avete in progetto nuove acquisizioni e/o cessioni?
Non sono previste nel piano industriale significative cessioni o acquisizioni. Qualora Snam dovesse procedere con acquisizioni o cessioni significative le comunicherà prontamente al mercato nel rispetto della normativa vigente.
32) Il gruppo ha cc in paesi ad alto rischio extra euro?
Il gruppo Snam non ha conti correnti in Paesi ad alto rischio extra euro.
- 33) Avete intenzione di trasferire la sede legale in Olanda? La Società non ha intenzione di trasferire la sede legale.
- 34) Avete intenzione di proporre le modifiche statutarie che raddoppiano il voto? Allo stato attuale, la Società non ha esaminato o valutato proposte di modifiche statutarie per introdurre il voto maggiorato.
- 35) Avete call center all'estero? se sì dove, con quanti lavoratori, di chi è la proprietà? La Società non ha call center all'estero.
- 36) Siete iscritti a Confindustria? se sì quanto costa? avete intenzione di uscirne?

La Società è iscritta alle associazioni territoriali di Confindustria a cui ha versato, in virtù del numero di dipendenti delle società del Gruppo, nell'anno 2023 un importo pari a a euro 240.261. Per il 2024 non è in programma la cancellazione dalle associazioni territoriali di Confindustria nelle province interessate dalle sedi operative della Società.
37) Come è variato l'indebitamento e per cosa?
Le informazioni di dettaglio sulla variazione delle poste che compongono l'indebitamento finanziario netto sono fornite nella Relazione finanziaria annuale 2023 e nella presentazione "full year results" per il 2023, pubblicati sul sito internet https://www.snam.it/it/documenti.html. Al 31 dicembre 2023, ultimo dato pubblico, la posizione finanziaria netta del Gruppo al 31 dicembre 2023 è pari a 15.270 milioni di euro.
38) A quanto ammontano gli incentivi incassati come gruppo suddivisi per tipologia ed entità?
Le informazioni sulle erogazioni pubbliche ricevute da entità pubbliche italiane a favore del gruppo Snam, ai sensi dell'art. 1, commi 125-129, della Legge n. 124/2017 sono riportate alla nota n. 38 delle Note di commento al bilancio consolidato.
39) Da chi è composto l'odv con nome cognome e quanto ci costa?
L'Organismo di Vigilanza della Società è attualmente costituito dai seguenti tre componenti esterni, esperti in tematiche giuridiche, societarie, di economia e di organizzazione aziendale: Prof. Giovanni Maria Garegnani (Presidente), Dott.ssa Greta Nasi e Avv. Federica Rinaldini. Il compenso annuo lordo allo stato è stabilito in 50.000 euro per il Presidente e 30.000 euro per ciascuno degli altri componenti.
40) Quanto costa la sponsorizzazione il Meeting di Rimini di Cl o altre? Per cosa e per quanto?
La sponsorizzazione per il Meeting di Rimini nel 2023 è ammontata a 25 mila euro, in continuità con l'anno precedente (25 mila euro nel 2022). Nel 2023 il costo complessivo per le sponsorizzazioni di tutto il gruppo Snam è ammontato a 837 mila euro (contro 800 mila euro nel 2022 e 1,1

milioni di euro nel 2021). Le liberalità sono ammontate a 215 mila euro (contro i 60 mila euro del 2022). Sono state erogate inoltre, vista l'eccezionalità degli eventi in aree particolarmente significative per Snam, due donazioni in stato di emergenza per le alluvioni in Emilia-Romagna (500.000 euro al Comune di Ravenna) e Toscana (200.000 euro alla Regione Toscana). Ogni proposta di sponsorizzazione, liberalità e iniziativa per il territorio è preventivamente valutata secondo regole di rilevanza, interesse, congruità e trasparenza e il processo è governato dal sistema di controllo interno anticorruzione.
41) POTETE FORNIRMI L'ELENCO DEI VERSAMENTI e dei crediti AI PARTITI, ALLE FONDAZIONI POLITICHE, AI POLITICI ITALIANI ED ESTERI?
Snam non ha effettuato finanziamenti diretti o indiretti a partiti, movimenti, comitati e organizzazioni politiche e sindacali, a loro rappresentanti e candidati, in Italia e all'estero. L'erogazione di tali contributi è vietata dal Codice Etico e dalla Linea Guida Anticorruzione di Snam. Tali documenti sono disponibili sul sito web della Società anche in inglese.
42) AVETE FATTO SMALTIMENTO IRREGOLARE DI RIFIUTI TOSSICI?
La dicitura "rifiuti tossici" in normativa è stata sostituita da "rifiuti pericolosi", per i quali si precisa che la relativa gestione è attuata da Snam nel rispetto della normativa di settore.
- 43) QUAL'E' STATO l'investimento nei titoli di stato, GDO, TITOLI STRUTTURATI? Non vi sono investimenti in titoli di Stato o titoli strutturati.
- 44) Quanto è costato lo scorso esercizio il servizio titoli? e chi lo fa? Il c.d. "servizio titoli" è svolto da un soggetto terzo specializzato, Computershare S.p.A. Il costo del servizio nel 2023 è stato pari a circa 45.600 euro.
- 45) Sono previste riduzioni di personale, ristrutturazioni? delocalizzazioni? Non sussistono al di là del fisiologico turn over, riduzioni di personale/ristrutturazioni/delocalizzazioni.

46) C'è un impegno di riacquisto di prodotti da clienti dopo un certo tempo? come viene contabilizzato?
Non esiste alcun impegno di riacquisto di prodotto da clienti.
47) Gli amministratori attuali e del passato sono indagati per reati ambientali, RICICLAGGIO, AUTORICLAGGIO O ALTRI che riguardano la società? CON QUALI POSSIBILI DANNI ALLA SOCIETA'?
Snam non è a conoscenza di indagini che coinvolgano amministratori attuali e del passato per reati che riguardano la Società.
48) Ragioni e modalità di calcolo dell'indennità di fine mandato degli amministratori.
Per l'Amministratore Delegato, in coerenza con le prassi dei mercati di riferimento, è prevista un'indennità per la cessazione del rapporto di amministrazione e del rapporto dirigenziale. Alla risoluzione contestuale di entrambi i rapporti, in connessione con il mancato rinnovo del mandato alla sua scadenza o con la risoluzione anticipata del mandato, in linea con i benchmark di mercato e con le linee guida di voto dei proxy advisor, è previsto un CAP alla severance calcolato come due annualità della remunerazione fissa annuale integrata della media dell'Incentivo Monetario Annuale erogato nell'ultimo triennio, comprensivo di eventuale indennità di mancato preavviso. L'indennità non è dovuta se la risoluzione dei rapporti di lavoro avviene per giusta causa o per il licenziamento con preavviso per ragioni di carattere soggettivo integranti la nozione di giustificatezza ai sensi del contratto collettivo o nel caso di dimissioni. Non è previsto alcun patto di non concorrenza.
Per gli altri amministratori non è previsto alcun accordo di fine mandato.
49) Chi fa la valutazione degli immobili? Quanti anni dura l'incarico?
In accordo con quanto previsto dalle nostre regole interne, la valutazione degli immobili in occasione di operazioni di compravendita viene effettuata da advisor convenzionati con i quali esistono specifici accordi quadro negoziati a fronte di gara. Allo stato attuale abbiamo due contratti di durata biennale, con opzione di rinnovo annuali per due ulteriori anni.

50) Esiste una assicurazione D&O (garanzie offerte importi e sinistri coperti, soggetti attualmente coperti, quando è stata deliberata e dà che organo, componente di fringe-benefit associato, con quale broker è stata stipulata e quali compagnie la sottoscrivono, scadenza ed effetto scissione su polizza) e quanto ci costa?
Snam è dotata di una polizza D&O a copertura delle richieste di risarcimento danni da parte di terzi per atti compiuti nello svolgimento delle proprie mansioni da amministratori, sindaci e ogni altra figura manageriale della Società. La polizza è sottoscritta con primarie compagnie di assicurazione selezionate a seguito di una gara. Le condizioni della polizza sono in linea con le best practice di mercato.
51) Sono state stipulate polizze a garanzia dei prospetti informativi (relativamente ai prestiti obbligazionari)?
Non sono state stipulate specifiche polizze a garanzia dei prospetti informativi.
52) Quali sono gli importi per assicurazioni non finanziarie e previdenziali (differenziati per macroarea, differenziati per stabilimento industriale, quale struttura interna delibera e gestisce le polizze, broker utilizzato e compagnie)?
Snam stipula polizze assicurative a copertura dei rischi inerenti ai propri asset e le proprie persone e a copertura dei danni a terzi i cui massimali e le cui condizioni sono in linea con le best practice di mercato.
Le polizze sono emesse in parte dalla compagnia captive del gruppo e in parte da primarie compagnie di assicurazione, selezionate tramite processi di gara.
Le polizze sono gestite dalle competenti funzioni interne di Snam, in conformità al programma assicurativo di gruppo. Il costo per assicurazioni è fornito nella Relazione finanziaria annuale 2023 pubblicata sul sito internet https://www.snam.it/it/documenti.html.
53) VORREI SAPERE. Quale è l'utilizzo della liquidità (composizione ed evoluzione mensile, tassi attivi, tipologia strumenti, rischi di controparte, reddito finanziario ottenuto, politica di gestione, ragioni dell'incomprimibilità, quota destinata al TFR e quali vincoli, giuridico operativi, esistono sulla liquidità)

Al 31 dicembre 2023 le disponibilità liquide e mezzi equivalenti di 1.382 milioni di euro (1.757 milioni di euro al 31 dicembre 2022) si riferiscono principalmente a conti correnti e depositi bancari in euro (1.209 milioni di euro) presso controparti di elevato standing creditizio che rappresentano l'impiego della liquidità posseduta per le esigenze finanziarie del gruppo e alle disponibilità liquide rivenienti da società controllate (complessivamente ca. 173 milioni di euro). Il rendimento medio sugli impieghi di liquidità è pari a circa 3,4% e le stesse non sono soggette a vincoli nel loro utilizzo.
54) VORREI SAPERE QUALI SONO GLI INVESTIMENTI PREVISTI PER LE ENERGIE RINNOVABILI, COME VERRANNO FINANZIATI ED IN QUANTO TEMPO SARANNO RECUPERATI TALI INVESTIMENTI.
Il Piano 2023-2027 presentato a gennaio 2024 prevede nel quinquennio investimenti per circa 1,2 miliardi di euro nei business della transizione energetica (efficienza energetica, biometano e progetti di decarbonizzazione). Il rendimento pianificato è in linea con la media del settore.
- 55) Vi è stata retrocessione in Italia/estero di investimenti pubblicitari/sponsorizzazioni? Non vi è stata retrocessione.
- 56) Come viene rispettata la normativa sul lavoro dei minori?
Nel nostro gruppo non ci sono lavoratori minori ed il loro inserimento lavorativo a qualunque titolo è proibito dal Codice Etico e dalle nostre regole interne. Anche i fornitori che lavorano con noi non possono impiegare lavoratori minori nell'ambito delle attività che svolgono per noi.
57) È fatta o è prevista la certificazione etica SA8000 ENAS? I
I principi espressi dalle norme SA8000 ed EMAS sono coperti, in Snam, dalle certificazioni ottenute sul Sistema di Gestione Integrato per la Qualità (ISO 9001), l'Ambiente (ISO 14001), l'Efficienza Energetica (ISO 50001), la Salute e Sicurezza sul Lavoro (ISO 45001), l'Anticorruzione (ISO 37001) e la Parità di Genere (UNI PdR 125). Ad oggi non sono previste le certificazioni SA8000 ed EMAS.

58) Finanziamo l'industria degli armamenti?
La Società non finanzia l'industria degli armamenti.
59) vorrei conoscere POSIZIONE FINANZIARIA NETTA DI GRUPPO ALLA DATA DELL'ASSEMBLEA CON TASSI MEDI ATTIVI E PASSIVI STORICI.
Al 31 dicembre 2023, ultimo dato pubblico, la posizione finanziaria netta del gruppo risultava pari a 15.270 milioni di euro. Il costo medio del debito lordo è passato dall'1,1% del 2022 al 2% nel 2023.
60) A quanto sono ammontate le multe Consob, Borsa ecc di quale ammontare e per cosa?
Non risultano comminate alla Società sanzioni da parte di Consob o di Borsa Italiana.
61) Vi sono state imposte non pagate? se sì a quanto ammontano? Gli interessi? le sanzioni?
Non vi sono imposte non pagate.
62) vorrei conoscere: VARIAZIONE PARTECIPAZIONI RISPETTO ALLA RELAZIONE IN DISCUSSIONE.
Con riferimento ad operazioni già annunciate al mercato si segnala che il 3 aprile 2024 Snam ha esercitato il proprio diritto di prelazione per incrementare dall'attuale 7,3% al 30% la propria partecipazione in Terminale GNL Adriatico S.r.l., la società cui fa capo Adriatic LNG, il terminale di rigassificazione operativo nelle acque italiane antistanti Porto Viro (Rovigo).
Il closing della transazione è previsto entro la fine del 2024 ed è soggetto, tra le altre cose, alle necessarie autorizzazioni regolatorie. Al closing, il capitale sociale di Adriatic LNG sarà detenuto da VTTI al 70% e Snam al 30%.
63) vorrei conoscere ad oggi MINUSVALENZE E PLUSVALENZE TITOLI QUOTATI IN BORSA ALL'ULTIMA LIQUIDAZIONE BORSISTICA DISPONIBILE

Le partecipazioni Snam in società quotate in borsa si riferiscono alle partecipazioni di collegamento in Italgas (13,47%) e in Industrie De Nora (21,59%) nonché alla partecipazione valutata al Fair Value in ITM Power (2,072%).
Con riferimento alla partecipazione in Italgas, la quotazione in Borsa del titolo a venerdì 26 aprile 2024 è pari a 5,19 euro per azione, che porta ad una capitalizzazione di borsa di 4,2 miliardi di euro. La quota di competenza Snam, di conseguenza, ammonta a circa 567,3 milioni di euro, mentre il valore di iscrizione della partecipazione in Italgas nel bilancio consolidato Snam al 31 dicembre 2023 è pari a 313 milioni di euro.
Con riferimento alla partecipazione in Industrie De Nora, la quotazione in Borsa del titolo a martedì 26 aprile 2024 è pari a 12,36 euro per azione, che porta ad una capitalizzazione di borsa di circa 633 milioni di euro (riferibili alle azioni ordinarie; le azioni a voto plurimo non sono computate ai fini della capitalizzazione di borsa).
Il valore di iscrizione della partecipazione in Industrie De Nora nel bilancio consolidato di Snam al 31 dicembre 2023 è pari a 376 milioni di euro. Nel bilancio 2023 è stata rilevata una plusvalenza di 76 milioni di euro per la cessione di una quota di partecipazione.
Con riferimento alla partecipazione in ITM Power, la quotazione di Borsa a martedì 26 aprile 2024 è pari a 51,1 pence per azione, che porta ad un valore della partecipazione di Snam pari a circa 8 milioni di euro. Il valore di iscrizione della partecipazione in ITM Power nel bilancio consolidato 2023 è pari a 9 milioni di euro. La valutazione della partecipazione, sulla base del criterio del Fair Value Through Other Comprehensive Income (FVTOCI), ha comportato una minusvalenza da valutazione di 5 milioni di euro rispetto al valore di iscrizione nel bilancio 2022 (13 milioni di euro), iscritta nel patrimonio netto.
- 64) vorrei conoscere da inizio anno ad oggi L'ANDAMENTO DEL FATTURATO per settore. I dati del Q1 2024 verranno comunicati al mercato il 16 maggio, come da Calendario Finanziario.
- 65) vorrei conoscere ad oggi TRADING SU AZIONI PROPRIE E DEL GRUPPO EFFETTUATO ANCHE PER INTERPOSTA SOCIETA' O PERSONA SENSI ART.18 DRP.30/86 IN

PARTICOLARE SE È STATO FATTO ANCHE SU AZIONI D'ALTRE SOCIETA', CON INTESTAZIONE A BANCA ESTERA NON TENUTA A RIVELARE ALLA CONSOB IL NOME DEL PROPRIETARIO, CON RIPORTI SUI TITOLI IN PORTAFOGLIO PER UN VALORE SIMBOLICO, CON AZIONI IN PORTAGE.
È opportuno precisare che Snam non effettua trading su azioni proprie o di altre società quotate. Al 31 dicembre 2023 Snam ha in portafoglio n. 7.244.579 azioni proprie (n. 8.101.437 azioni proprie, pari allo 0,24% del capitale sociale al 31 dicembre 2022), pari allo 0,22% del capitale sociale, per un valore di libro pari complessivamente a circa 30 milioni di euro. La riduzione del numero di azioni proprie rispetto al 31 dicembre 2022 è attribuibile all'assegnazione a titolo gratuito di n. 1.468.158 azioni ai dirigenti Snam a fronte del piano di incentivazione azionaria 2020, il cui vesting period è giunto a scadenza nel mese di luglio 2023, e al contestuale riacquisto, dagli stessi dirigenti assegnatari, di n. 611.300 azioni a copertura dell'ammontare delle imposte dovute dai medesimi (sell to cover).
- 66) vorrei conoscere PREZZO DI ACQUISTO AZIONI PROPRIE E DATA DI OGNI LOTTO, E SCOSTAMENTO % DAL PREZZO DI BORSA Si veda informativa sullo storico degli acquisti di azioni proprie, disponibile sul sito Snam nei relativi comunicati stampa disponibili al seguente link: https://www.snam.it/it/investor-relations/investire-insnam/azionariato.html
- 67) vorrei conoscere NOMINATIVO DEI PRIMI 20 AZIONISTI PRESENTI IN SALA CON LE RELATIVE % DI POSSESSO, DEI RAPPRESENTANTI CON LA SPECIFICA DEL TIPO DI PROCURA O DELEGA.
Sarà allegato al relativo verbale.
68) vorrei conoscere in particolare quali sono i fondi pensione azionisti e per quale quota? La risposta può essere desunta dal verbale assembleare che sarà messo a disposizione del pubblico nei termini e con le modalità previsti dalle disposizioni di legge e dall'elenco degli azionisti rappresentati in assemblea tramite il Rappresentante Designato allegato al verbale stesso.

69) vorrei conoscere IL NOMINATIVO DEI GIORNALISTI PRESENTI IN SALA O CHE SEGUONO L'ASSEMBLEA ATTRAVERSO IL CIRCUITO CHIUSO DELLE TESTATE CHE RAPPRESENTANO E SE FRA ESSI VE NE SONO CHE HANNO RAPPORTI DI CONSULENZA DIRETTA ED INDIRETTA CON SOCIETA' DEL GRUPPO ANCHE CONTROLLATE e se comunque hanno ricevuto denaro o benefit direttamente o indirettamente da società controllate, collegate, controllanti. Qualora si risponda con "non è pertinente", denuncio il fatto al collegio sindacale ai sensi dell'art.2408 cc.
L'Assemblea degli Azionisti sarà diffusa in modalità streaming sul sito web e sul canale YouTube della Società. I giornalisti, come qualsiasi soggetto interessato, potranno assistere all'evento ma non è possibile conoscere i nominativi dei giornalisti collegati in streaming o su YouTube e le rispettive testate di appartenenza. È peraltro possibile per i giornalisti seguire i lavori da una sala attigua a quella dell'assemblea, nella medesima modalità streaming. La lista degli eventuali presenti sarà resa disponibile in tempo reale. Snam non ha rapporti di consulenza con giornalisti.
70) vorrei conoscere Come sono suddivise le spese pubblicitarie per gruppo editoriale, per valutare l'indice d'indipendenza? VI SONO STATI VERSAMENTI A GIORNALI O TESTATE GIORNALISTICHE ED INTERNET PER STUDI E CONSULENZE?
Snam è un'azienda regolata e non investe cifre rilevanti in pubblicità sui media. Nel 2023 sono state realizzate due campagne pubblicitarie. A gennaio 2023, in concomitanza con iniziative similari lanciate da società a partecipazione pubblica, è stata effettuata una campagna di sensibilizzazione sul risparmio e sui consumi responsabili dell'energia, con minimi investimenti rispetto a iniziative analoghe, che ha comportato un costo complessivo di circa 190 mila euro in acquisto di spazi pubblicitari stampa e digitali sui principali mezzi di comunicazione nazionali. Nell'autunno 2023 è stata lanciata una campagna istituzionale con l'obiettivo di promuovere e valorizzare Snam e l'importanza del suo essere a servizio del Paese, per garantire la sicurezza energetica e abilitarne la transizione verso un futuro a zero emissioni. Il costo complessivo in acquisto di spazi pubblicitari è stato di 938 mila euro, principalmente per la TV (euro 706.000), stampa (euro 152.000) e digitali (euro 80.000) sui principali mezzi di comunicazione nazionali.
31

Le spese delle campagne sono state così suddivise: televisioni (il 63% su Rai-Publitalia-Sky), stampa (il 30% sui gruppi Cairo-Rcs, Manzoni, Gruppo 24 Ore, Piemme, Class Editori) e i canali digitali/web (il 7% su gruppi Manzoni, Cairo-Rcs, Gruppo 24 Ore, Piemme).
Non vi sono stati versamenti a giornali o testate per studi o consulenze.
71) vorrei conoscere IL NUMERO DEI SOCI ISCRITTI A LIBRO SOCI, E LORO SUDDIVISIONE IN BASE A FASCE SIGNIFICATIVE DI POSSESSO AZIONARIO, E FRA RESIDENTI IN ITALIA ED ALL'ESTERO
Al 31 dicembre 2023 gli azionisti iscritti al libro soci risultano essere 74.890. Gli azionisti residenti in Italia sono 72.050 e detengono il 52,168% del capitale sociale; gli azionisti residenti all'estero sono 2.840 e detengono il 47,832% del capitale sociale.
La loro suddivisione in base a fasce significative di possesso azionario risulta:
- • da 1 azione a 1.000 azioni: 29.159 azionisti;
- • da 1.001 azioni a 10.000 azioni: 39.033 azionisti;
- • da 10.001 azioni a 100.000 azioni: 5.393 azionisti;
- • da 100.001 azioni a 1.000.000 azioni: 993 azionisti;
- • oltre 1.000.001 azioni: 312 azionisti.
- 72) vorrei conoscere se SONO ESISTITI NELL'AMBITO DEL GRUPPO E DELLA CONTROLLANTE E O COLLEGATE DIRETTE O INDIRETTE RAPPORTI DI CONSULENZA CON IL COLLEGIO SINDACALE E SOCIETA' DI REVISIONE O SUA CONTROLLANTE. A QUANTO SONO AMMONTATI I RIMBORSI SPESE PER ENTRAMBI?
Non risultano rapporti di consulenza con componenti del collegio sindacale e con membri della società di revisione in capo alle società del gruppo. I rimborsi spese per i Collegi Sindacali di Snam e Controllate consuntivati nel bilancio chiuso al 31 dicembre 2023 ammontano a circa 38 mila euro.
73) vorrei conoscere se VI SONO STATI RAPPORTI DI FINANZIAMENTO DIRETTO O INDIRETTO DI SINDACATI, PARTITI O MOVIMENTI FONDAZIONI POLITICHE (come, ad esempio, italiani nel mondo), FONDAZIONI ED ASSOCIAZIONI DI CONSUMATORI E/O AZIONISTI NAZIONALI O INTERNAZIONALI NELL'AMBITO DEL GRUPPO ANCHE

ATTRAVERSO IL FINANZIAMENTO DI INIZIATIVE SPECIFICHE RICHIESTE DIRETTAMENTE?
Vedasi risposta alla domanda 41.
74) vorrei conoscere se VI SONO TANGENTI PAGATE DA FORNITORI?
La Società non è a conoscenza di tangenti pagate da fornitori. Snam ripudia la corruzione sia a livello nazionale che internazionale, sia nei rapporti con i pubblici ufficiali che con i privati, e ha adottato normative interne in cui prevede obblighi e divieti, validi anche nelle relazioni con i fornitori. Vedasi in proposito il Codice Etico, la Politica Anticorruzione e la Linea Guida Anticorruzione, disponibili sul sito web della Società anche in inglese.
- 75) SE C'E' E COME FUNZIONA LA RETROCESSIONE DI FINE ANNO ALL'UFFICIO ACQUISTI E DI QUANTO È? Non vi è retrocessione.
- 76) vorrei conoscere se Si sono pagate tangenti per entrare nei paesi emergenti in particolare CINA, Russia e India?
La Società non è a conoscenza di tangenti pagate per entrare in Paesi emergenti. La Società opera nel rispetto della legge in ogni Paese in cui opera e ripudia ogni forma di corruzione.
77) vorrei conoscere se SI È INCASSATO IN NERO?
La Società non è a conoscenza di incassi in nero. Snam opera nel rispetto della legge e, come indicato nella Linea Guida Anticorruzione:
- tutte le operazioni o le transazioni devono essere registrate nei libri e registri della Società seguendo i criteri indicati dalla legge e i principi contabili applicabili;
- ogni operazione/transazione deve essere legittima, autorizzata, coerente, congrua e verificabile;
- ogni operazione/transazione deve essere corredata da adeguata documentazione a supporto;
- tutte le registrazioni e la relativa documentazione devono essere debitamente archiviate e reperibili per le attività di controllo, anche del revisore.

78) vorrei conoscere se Si è fatto insider trading?
La Società non è a conoscenza di episodi di insider trading.
79) vorrei conoscere se Vi sono dei dirigenti e/o amministratori che hanno interessenze in società' fornitrici? AMMINISTRATORI O DIRIGENTI POSSIEDONO DIRETTAMENTE O INDIRETTAMENTE QUOTE DI SOCIETA' FORNITRICI?
La Società non è a conoscenza di interessenze di dirigenti e/o amministratori in società fornitrici. Ai sensi del Codice Etico il management e i dipendenti della Società sono tenuti a evitare e a segnalare conflitti di interesse tra le attività economiche personali e familiari e le mansioni che ricoprono all'interno della struttura od organo di appartenenza.
80) quanto hanno guadagnato gli amministratori personalmente nelle operazioni straordinarie?
Non è stato previsto né erogato alcun bonus per le operazioni straordinarie in favore degli amministratori della Società.
81) vorrei conoscere se TOTALE EROGAZIONI LIBERALI DEL GRUPPO E PER COSA ED A CHI?
Vedasi risposta alla domanda 40.
82) vorrei conoscere se CI SONO GIUDICI FRA CONSULENTI DIRETTI ED INDIRETTI DEL GRUPPO quali sono stati i magistrati che hanno composto collegi arbitrarli e qual è stato il loro compenso e come si chiamano? Non ci sono giudici o magistrati tra i consulenti di Snam e nemmeno tra i
componenti di collegi arbitrali.
- 83) vorrei conoscere se Vi sono cause in corso con varie antitrust? Snam non è a conoscenza di cause in corso con autorità antitrust che coinvolgano la Società.
- 84) vorrei conoscere se VI SONO CAUSE PENALI IN CORSO con indagini sui membri attuali e del passato del cda e/o collegio sindacale per fatti che riguardano la società. Snam non è a conoscenza di indagini e/o procedimenti penali che

coinvolgano membri attuali e del passato del Consiglio di Amministrazione e/o del Collegio Sindacale per fatti che riguardano la Società.
85) vorrei conoscere se a quanto ammontano i BOND emessi e con quale banca (CREDIT SUISSE FIRST BOSTON, GOLDMAN SACHS, MONGAN STANLEY E CITIGROUP, JP MORGAN, MERRILL LYNCH, BANK OF AMERICA, LEHMAN BROTHERS, DEUTSCHE BANK, BARCLAYS BANK, CANADIA IMPERIAL BANK OF COMMERCE –CIBC-)
Nell'ambito del Programma EMTN (Euro Medium Term Note), al 31 dicembre 2023 sono in essere prestiti obbligazionari per circa 9,4 miliardi di euro rivolti ad investitori istituzionali.
Per ulteriori informazioni sul programma EMTN si veda https://www.snam.it/it/investor-relations/investire-in-snam/debito-ecredit-rating/programma-emtn/prospetto.html
Il Programma EMTN rappresenta uno strumento efficace per reperire sul mercato significative risorse finanziarie in modo rapido, flessibile e a costi competitivi, in coerenza con la prevista evoluzione della struttura finanziaria target della Società.
Le banche Dealers del Programme EMTN sono presenti a pagina 2 del Base Prospectus datato 16 novembre 2023.
I nomi delle banche che hanno assistito, in qualità di Book runners, la società nelle singole emissioni obbligazionarie sono visibili nei comunicati stampa relativi alle specifiche emissioni obbligazionarie reperibili al seguente link
https://www.snam.it/it/media/news-e-comunicati-
stampa.html?price=true (per le emissioni da inizio 2023 sino ad oggi, si vedano i seguenti comunicati; 8 aprile 2024, 12 febbraio 2024, 20 novembre 2023, 22 settembre 2023)
L'analisi dei prestiti obbligazionari con indicazione dell'anno di emissione, della valuta, del tasso di interesse e della scadenza è reperibile a pagina 563 della Relazione Finanziaria annuale 2023.
86) vorrei conoscere DETTAGLIO COSTO DEL VENDUTO per ciascun settore.
Snam non utilizza nel proprio bilancio tale misura del risultato.

87) vorrei conoscere A QUANTO SONO AMMONTATE LE SPESE PER:
- ACQUISIZIONI E CESSIONI DI PARTECIPAZIONI.
- RISANAMENTO AMBIENTALE
- Quali e per cosa sono stati fatti investimenti per la tutela ambientale?
Gli esborsi per l'acquisto di partecipazioni in imprese controllate ammontano a 402 milioni di euro, al netto della liquidità acquisita, e sono relativi all'acquisizione di FSRU I LIMITED, società che detiene l'impianto Floating Storage and Regasification Unit ("FSRU") BW Singapore (331 milioni di euro) e di imprese operanti nel business del Biogas-Biometano (71 milioni di euro complessivamente). Gli esborsi per l'acquisto di partecipazioni non di controllo ammontano a 432 milioni di euro e riguardano principalmente le società SeaCorridor (410 milioni di euro) e dCarbonx (9 milioni di euro).
I flussi per disinvestimenti sono pari a 251 milioni di euro e sono relativi principalmente alla cessione di una quota della partecipazione in Industrie De Nora (144 milioni di euro) ed a rimborsi di capitale da parte di SeaCorridor (87 milioni di euro).
Si rinvia allo schema legale del rendiconto finanziario (pagine 512-513 delle Note di commento al bilancio consolidato 2023).
Le spese per risanamento ambientale ammontano a circa 3 milioni di euro e sono riferite a compensazioni ambientali effettuate ai sensi Legge (si veda il paragrafo "Il valore aggiunto", alle pagine 410-411 della Relazione finanziaria annuale 2023).
- 88) vorrei conoscere
- a. I BENEFICI NON MONETARI ED I BONUS ED INCENTIVI COME VENGONO CALCOLATI?
Benefit: per gli amministratori non esecutivi non sono previsti benefit; per i dirigenti di Snam è prevista l'iscrizione al Fondo di previdenza complementare (FOPDIRE o PREVINDAI), al Fondo di assistenza sanitaria integrativa (FISDE) e a forme di copertura assicurativa a fronte del rischio morte e invalidità, nonché l'assegnazione di un'autovettura ad uso promiscuo e, per l'Amministratore Delegato, la possibilità di utilizzare un immobile

locato ad uso foresteria dalla Società secondo quanto disciplinato dai regolamenti aziendali vigenti.
Incentivi: l'incentivazione variabile di breve termine (Piano di Incentivazione Monetaria Annuale – IMA) è determinata in connessione ai risultati conseguiti da Snam nell'esercizio precedente rispetto agli obiettivi definiti e con riferimento ad un livello di incentivazione minima (performance = 85), target (performance = 100) e massima (performance = 130) rispettivamente pari al 60% (incentivazione minima pari al 59,5%), 70% (target) e 91% (massima) della remunerazione fissa per l'Amministratore Delegato. È fissato un livello di soglia (performance = 85) sotto al quale l'incentivo di breve termine non è erogato. Per gli altri Dirigenti l'incentivo variabile annuale è determinato per una parte (25%) dai risultati aziendali rispetto agli obiettivi assegnati all'Amministratore Delegato dal Consiglio di Amministrazione e, per l'altra parte (75%), da una serie di obiettivi individuali (focalizzati sulla performance economico/finanziaria, operativa ed industriale, sull'efficienza interna, su tematiche relative al modello delle competenze manageriali) assegnati in relazione al perimetro di responsabilità del ruolo ricoperto, in coerenza con quanto previsto nel Piano di performance della Società.
L'incentivazione di lungo termine è regolata dal Piano di Incentivazione Azionaria di Lungo Termine – IALT 2023-2025. Il Piano prevede tre attribuzioni annuali di azioni gratuite in misura variabile in funzione del ruolo ricoperto. L'eventuale erogazione è prevista dopo tre anni dall'attribuzione (periodo di vesting) in misura connessa ai risultati ottenuti e avrà un valore minimo pari al 106%, target pari al 158% e massimo pari al 210% della remunerazione fissa per l'Amministratore Delegato, in continuità con il precedente Piano IALT 2020-2022. Le condizioni di performance valevoli per il secondo ciclo di attribuzione del Piano sono connesse ai seguenti parametri: Utile netto adjusted, con peso del 40%; Value Added, con peso del 20%; Metriche Energy
37

Transition Readiness, con peso del 20%; e Metriche ESG, con peso del 20%.
Per ulteriori dettagli si rimanda a quanto descritto nella Relazione sulla politica in materia di Remunerazione e sui compensi corrisposti 2024.
b. QUANTO SONO VARIATI MEDIAMENTE NELL'ULTIMO ANNO GLI STIPENDI DEI MANAGERS e degli a.d illuminati, rispetto a quello DEGLI IMPIEGATI E DEGLI OPERAI?
Il Consiglio di Amministrazione del 30 giugno 2022 ha determinato la remunerazione dell'AD, mantenendo una struttura retributiva conforme alla precedente. È stata definita una retribuzione annua lorda per il ruolo di Direttore Generale pari a 680.000 euro, a differenza del precedente mandato per cui era stata determinata una retribuzione annua lorda di 750.000 euro. Pertanto, la remunerazione fissa complessiva dell'AD risulta pari a 900.000 euro. Nel 2024 la remunerazione dell'AD è esattamente allineata a quella del 2023. La variazione del costo del lavoro dei manager si attesta a -6,91% a causa del turnover manageriale in uscita; il resto della popolazione si attesta a +1,73%.
- c. vorrei conoscere RAPPORTO FRA COSTO MEDIO DEI DIRIGENTI/E NON. Il costo medio dei dirigenti è 4,44 volte quello delle qualifiche non dirigenziali.
- d. vorrei conoscere NUMERO DEI DIPENDENTI SUDDIVISI PER CATEGORIA, CI SONO STATE CAUSE PER MOBBING, PER ISTIGAZIONE AL SUICIDIO, INCIDENTI SUL LAVORO e con quali esiti? PERSONALMENTE NON POSSO ACCETTARE IL DOGMA DELLA RIDUZIONE ASSOLUTA DEL PERSONALE Numero totale dipendenti a servizio al 31 dicembre 2023 in tutto il gruppo Snam: 3.798 di cui 130 dirigenti, 682 quadri, 2.104 impiegati, 882 operai. Non sono pendenti cause per mobbing né per istigazione al suicidio. Nel corso del 2023 non vi sono state cause per incidenti sul lavoro relative a personale Snam.

e. Quanti sono stati i dipendenti inviati in mobilità prepensionamento e con quale età media.
Nel corso del 2023 non vi sono state procedure di mobilità volte al pensionamento del personale.
89) vorrei conoscere se si sono comperate opere d'arte? da chi e per quale ammontare?
Nel 2023 sono state acquistate alcune opere fotografiche che rappresentano il nostro impianto di rigassificazione di Panigaglia, scattate dall' artista Carlo Valsecchi per la realizzazione di un volume fotografico. Le fotografie sono diventate arredi aziendali e sono destinate alle nostre principali sedi (San Donato, Roma e, nel prossimo futuro, il nuovo HQ di Milano). Il valore complessivo è di 85.000 euro; le opere sono state inscritte a patrimonio.
90) vorrei conoscere in quali settori si sono ridotti maggiormente i costi, esclusi i vs stipendi che sono in costante rapido aumento.
L'ampliamento del perimetro delle attività ha determinato un incremento in volume dei costi esterni e del costo lavoro, in particolare nel business dell'efficienza energetica per effetto del maggiore avanzamento delle commesse nel settore della deep renovation. L'aumento dei costi è anche stato influenzato da un aumento dei costi energetici nel business regolato, tali costi sono riconosciuti nei ricavi.
91) vorrei conoscere. VI SONO SOCIETA' DI FATTO CONTROLLATE (SENSI C.C) MA NON INDICATE NEL BILANCIO CONSOLIDATO?
Le società controllate che non rientrano nel perimetro del bilancio consolidato sono riportate alle pagine 705-707 della Relazione finanziaria annuale 2023.
92) vorrei conoscere. CHI SONO I FORNITORI DI GAS DEL GRUPPO QUAL'E' IL PREZZO MEDIO.
Nell'anno solare 2023 è stato acquistato un totale di 9.999.744 MWh (945.803.504 Smc con un potere calorifico pari a 38,1 Megajoule ("MJ")/Smc) per i consumi di sistema per un controvalore economico di 378.599.754 € (prezzo medio ponderato 37,861 €/Megawattora ("MWh")).

Per quanto concerne, invece, il gas necessario per imbottimenti di nuovi metanodotti, nell'anno solare 2023 è stato acquistato un totale di 76.920 MWh (7.275.307 Smc con un potere calorifico pari a 38,1 MJ/Smc) per un controvalore economico di 3.227.819 € (prezzo medio ponderato 41,963 €/MWh).
Tali acquisti di gas sono stati effettuati sul mercato centralizzato gestito dal GME tramite piattaforma MGAS (Mercato Gas). Su tale mercato gli operatori commerciali e Snam effettuano transazioni commerciali con la controparte GME.
- 93) vorrei conoscere se sono consulenti ed a quanto ammontano le consulenze pagate a società facenti capo al dr. Bragiotti, Erede, Trevisan e Berger? Nel 2023 Snam ha commissionato attività allo studio legale Trevisan per 6.344 euro ed allo studio legale Bonelli Erede per 323.113,19 euro. Non sono state commissionate attività alle società facenti capo al dr. Bragiotti e Berger.
- 94) vorrei conoscere. A quanto ammonta la % di quota italiana degli investimenti in ricerca e sviluppo?
Le nostre attività di R&D sono strutturalmente integrate nei progetti di investimento di rete e sono finalizzate principalmente allo studio di nuove soluzioni tecnologiche per il miglioramento dell'efficienza della rete, anche dal punto di vista ambientale.
Si prevede di investire nel periodo 2023-2027 ca. 400 milioni di euro nella digitalizzazione, per lo sviluppo tecnologico degli asset e in progetti di open innovation.
95) VORREI CONOSCERE I COSTI per le ASSEMBLEE e per cosa?
Per la preparazione, l'organizzazione e lo svolgimento dell'odierna Assemblea degli Azionisti, la Società ha speso complessivamente circa 129.000 euro (comprensivi di spese per assistenza del notaio, supporto tecnico servizio titoli, servizio di rappresentante designato, allestimenti tecnici, materiali vari, avvisi relativi alla convocazione dell'Assemblea stessa e al pagamento del dividendo).

96) VORREI CONOSCERE I COSTI per VALORI BOLLATI
I costi per valori bollati per il 2023 ammontano complessivamente a circa 194 mila euro.
97) Vorrei conoscere la tracciabilità dei rifiuti tossici.
Come anticipato nella risposta alla domanda 42, vengono gestiti "rifiuti pericolosi" secondo la normativa di settore. La gestione dei rifiuti, in applicazione alla normativa vigente, viene eseguita mediante la compilazione del "Registro di carico e scarico" da parte dell'unità esercente (produttore del rifiuto), che provvede a caricare il rifiuto secondo la classificazione prevista, e del Formulario per la tracciabilità, affidando il trasporto a fornitori qualificati e autorizzati per tale tipologia di attività. Inoltre, tutti i rifiuti prodotti dalle imprese appaltatrici presso le sedi/cantieri di Società, derivanti dall'attività propria dell'appaltatore, vengono gestiti ed inviati a recupero o smaltimento dalle imprese appaltatrici stesse. L'appaltatore è il produttore del rifiuto.
98) QUALI auto hanno il Presidente e l'ad e quanto ci costano come dettaglio dei benefits riportati nella relazione sulla remunerazione?
Per la Presidente non è previsto il benefit dell'auto.
L'Amministratore Delegato dispone di un'auto il cui costo è allineato a quello di mercato per ruoli comparabili e rientra all'interno della specifica policy aziendale.
99) Dettaglio per utilizzatore dei costi per uso o noleggio di elicotteri e aerei. Quanti sono gli elicotteri utilizzati di che marca e con quale costo orario ed utilizzati da chi? se le risposte sono "Le altre domande non sono pertinenti rispetto ai punti all'ordine del giorno "denuncio tale reticenza al collegio sindacale ai sensi dell'art.2408 cc.
Snam Rete Gas S.p.A. ha in essere 4 contratti sul territorio nazionale a far data dall'1 luglio 2021 e dall'1 gennaio 2022 per la "sorveglianza aerea dei metanodotti", in ottemperanza al decreto ministeriale 17 aprile 2008, con le società di elicotteri Ariane S.r.l. e E+S Air S.r.l. Tutti i contratti hanno scadenza 1 giugno 2025 e si basano su un costo chilometrico variabile tra 3,60 e 4,25 euro/km. Tali società operano utilizzando n°4 elicotteri marca Robinson modello R44 e R22.

Inoltre, a far data dal 20 febbraio 2023, Snam Rete Gas S.p.A. ha in essere un contratto per "l'esecuzione del Servizio di rilevazione aerea di fuoriuscite di gas naturale dalla rete di trasporto" con la società di elicotteri Elicompany S.r.l., Tale contratto si basa su un costo chilometrico di 51,84 euro/km. La società opera utilizzando n. 2 elicotteri marca Bell modello 505 e 206. Stogit S.p.A. a far data dall'1 marzo 2023 ha in essere un contratto per il "servizio per la sorveglianza aerea dei metanodotti" e "Servizio di rilevazione aerea di fuoriuscite di gas naturale dalle flowline degli impianti di Stocaggio" con la società di elicotteri Elicompany S.r.l. Tale contratto con scadenza 28 febbraio 2027 si basa su un costo chilometrico di 4,50 euro/km per la sorveglianza e di 55,20 euro/km per la rilevazione di fuoriuscite gas. La società utilizza per il servizio n. 2 elicotteri Bell 505 e Bell 206. Tali società non si occupano del trasporto di personale Snam.
100) A quanto ammontano i crediti in sofferenza?
Si veda la nota 27.3 " RISCHIO CREDITO" a pagina 580 delle Note al bilancio consolidato 2023.
101) CI SONO STATI CONTRIBUTI A SINDACATI E O SINDACALISTI SE SI A CHI A CHE TITOLO E DI QUANTO?
Vedasi risposta alla domanda 41.
- 102) C'è e quanto costa l'anticipazione su cessione crediti %? Nel corso del 2023, non sono state poste in essere operazioni di cessione di crediti.
- 103) C'è il preposto per il voto per delega e quanto costa? Se la risposta è: "Il relativo costo non è specificamente enucleabile in quanto rientra in un più ampio insieme di attività correlate all'assemblea degli azionisti." Oltre ad indicare gravi mancanze nel sistema di controllo, la denuncio al collegio sindacale ai sensi dell'art.2408 cc.
Il Consiglio di Amministrazione della Società ha conferito allo studio legale Trevisan & Associati l'incarico quale soggetto, ai sensi dell'art. 135 undecies del TUF, cui gli azionisti possono conferire, senza alcun onere a loro carico (fatta eccezione per le sole spese di invio della delega stessa),

delega per la partecipazione all'Assemblea degli azionisti del 7 maggio 2024. Il compenso per tale attività è pari a 5.000 euro.
- 104) A quanto ammontano gli investimenti in titoli pubblici? Si veda la risposta alla domanda 43. La Società conferma che non vi sono investimenti in titoli di Stato o titoli strutturati.
- 105) Quanto è l'indebitamento INPS e con l'AGENZIA DELLE ENTRATE?
Le imposte sul reddito e le altre imposte sono liquidate regolarmente, nei termini previsti dalla legge. Al 31 dicembre 2023 i debiti verso Istituti di previdenza e sicurezza sociale ammontano a 25 milioni di euro e si riferiscono a oneri sociali su retribuzioni da liquidare nei primi mesi del 2024.
106) Se si fa il consolidato fiscale e a quanto ammonta e per quali aliquote?
Il consolidato fiscale IRES è in essere dal periodo d'imposta 2012. Le imposte ammontano a 363 milioni di euro. L'aliquota è quella standard prevista cioè il 24%.
- 107) Quanto è il margine di contribuzione dello scorso esercizio? Il margine di contribuzione non è una grandezza rilevante nel core business di Snam.
- 108) in relazione agli uffici amministrativi interni della società (che dovrebbero essere quelli che forniscono la documentazione ed il supporto tanto agli organi di amministrazione e controllo della società (in primis Collegio Sindacale o OdC 231/2001) quanto alla società di revisione ed eventualmente a Consob e/o altre Authorities, vorrei sapere:
- ‒ in quali settori / sezioni sia strutturato (ad esempio, per ufficio fatture attive: clienti corporate / clienti privati, per ufficio fatture passive: fornitori utenze gas luce telefono / fornitori automezzi / fornitori immobili / fornitori professionisti, ufficio contabilità analitica / controlling, ecc, ufficio controlli interni, ufficio del personale, ufficio incassi e/o pagamenti, ufficio antiriciclaggio, ufficio affari societari, ufficio relazioni con investitori istituzionali, ufficio relazioni con piccoli azionisti, ecc.)

La Società è organizzata nei seguenti dipartimenti:
- ‒ P&C, Administration, Finance and M&A;
- ‒ People & Corporate Services;
- ‒ Commercial, Infrastructure Planning & Regulatory Affairs;
- ‒ Legal, Governance, Compliance & ERM;
- ‒ Strategy, Innovation and Sustainability;
- ‒ Global Security e Cyber Defence;
- ‒ Institutional Affairs;
- ‒ Communication & Media Relations;
- ‒ International Engineering, Construction & Solutions;
- ‒ Decarbonization Unit;
- ‒ Business Unit Asset Italia;
- ‒ Business Unit Environment & Efficiency;
- ‒ International Asset Management and Business Development.
‒ quanto personale è normalmente impiegato in ogni settore / sezione;
Il personale impiegato dal gruppo, pari a 3.798 HCs al 31.12.2023, è così suddiviso:
- Corporate: 763 HCs;
- Business Unit Asset Italia: 2.272 HCs;
- Energy Transition: 654 HCs (Biometano, Efficienza Energetica e Decarbonization projects);
- Altro: 109 HCs (Greenture, Global Solutions e Snam International).
- ‒ quale sia la tempistica normale per le registrazioni contabili
Entro i termini previsti dalle norme di legge.
‒ come siano strutturati (c'è un capoufficio / un team leader / un referente per ogni singolo settore / singola sezione?);
La struttura organizzativa prevede un Chief Officer / Executive Director di riferimento per ogni dipartimento aziendale, a cui riporta poi il middle management del gruppo.
‒ a chi riportano i singoli settori / le singole sezioni (al CEO, al CFO, al Presidente, ecc.?).

I dipartimenti riportano alle seguenti funzioni apicali:
- ‒ Chief Financial Officer;
- ‒ Chief People and Corporate Services Officer;
- ‒ Chief Commercial & Regulatory Officer;
- ‒ Chief Legal Officer & General Counsel;
- ‒ Chief Strategy & Technology Officer;
- ‒ Chief Operations Officer;
- ‒ Chief Efficiency and Biomethane Officer;
- ‒ Chief International Assets Officer;
- ‒ Executive Director Global Security & Cyber Defence;
- ‒ Executive Director Institutional Affairs;
- ‒ Executive Director Communication & Media Relations;
- ‒ Executive Director Decarbonization Unit;
- ‒ Executive Director International Engineering, Construction & Solutions.
ed in altre parole … possiamo stare tranquilli:
- ‒ che le registrazioni contabili avvengano tempestivamente e nel modo corretto? Sì.
- ‒ che vengano tempestivamente pagate le fatture giuste e che vengano monitorati gli incassi delle fatture che emettiamo? Sì.
- ‒ che siamo in grado di supportare adeguatamente la società di revisione per i controlli di Legge? Sì.
- 109) in caso di pagamenti erronei, ad esempio per duplicazione dei pagamenti, come viene gestita la procedura di recupero?
Snam effettua pagamenti secondo procedure rigorose, prevenendo errori e duplicazioni.
110) in caso di mancati incassi, come viene gestita la procedura di recupero crediti?

Per i crediti relativi ai business regolati, il recupero avviene secondo quanto previsto dal Codice di Rete.
111) Quanto si è speso per attività di lobby? per cosa? quando? Vedasi risposta alla domanda 15.


Assemblea Ordinaria degli Azionisti di Snam S.p.A.
7 maggio 2024
Domande pervenute prima dell'Assemblea ai sensi dell'art. 127-ter del d.lgs. n. 58/1998
Domande pervenute dal Socio ReCommon ETS

-
- Snam gestisce il terminale LNG di Panigaglia (La Spezia) e la FSRU Golar Tundra (Piombino); è co-gestore di OLT Toscana (Livorno) e azionista di Adriatic LNG (Rovigo). In Grecia, è azionista di Revithoussa LNG Terminal e Alexandroupolis LNG Terminal attraverso DESFA.
- 1.1. Qual è il totale delle emissioni relative all'anno 2023 collegate all'attività dei suddetti terminal LNG controllati da Snam o di cui Snam è azionista? Nel 2023 le emissioni dirette del terminale GNL di Panigaglia sono risultate pari a 105,2 migliaia di tonnellate ("kton") di CO2 equivalente ("eq."), quelle del Floating Storage and Regasification Unit ("FSRU") Golar Tundra (Piombino) sono risultate pari a 28,2 kton di CO2 eq. (dall'entrata in funzione del rigassificatore da luglio 2023), mentre quelle di OLT, società in co-controllo, sono state pari a 79,5 kton di CO2 equivalente. Per quanto riguarda le emissioni dei terminali GNL (delle altre società partecipate), si tratta di informazioni di società partecipate ma non controllate,
con una propria indipendenza giuridica e gestionale. Peraltro, il terminale di Alexandropolis nel 2023 era ancora in fase di costruzione. Si suggerisce di contattare direttamente la società interessata.
1.2. Quali sono i valori delle emissioni raccolti in accordo al protocollo OGMP 2.0 relativo al reporting delle emissioni di metano dei terminal controllati e co -gestititi da Snam, relative all'anno 2023?
Le emissioni di metano del terminale GNL di Panigaglia sono state nel 2023 pari a 38,5 kton di CO2 equivalente, quelle di FSRU Golar Tundra sono state pari a 10,5 kton di CO2 equivalente (dall'entrata in funzione del rigassificatore da luglio 2023), mentre quelle di OLT, società in co-controllo, sono state pari a 0,474 kton di CO2 equivalente. La differenza è motivata dalle diverse soluzioni ingegneristiche e di processo, nonché dai vincoli autorizzativi rispetto alla possibilità di combustione del metano vigenti sull'impianto di Panigaglia. Sono stati comunque già avviati interventi tesi alla riduzione delle emissioni dell'impianto.
1.3. La società OLT ha aderito al protocollo OGMP 2.0 relativo al reporting delle emissioni di metano?
La partecipazione di OLT al protocollo OGMP è in corso di valutazione da parte della società.
1.3.1.Se sì, a quanto ammontano le emissioni riportate secondo il suddetto protocollo per il 2023?
Si rimanda alla risposta alla domanda 1.2.
1.4. A quanto ammontano le emissioni di metano e altri gas climalteranti del terminal di Panigaglia negli anni 2015, 2016, 2017, 2018, 2019, 2020, 2021,2022, 2023? Le emissioni dirette di gas climalteranti (GHG) del terminale GNL di Panigaglia (espresse in kton CO2 eq), sono riportate nella tabella seguente:
| 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
|---|---|---|---|---|---|---|---|---|
| ------ | ------ | ------ | ------ | ------ | ------ | ------ | ------ | ------ |

| 41,1 | 57,4 | 46,3 | 42,7 | 84,9 | 89,8 | 65,3 | 117,7 | 105,2 |
|---|---|---|---|---|---|---|---|---|
Si noti che nel corso del 2022 è stato aggiornato il coefficiente del metano relativo al potenziale di riscaldamento globale (GWP = global warming potential), valore che esprime il contributo all'effetto serra di un gas rispetto alla CO2, il cui potenziale di riferimento è pari a 1. Il nuovo valore, in accordo al Sixth Assessment Report - IPCC, risulta pari a 29,8 rispetto al precedente valore di 28. Pertanto, le emissioni degli anni 2015 – 2023 sono state ricalcolate in accordo al nuovo GWP.
Le emissioni del terminale dipendono fortemente dall'esercizio dello stesso in relazione all'arrivo delle navi e a manutenzioni straordinarie di parti dell'impianto che possono essere discontinui e diversi di anno in anno.
1.4.1. Quali sono le quantità di gas rigassificate e stoccate dall'impianto per ciascuno degli anni analizzati?
Le quantità di gas rigassificate e stoccate dall'impianto per anno sono riportate nella seguente tabella ed espresse in miliardi di standard metri cubi ("Smc"):
| 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
|---|---|---|---|---|---|---|---|---|
| 0,03 | 0,20 | 0,59 | 0,83 | 2,27 | 2,37 | 0,99 | 2,10 | 2,4 |
1.5. A quanto ammontano le riduzioni di emissioni registrate nel terminal di Panigaglia per ciascuno degli anni sopra indicati?
Si osservano le seguenti variazioni % anno su anno:
| 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
|---|---|---|---|---|---|---|---|---|
| - | +40% | -19% | -8% | +99% | +6% | -27% | +80% | -11% |
Come detto, le emissioni del terminale dipendono fortemente dall'esercizio dello stesso in relazione all'arrivo delle navi e a manutenzioni straordinarie di parti dell'impianto, che possono essere discontinui e diversi di anno in anno. Nel 2022, ad esempio l'impianto è stato oggetto di una manutenzione ordinaria presso il serbatoio S2 e di una manutenzione straordinaria a un compressore dedito al recupero del boil-off, nonché di carichi in re-loading con temperature del gas naturale leggermente più elevate.
1.6. A quanto ammontano le emissioni di metano e altri gas climalteranti dalla FSRU Golar Tundra per l'anno 2023?
Si rimanda alla risposta alle domande 1.1 e 1.2.
1.6.1. Quali sono le quantità di gas rigassificate e stoccate dall'impianto nello stesso anno?
L'impianto ha rigassificato 1,04 miliardi di Smc di gas nel 2023.
1.7. A quanto ammontano le riduzioni di emissioni registrate per la FSRU Golar Tundra nel 2023?

Il 2023 è stato il primo anno di esercizio di FSRU Golar Tundra (da luglio 2023), quindi non è possibile un confronto con anni precedenti.
1.8. A quanto ammontano le emissioni di metano e altri gas climalteranti del terminal OLT Toscana negli anni 2015, 2016, 2017, 2018, 2019, 2020, 2021,2022, 2023? Le emissioni dirette di gas climalteranti (GHG) del terminale GNL di OLT, società in co-controllo (espresse in kton CO2 eq), sono riportate nella tabella seguente:
| 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
|---|---|---|---|---|---|---|---|---|
| 53,972 | 60,574 | 64,593 | 62,178 | 73,326 | 73,336 | 68,143 | 81,247 | 79,475 |
Si noti che nel corso del 2022 è stato aggiornato il coefficiente del metano relativo al potenziale di riscaldamento globale (GWP = global warming potential), valore che esprime il contributo all'effetto serra di un gas rispetto alla CO2, il cui potenziale di riferimento è pari a 1. Il nuovo valore, in accordo al Sixth Assessment Report - IPCC, risulta pari a 29,8 rispetto al precedente valore di 28. Pertanto, le emissioni degli anni 2015 – 2023 sono state ricalcolate in accordo al nuovo GWP.
1.8.1. Quali sono le quantità di gas rigassificate e stoccate dall'impianto per ciascuno degli anni analizzati?
Le quantità di gas rigassificate (espresse in miliardi di Smc) sono riportate nella tabella seguente:
| 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
|---|---|---|---|---|---|---|---|---|
| 0,03 | 0,45 | 0,87 | 1,03 | 3,51 | 3,14 | 1,35 | 3,62 | 3,67 |
Si precisa che i serbatoi di stoccaggio del terminale OLT hanno la funzione di ricevere il gas scaricato dalle navi prima della rigassificazione; essi hanno dunque una funzione operativa legata al funzionamento dell'impianto e non di stoccaggio del gas e il livello di GNL presente nei serbatoi varia nel corso dell'anno in funzione dell'arrivo delle navi.
1.9. A quanto ammontano le riduzioni di emissioni registrate nel terminal di OLT Toscana per ciascuno degli anni sopra indicati?
Si osservano le seguenti variazioni % anno su anno:
| 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
|---|---|---|---|---|---|---|---|---|
| - | +12% | +7% | -4% | +18% | +0% | -7% | +19% | -2% |
Come detto, le emissioni del terminale dipendono fortemente dall'esercizio dello stesso in relazione all'arrivo delle navi e a manutenzioni straordinarie di parti dell'impianto che possono essere discontinui e diversi di anno in anno.
1.10. A quanto ammontano le emissioni fuggitive di metano relative al 2023 dei terminal LNG di Panigaglia, OLT Toscana e FSRU Golar Tundra?

Le emissioni fuggitive di metano (ossia le emissioni di metano dovute alle sole perdite delle tenute) del terminale GNL di Panigaglia sono state nel 2023 pari a 24,7 kton di CO2 equivalente, quelle di FSRU Golar Tundra (Piombino) sono state pari a 0,85 kton, mentre quelle di OLT, società in co-controllo, sono state pari a 0,18 kton di CO2 equivalente. Come già detto, la differenza è motivata dalle diverse soluzioni ingegneristiche e di processo, nonché ai vincoli autorizzativi rispetto alla possibilità di combustione del metano vigenti sull'impianto di Panigaglia. Sono stati comunque già avviati interventi tesi alla riduzione delle emissioni dell'impianto.
1.11. Qual è la quantità del gas importato da ciascuno dei suddetti terminali nel 2023 e primo trimestre 2024? Anno 2023 Panigaglia: 2,4 miliardi di metri cubi ("bcm"); OLT Toscana: 3,67 bcm;
FSRU Golar Tundra: 1,04 bcm.
Primo trimestre 2024* Panigaglia: 0,5 bcm; OLT Toscana: 0,7 bcm; FSRU Golar Tundra: 0,8 bcm.
*dati espressi a potere calorifico superiore ("PCS") standard (pari a 10,57275 kwh/smc).
1.12. Qual è la provenienza, per paese e LNG facility, del gas importato da ciascuno dei suddetti terminali nel 2023 e primo trimestre 2024? Per quanto riguarda il Terminale FSRU Golar Tundra (Piombino): nel 2023 la
provenienza è stata da Qatar, USA, Algeria; nel I trimestre 2024 la provenienza è stata da USA, Egitto e Algeria.
Per quanto riguarda il Terminale GNL di Panigaglia: nel 2023 la provenienza è stata da Algeria, Egitto, Spagna, Francia e Gibilterra; nel I trimestre 2024 la provenienza è stata da Algeria e Spagna.
Per quanto riguarda il Terminale di OLT: nel 2023 la provenienza è stata da Algeria, Egitto, Guinea, Nigeria, Norvegia, Russia e USA; nel I trimestre 2024 la provenienza è stata da USA e Angola.
-
- Snam Rete Gas ha attivato un Servizio di collegamento con navi spola del terminale di rigassificazione di Panigaglia con terminali di rigassificazione ubicati nel Mar Mediterraneo ai sensi dell'art.7 comma 2 del Decreto del Ministero della Transizione Ecologica DM 14 marzo 2022, n. 110.
- 2.1. Quante navi spola sono arrivate al terminal di Panigaglia nel 2023 e primo trimestre 2024?
Come previsto dal quadro normativo, al fine di ottimizzare l'utilizzo del terminale di Panigaglia e di promuovere volumi di gas aggiuntivi per il sistema nazionale, Snam ha predisposto una bacheca per Utenti e Armatori per facilitare l'incontro tra domanda e offerta con riferimento a un servizio di collegamento

tramite navi spola del terminale di rigassificazione di GNL Italia sito in Panigaglia con terminali di rigassificazione ubicati nel Mar Mediterraneo. A oggi, il servizio non risulta ancora essere stato utilizzato.
- 2.1.1. Da quali terminal nel Mediterraneo? Si rimanda alla risposta alla domanda 2.1.
- 2.2.Qual è la quantità di gas importato da ciascun terminal nel Mediterraneo nel 2021, 2022, 2023 e primo trimestre 2024?
I volumi rigassificati nei terminali del mediterraneo possono essere consultati sulla piattaforma ALSI del GLE.
2.2.1. Quali sono i terminal italiani che lo hanno ricevuto? Si rimanda alla risposta alla domanda 2.2.
-
- A marzo 2024, la società di infrastrutture energetiche VITTI e l'asset manager group IKAV hanno costituito un consorzio per acquisire il 70% delle quote di proprietà del terminal Adriatic LNG di Porto Viro. Secondo quanto riportato sulla stampa specializzata, Snam sarebbe orientata ad aumentare la propria quota di proprietà del terminal al 30%.
- 3.1. A quanto corrisponde l'investimento necessario a passare dal 7,3 al 30% della proprietà?
L'investimento per incrementare la quota dal 7,3% al 30% di Adriatic LNG non è stato reso noto, poiché l'operazione è ancora soggetta alle necessarie autorizzazioni regolatorie. La data di conclusione dell'operazione incide sulla determinazione finale del prezzo da corrispondere e per questa ragione il dato non è stato al momento reso pubblico.
3.2.Qual è la quota di operazioni di Adriatic LNG nel mercato regolato?
Il terminale Adriatic LNG opera in regime regolato per una quota pari al 20% della capacità di rigassificazione dell'impianto mentre per il restante 80% gode di una esenzione.
3.3.Qual è la quota di operazioni di GNL Italia (Panigaglia, FSRU Golar Tundra) nel mercato regolato? Il terminale di Panigaglia e il terminale FSRU Golar Tundra (Piombino) operano
in regime regolato per l'intera capacità degli impianti (100%).
- 3.4.Qual è la quota di operazioni di OLT Toscana nel mercato regolato? Il terminale di OLT Toscana opera in regime regolato per l'intera capacità dell'impianto (100%).
-
- Snam ha acquistato una unità galleggiante (FSRU), denominata Golar Tundra, con una capacità di stoccaggio di 170mila metri cubi e una capacità di rigassificazione annua di 5 miliardi di metri cubi di gas. Il terminale è stato posizionato nel porto della città di Piombino nel maggio 2023.

- 4.1.Qual è stato l'investimento complessivo per l'acquisto della FSRU Golar Tundra? Il costo per l'acquisto della nave è stato pari a circa 330 milioni di euro.
- 4.2. Qual è stato il costo dei lavori di adattamento e installazione della nave a Piombino? I costi per attività di adattamento, installazione, collegamento alla rete e commissioning sono stati pari a circa 180 milioni di euro.
- 4.3. Possiamo definire completato l'adattamento della nave alle esigenze dell'azienda? Sì, fatta eccezione per le modifiche che si renderanno necessarie per il trasferimento al nuovo sito identificato al largo di Vado Ligure, al momento soggetto a processo di valutazione ambientale.
- 4.3.1. Se no, perché? Si rimanda alla risposta alla domanda 4.3.
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- Snam d'accordo con il commissario straordinario Toti ha deciso di spostare la FSRU Golar Tundra nel golfo di Savona a partire dal 2026.
- 5.1.Qual è la capacità di stoccaggio e rigassificazione pre-allocata di questo impianto per i prossimi 25 anni?
A oggi risultano conferite le seguenti quote di capacità: 100% per l'Anno Termico 2023/24, 95% per gli Anni Termici 2024/25 e 2025/26, 86% per gli Anni Termici dal 2027/28 al 2043/44. Al momento è stata ipotizzata per il terminale una vita utile commerciale di 20 anni e coerentemente è stata offerta la capacità sul mercato fino al 2044.
5.2. Da quali Paesi verrà questo gas liquido?
La provenienza del GNL nell'Anno Termico 2023/24 è stata prevalentemente da USA, Qatar, Algeria, Egitto e Congo, quest'ultimo nel corso del mese di aprile. In base alla regolazione vigente, Snam viene a conoscenza del Paese di origine del GNL solo in fase di programmazione della discarica, ossia qualche settimana prima della data di consegna, a seguito di opportuna comunicazione da parte degli shipper detentori della capacità di rigassificazione corrispondente.
5.3. Snam ritiene compatibile la durata venticinquennale del progetto con gli obiettivi di decarbonizzazione?
Sì, precisato che al momento la vita utile commerciale considerata è di 20 anni, ossia fino al 2044.
5.3.1. Se sì, perché?
Il progetto è compatibile con gli scenari elaborati da Snam congiuntamente con l'operatore di rete elettrica italiana Terna. I menzionati scenari considerano come riferimento la Legge Europea sul clima (rif. Regolamento UE 2021/1119) che sancisce l'obiettivo dell'UE di raggiungere la neutralità climatica ("Net Zero") entro il 2050 e l'obiettivo intermedio di ridurre le emissioni di gas a effetto serra di almeno il 55% entro il 2030 rispetto ai livelli del 1990 c.d. pacchetto UE Fit-For-55.

5.4. Il progetto sarà operativo da gennaio 2026, come da programmi?
Il trasferimento della nave, ottenute le necessarie autorizzazioni, è previsto al termine del periodo autorizzato di tre anni di esercizio commerciale e quindi nel luglio 2026, compatibilmente con il tempo necessario per i processi autorizzativi e l'esecuzione dei lavori necessari.
5.5. Quale sarà il costo complessivo di questo progetto?
Il costo potrà essere precisamente definito, e dunque reso pubblico, solo a valle dell'autorizzazione e dell'effettuazione delle gare di appalto per la realizzazione degli interventi; al momento si dispone di stime preliminari che sono state opportunamente comprese all'interno del piano investimenti 2023-2027.
5.6. Quanti e quali costi ricadranno su Snam?
I costi che ricadranno su Snam saranno quelli relativi allo spostamento e alla successiva installazione e collegamento alla rete della FSRU. I costi e gli investimenti del progetto sono soggetti al regime regolato.
- 5.7. Quanti e quali costi verranno coperti da fondi pubblici? Non sono previsti fondi pubblici a copertura dei costi di spostamento della FSRU.
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- Rispetto agli impianti a Rischio Incidente Rilevante già presenti nella provincia di Savona e piani di emergenza esterna come evidenziato dalla stessa Società proponente, l'ubicazione della nave Golar Tundra (essa stessa impianto a RIR) è prevista in una zona con elevatissima presenza di siti, installazioni e stabilimenti di vario tipo. In particolare, si evidenza la presenza in zona di prossimità di quattro Stabilimenti a Rischio Incidente Rilevante di soglia superiore (D.Lgs 105/2015):
- ‒ SAVONA, NC037 Stabilimento di Soglia Superiore ITALIANA PETROLI SPA Stoccaggio di combustibili
- ‒ VADO LIGURE, NC007N Stabilimento di Soglia Superiore INFINEUM ITALIA S.R.L. Impianti chimici
- ‒ VADO LIGURE, NC026 Stabilimento di Soglia Superiore ALKION TERMINAL VADO LIGURE S.R.L. Stoccaggio di combustibili
- ‒ QUILIANO, NC009 Stabilimento di Soglia Superiore S.A.R.P.O.M. S.R.L. Stoccaggio e distribuzione.
- 6.1. Saranno pubblicati da Snam e in ogni caso valutati i piani di emergenza esterna di detti impianti?
Il Piano di Emergenza Esterno (P.E.E.) sarà redatto dalla prefettura territoriale sulla base degli scenari definiti nel Rapporto di Sicurezza dello stabilimento Snam e degli stabilimenti limitrofi.
6.2.Sono stati valutati e verranno presentati piani dettagliati per evitare l'effetto domino in caso di rischio d'incidente rilevante per interazione fra gli impianti su terra previsti in progetto e gli stabilimenti a rischio sopra elencati?
Il progetto non prevede la realizzazione on-shore di impianti a rischio incidente rilevante in quanto trattasi di attività predisposte per il trasporto di gas naturale e non per il suo deposito.

6.3.Sono stati valutati gli impatti ambientali derivanti da incidenti rilevanti che coinvolgano gli impianti su terra previsti in progetto e gli stabilimenti a rischio sopra elencati?
Tutti gli impatti ambientali dell'opera sono valutati nell'ambito della procedura di Valutazione di Impatto Ambientale (V.I.A.) prevista dal D. Lgs. 152/2006. Il progetto non prevede la realizzazione on-shore di impianti a rischio incidente rilevante. In fase di progettazione del punto di entrata a terra è stata valutata ed esclusa, come condiviso con gli enti territoriali preposti e sulla base delle informazioni del vigente Rapporto di Sicurezza e del Piano di Emergenza Esterno, qualsiasi interferenza degli scenari incidentali individuati per lo Stabilimento di SARPOM S.r.l. che risulta essere il più vicino all'impianto.
6.4.Sono in valutazione eventuali collocazioni alternative?
La collocazione a Vado è stata identificata come la più adatta a valle di un processo di valutazione complessivo. Al momento non sono all'esame collocazioni alternative.
- 6.4.1. Se sì, quali? Si rimanda alla risposta alla domanda 6.4.
- 6.5.È stata presa in analisi l'eventualità di spostare ulteriormente l'opera? Si rimanda alla risposta alla domanda 6.4.
- 6.6.È stata valutata l'opzione di rivendere la nave Golar Tundra? No, in quanto la sua capacità di rigassificazione è stata già venduta a diversi operatori per i prossimi 20 anni di previsto esercizio.
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- Quando è stato effettuato il closing dell'operazione di acquisto della FSRU BW Singapore? A seguito del signing del 6 luglio 2022, il 4 dicembre 2023 Snam e BW LNG hanno finalizzato l'acquisizione da parte del gruppo Snam del 100% del capitale sociale di FSRU I Limited, società che detiene la proprietà dell'unità di stoccaggio e rigassificazione galleggiante (FSRU – Floating, Storage and Regasification Unit) "BW Singapore".
- 7.1.Qual è stato il costo di acquisto? Il corrispettivo totale è stato pari a circa USD 400 milioni (corrispondenti a circa 367 milioni di euro).
- 7.2. Snam sta valutando la costruzione di un secondo rigassificatore nell'alto Adriatico oltre a quello di Ravenna, su terra o offshore? No.
- 7.2.1. Se sì, dove? Si rimanda alla risposta alla domanda 7.2.
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- Snam ha costruito o ha in programma di costruire nuovi depositi di gas o di GNL? No.

8.1 Se sì, dove? Si rimanda alla risposta alla domanda 8.
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- Quante e quali sono le FSRU acquistate o che verranno acquistate entro il 2025? Non sono previste al momento ulteriori acquisizioni di FSRU nel 2025.
- 9.1. Quante e quali sono o saranno operative entro il 2025? Si rimanda alla risposta alla domanda 9.
- 9.2. Snam ha completato l'acquisto della FSRU Golar Artic? No.
- 9.3. Qual è la sua capacità di rigassificazione e qual è la sua capacità di stoccaggio? Si rimanda alla risposta alla domanda 9.2.
- 9.4. Qual è stato il costo complessivo dell'investimento? Si rimanda alla risposta alla domanda 9.2.
- 9.5. Quali lavori sono stati effettuati sulla nave? Si rimanda alla risposta alla domanda 9.2.
- 9.5.1. Con quale costo? Si rimanda alla risposta alla domanda 9.2.
- 9.6. Quali lavori devono ancora essere effettuati? Si rimanda alla risposta alla domanda 9.2.
- 9.6.1. Con quale costo? Si rimanda alla risposta alla domanda 9.2.
- 9.7. Dove verrà installata la FSRU Golar Artic? Si rimanda alla risposta alla domanda 9.2.
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- Snam può confermare che nessuna unità di rigassificazione e stoccaggio verrà installata a Portovesme?
La scelta dei luoghi dove posizionare eventuali unità di rigassificazione e/o stoccaggio nella regione Sardegna dipende dai piani che verranno sviluppati dal Ministero dell'Ambiente e della Sicurezza Energetica ("MASE") e dalla Regione Sardegna, a seguito dell'annunciata rivisitazione del Decreto del Presidente del Consiglio dei Ministri ("DPCM") del 29 marzo 2022: "Individuazione delle opere e delle infrastrutture necessarie al phase out dell'utilizzo del carbone in Sardegna e alla decarbonizzazione dei settori industriali dell'isola" (si rimanda in proposito alla risposta alla domanda 12).

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- Qual è il ruolo di Snam nel progetto di stoccaggio e rigassificazione previsto nel porto di Cagliari, presentato inizialmente da Isgas e poi da Sardinia Lng (partecipata da Isgas, Cosin e Vitaly (a sua volta controllata per il 50 per cento da Vitol e per l'altro 50 da Comoil)? Snam non ha alcun ruolo nel progetto indicato.
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- A fine gennaio 2024 la Presidenza del Consiglio dei ministri ha definito una proposta di decreto energia per la Sardegna, in attesa di approvazione. Il Dpcm definisce tra le altre cose il quadro delle infrastrutture per il gas per l'isola e l'adattamento dei terminal di rifornimento con cui i terminal da costruirsi in Sardegna si dovrebbero collegare con un servizio di navi bettoline ai terminal di Panigaglia e di Livorno (OLT).
Nonostante le interlocuzioni intervenute nel corso della seconda metà del 2023 tra il MASE e la Regione Sardegna per pervenire ad una proposta di modifica condivisa, il DPCM 29 marzo 2022 "Individuazione delle opere e delle infrastrutture necessarie al phase out dell'utilizzo del carbone in Sardegna e alla decarbonizzazione dei settori industriali dell'isola" è tuttora oggetto di ricorso presso il Consiglio di Stato. Non è quindi allo stato possibile effettuare valutazioni su assetto, impatti, tempi e costi in merito a un'eventuale infrastruttura di ricezione e trasporto gas in Sardegna, alternativa a quanto previsto nel DCPM né ovviamente sono iniziati i relativi lavori di costruzione. Considerazione analoga vale per le strutture di alimentazione.
Snam o sue controllate non sono parte di una cabina di regia, non hanno definito accordi né con Higas né con Sardinia LNG e non hanno acquistato alcuna FSRU da installarsi a Porto Torres o in altro sito della regione Sardegna.
12.1.Quando sono iniziati e quanto dureranno i lavori di adeguamento del terminal di Panigaglia?
Si rimanda alla risposta alla domanda 12.
- 12.1.1. Con quali costi? Si rimanda alla risposta alla domanda 12.
- 12.2. Qual è il piano di rientro sull'investimento per questa infrastruttura? Si rimanda alla risposta alla domanda 12.
- 12.2.1. Con quali tempistiche? Si rimanda alla risposta alla domanda 12.
- 12.3.Quali impatti avranno sui contratti in essere di importazione di LNG, e sugli accordi di esportazione di gas? Si rimanda alla risposta alla domanda 12.
- 12.3.1. Chi coprirà i costi diretti e indiretti di tali lavori? Il quadro regolatorio applicabile alle infrastrutture in oggetto, ivi incluso il relativo trattamento dei costi, sarà definito dall'Autorità competente.
- 12.4.Quando sono iniziati e quanto dureranno i lavori di adeguamento del terminal OLT? Si rimanda alla risposta alla domanda 12.

12.4.1. Con quali costi? Si rimanda alla risposta alla domanda 12.
- 12.4.2. Qual è il piano di rientro sull'investimento per quest'infrastruttura? Si rimanda alla risposta alla domanda 12.
- 12.4.3. Con quali tempistiche? Si rimanda alla risposta alla domanda 12.
- 12.4.4. Quali impatti avranno sui contratti in essere di importazione di LNG, e sugli accordi di esportazione di gas? Si rimanda alla risposta alla domanda 12.
- 12.4.5. Chi coprirà i costi diretti e indiretti di tali lavori? Si rimanda alla risposta alla domanda 12.
- 12.5.Quali sono le tempistiche per la ridefinizione del progetto di metanizzazione della Sardegna, nell'ambito della nuova cabina di regia? Non siamo a conoscenza, al momento, di alcuna convocazione di una cabina di regia che preveda la partecipazione di Snam o di sue controllate.
- 12.6.Quali soggetti partecipano alla cabina di regia? Si rimanda alla risposta alla domanda 12.5.
- 12.7.Quanti incontri sono stati fatti con MASE e GSE per definire la struttura definitiva del progetto? Si rimanda alla risposta alla domanda 12.5.
- 12.8.Quanti km di gasdotti sono previsti in quest'ultima stesura, e in quali zone della Sardegna? Si rimanda alla risposta alla domanda 12.
- 12.9.Sono in attivo accordi e/o collaborazioni con HiGas LNG Terminal e Sardina LNG per la riformulazione del progetto a Oristano e a Cagliari? Si rimanda alla risposta alla domanda 12.
- 12.10.Snam provvederà all'acquisto di carri bombolai? Si rimanda alla risposta alla domanda 12.
- 12.10.1. Con quale investimento? Si rimanda alla risposta alla domanda 12.
- 12.10.2. Come verrà ripagato lo stesso? Si rimanda alla risposta alla domanda 12.
- 12.11. La FSRU che verrà installata a Porto Torres è già di proprietà di Snam o della sua controllata ENURA? Si rimanda alla risposta alla domanda 12.

- 12.11.1. Se sì, qual è stato l'investimento? Si rimanda alla risposta alla domanda 12.
- 12.11.2. Come verrà ripagato lo stesso? Si rimanda alla risposta alla domanda 12.
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- Sono in essere accordi e/o collaborazioni con la Fiume Santo Spa? No.
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- Qual è l'impatto ambientale e climatico della virtual pipeline di Porto Torres? Si rimanda alla risposta alla domanda 12.
- 14.1.Sono previste compensazioni economiche e/o ambientali? Si rimanda alla risposta alla domanda 12.
- 14.1.1. Se sì di che tipo? Si rimanda alla risposta alla domanda 12.
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- Qual è l'impatto ambientale e climatico della virtual pipeline di Oristano? Si rimanda alla risposta alla domanda 12.
- 15.1.Sono previste compensazioni economiche e/o ambientali? Si rimanda alla risposta alla domanda 12.
- 15.1.1. Se sì, di che tipo? Si rimanda alla risposta alla domanda 12.
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- Qual è l'impatto ambientale e climatico della virtual pipeline di Cagliari? Si rimanda alla risposta alla domanda 12.
- 16.1.Sono previste compensazioni economiche e/o ambientali? Si rimanda alla risposta alla domanda 12.
- 16.1.1. Se sì, di che tipo? Si rimanda alla risposta alla domanda 12.
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- Qual è l'impatto climatico della FSRU Golar Tundra sull'arco di operatività di 25 anni prevista da Snam?
L'operatività della Golar Tundra è prevista in 20 anni. Le emissioni della FSRU sono funzione della quantità di LNG che viene rigassificato. Nel caso della Golar Tundra bisogna poi tener conto dell'atteso spostamento della stessa a Vado Ligure. Nel 2023 le emissioni collegate sono state 28 mila tonnellate ("kton") di CO2 equivalente ("eq."). Peraltro, giova sottolineare che l'impatto sul clima è stato valutato in fase di Autorizzazione Unica e ritenuto trascurabile, come indicato nella Relazione Studio Ambientale.
- Qual è l'impatto climatico della FSRU BW Singapore sull'arco di operatività di 20 anni prevista da Snam?

Le emissioni della FSRU sono funzione della quantità di LNG che viene rigassificato. Nel caso della BW Singapore bisogna poi tener conto che la FSRU non è ancora operativa e che non sono state completate le operazioni commerciali collegate. Peraltro, giova sottolineare che l'impatto sul clima è stato valutato in fase di Autorizzazione Unica e ritenuto trascurabile, come indicato nella Relazione Studio Ambientale.
- Alla luce delle importanti variazioni dei prezzi di mercato del gas e dell'energia degli ultimi anni, è stata effettuata una valutazione comparata, ai prezzi di mercato attuali, tra i tratti di rete eventualmente necessari al progetto di metanizzazione della Sardegna e la possibilità di passare alla piena elettrificazione da fonti rinnovabili escludendo quindi il passaggio dal carbone al gas?
Si rimanda alla risposta alla domanda 12.
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- È stata effettuata una valutazione dell'impatto climatico complessivo del terminale di Porto Torres, collegamento del terminale alle zone industriali e trasporto del gas liquido via navi gasiere parte del progetto della virtual pipeline? Si rimanda alla risposta alla domanda 12.
- 20.1.È stata effettuata una analisi comparata del progetto complessivo di metanizzazione della Sardegna, rispetto all'alternativa della piena elettrificazione incentrata su produzione in loco di energia rinnovabile? Si rimanda alla risposta alla domanda 12.
- 20.1.1. Se sì, Snam può pubblicare un estratto del testo della relazione e le conclusioni a cui la stessa è pervenuta? Si rimanda alla risposta alla domanda 12.
Se no, per quale motivo non è stata condotta? Si rimanda alla risposta alla domanda 12.
- È stata effettuata una nuova analisi costi-benefici, in particolare alla luce delle recenti modifiche del progetto, dell'aumento dei costi e dell'aumento del prezzo del gas rispetto alle previsioni originarie di costo?
Si rimanda alla risposta alla domanda 12.
- 21.1.Se no, è previsto di fare una nuova analisi costi benefici sul progetto complessivo di metanizzazione della Sardegna e con quali tempistiche? Si rimanda alla risposta alla domanda 12.
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- Secondo lo studio LNG Demand and Capacity Outlook di Ieefa, la domanda futura di gas liquido al 2030 sarà in costante riduzione. L'ultima analisi degli scenari sulla domanda del gas del 1 Ecco Climate mostra come le ipotesi di nuovi investimenti in infrastrutture per l'importazione di gas (lo spostamento della FSRU da Piombino a Vado Ligure, la Linea Adriatica, l'ampliamento del TAP, i terminali on-shore a Gioia Tauro e Porto Empedocle e il progetto Poseidon-Eastmed) sarebbero "necessarie" alla sicurezza energetica nazionale solo a fronte di una domanda nazionale che rimane alta su volumi non coerenti né con gli

obiettivi climatici al 2030 né con gli impegni assunti con l'Accordo di Parigi. Inoltre, dati ufficiali della Commissione europea confermano il trend in calo della domanda di gas in Europa, per altro auspicabile per raggiungere gli obiettivi di decarbonizzazione concordati proprio con gli Accordi di Parigi. Tuttavia, le proiezioni di Snam prevedono un aumento della domanda di gas nei prossimi anni.
22.1.Quali sono i riferimenti utilizzati da Snam per definire i propri scenari sulla domanda futura?
Gli scenari elaborati congiuntamente con l'operatore della rete elettrica nazionale (Terna) considerano come riferimento la Legge Europea sul clima (Rif. Regolamento UE 2021/1119) che sancisce l'obiettivo dell'UE di raggiungere la neutralità climatica ("Net Zero") entro il 2050 e l'obiettivo intermedio di ridurre le emissioni di gas a effetto serra di almeno il 55% entro il 2030 rispetto ai livelli del 1990 (c.d. pacchetto UE "Fit-For-55").
22.2.Quali sono le previsioni di utilizzo delle infrastrutture controllate da Snam per gli anni 2025, 2030, 2040, 2050?
La capacità delle infrastrutture di trasporto nazionale e di importazione di GNL e il loro sviluppo all'interno del Piano Decennale vengono valutati su scenari contrastanti di domanda e approvvigionamento così come definiti all'interno del Documento di Descrizione degli Scenari che Snam sviluppa congiuntamente all'operatore della rete elettrica nazionale Terna e disponibili sul sito Snam (https://www.snam.it/it/i-nostri-business/trasporto/piani-decennali/piano-
decennale-Snam-Rete-Gas/2023-2032.html). Conseguentemente escono tassi di utilizzo delle diverse infrastrutture differenziati che vengono poi verificati e valutati con le domande di picco giornaliere in diverse condizioni climatiche invernali.
- 22.3.Quali sono gli accordi già in essere rispetto all'assegnazione della capacità di import di gas liquido proveniente dagli Stati Uniti? Si rimanda alla risposta alla domanda 5.2.
- 22.3.1. Per quali annualità? Si rimanda alla risposta alla domanda 5.2.
- 22.3.2. Da quali impianti di esportazione negli Stati Uniti? Si rimanda alla risposta alla domanda 5.2.
- 22.3.3. Verso quali terminal di rigassificazione, tra quelli controllati da Snam? Si rimanda alla risposta alla domanda 5.2.
- 22.4.Snam o le società partecipate da Snam comprano direttamente gas liquido dai terminal statunitensi?
Snam acquista GNL solo ai fini del commissioning dei nuovi terminali attraverso procedure d'asta competitive. Il Paese di origine del GNL non è una informazione presa in considerazione ai fini della procedura. Il gas per il commissioning per l'FSRU Golar Tundra è stato importato dall'Egitto nel maggio del 2023 (nave contrattualizzata per 166.000 metri cubi di GNL, di cui solo quota parte è stata utilizzata per il commissioning).
22.4.1. Se sì quanto ne è stato comprato nel 2022?

Si rimanda alla risposta alla domanda 22.4.
22.4.2. E nel 2023? Si rimanda alla risposta alla domanda 22.4.
- 22.4.3. E nel primo trimestre 2024? Si rimanda alla risposta alla domanda 22.4.
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- Quali sono le emissioni totali di Snam relative ai diversi business (trasporto, stoccaggio, rigassificazione) nel 2020, 2021, 2022, 2023 e primo trimestre 2024?
I dati richiesti sono disponibili nella Relazione sulla Gestione – Rapporto integrato all'interno della Dichiarazione consolidata di carattere non finanziario 2023: più precisamente si fa riferimento all'allegato 4 "Dati ed indicatori di performance", pagina 439.
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- Quali sono i dati di riduzione riportati da Snam nel 2020, 2021, 2022, 2023 e primo trimestre 2024 per ciascun business? Si rimanda alla risposta alla domanda 23.
- 24.1.Quali sono i dati di riduzione specifici per ciascuno degli asset sotto il controllo operativo di Snam, riportati fino al 2022 e a parità di gas trasportato, stoccato, rigassificato?
In virtù dell'estensione della rete di Snam e dell'elevato numero degli asset sotto il suo controllo, è impossibile riportare i dati di riduzione specifici per ciascuno degli asset. Inoltre, a causa dell'elevata variabilità dei flussi e delle infinite combinazioni possibili di condizioni di esercizio della rete, che impattano in maniera importante le emissioni anche a parità di quantità trasportate, è impossibile riportare emissioni a parità di gas trasportato. Le emissioni dirette totali (Scope 1 e Scope 2) di Snam dal 2020 al 2023 sono indicate nelle risposte alla domanda 23, alla quale si rinvia.
- Quali sono gli impianti della rete di trasporto, le centrali di spinta, gli stoccaggi, gli impianti GNL parte del programma Leak Detection and Repair (LDAR) per il monitoraggio ed il controllo delle emissioni fuggitive?
Sono oggetto del programma Leak Detection And Repair ("LDAR") i principali impianti della rete di trasporto, tutte le centrali di spinta, tutti gli impianti di stoccaggio, il terminale GNL di Panigaglia e la FRSU Golar Tundra.
25.1.Quali sono i dati rilevati nel 2020, 2021, 2022, 2023 e primo trimestre 2024 per ciascun impianto?
In virtù dell'estensione della rete di Snam e dell'elevato numero degli asset sotto il suo controllo, è impossibile riportare i dati di riduzione specifici per ciascuno degli asset. In tabella sono riportate le emissioni fuggitive totali di metano (ossia le emissioni di metano dovute alle sole perdite dalle tenute), monitorate attraverso il programma LDAR, per tutti gli asset di Snam, negli anni 2020, 2021, 2022 e 2023, espresse in kton di CO2 equivalente:
| 2020 | 2021 | 2022 | 2023 |
|---|---|---|---|
| 331,2 | 332,6 | 248,5 | 164,9 |

I valori del 1° trimestre 2024 non sono ancora disponibili.
-
- Il gasdotto Gela-Malta è stato incluso nella 5° lista dei "Progetti di interesse comune", con denominazione "Interconnector (IT-MT Italian side) (TRA-N-1063)".
- 26.1.Quali accordi sono stati firmati rispetto all'opera? Al momento non sono stati sottoscritti accordi.
- 26.2.A che punto sono i lavori relativi al terminal di ricezione a Gela e connessione alla rete di trasporto italiana? Al momento i lavori non sono avviati non essendo ancora stata assunta una decisione finale di investimento.
- 26.3.Qual è la timeline relativa alla costruzione del gasdotto? La data di realizzazione non vincolante contenuta nel Piano Decennale è prevista per l'anno 2028 ma tale data è puramente indicativa e soggetta alla sottoscrizione di accordi specifici e alla decisione finale di investimento, al momento non sussistenti, nonché alle tempistiche di tutte le attività eventualmente conseguenti.
- 26.4.Quali impegni contrattuali vincolanti ha sottoscritto Snam in merito al progetto? Al momento non sono stati sottoscritti impegni contrattuali vincolanti.
-
- Qual è la decisione finale di investimento per il gasdotto Matagiola-Massafra? Per il progetto non è ancora stata adottata una decisione finale di investimento, che è soggetta alle richieste vincolanti di capacità incrementale che verranno avanzate su Punti di Entrata nuovi o già esistenti in Puglia.
-
- A che punto sono i lavori di adattamento/retrofitting delle tratte che secondo Snam sono "oggetto di sostituzione nel 2021-25"?
Rif. Rimini – Sansepolcro (DN 650-750) Opera entrata in esercizio a novembre 2022.
Rif. Ravenna – Chieti (DN 650)
Ravenna – Jesi: l'entrata in esercizio della linea principale è prevista entro settembre 2024 mentre l'entrata in esercizio dei ricollegamenti/rifacimenti è prevista entro luglio 2025.
Jesi – Recanati DN 1050: è in esercizio da dicembre 2019. Recanati – Chieti: l'entrata in esercizio della linea principale è prevista entro settembre 2025 mentre l'entrata in esercizio dei ricollegamenti/rifacimenti è prevista entro ottobre 2026.
Rif. San Salvo – Biccari (DN 650) Opera entrata in esercizio a dicembre 2022.
Rif. Recanati – Foligno (fraz. Colfiorito) (DN 650)

In attesa del rilascio dell'Autorizzazione alla Costruzione e all'Esercizio da parte del MASE. L'entrata in esercizio dell'opera principale è prevista a giugno 2026, con i ricollegamenti/rifacimenti previsti a febbraio 2027.
Rif. Foligno (fraz. Colfiorito) – Gallese (DN 650) Decreto di VIA ottenuto. Previsto l'inoltro dell'istanza di A.U. al MASE entro il 2024. L'entrata in esercizio è prevista a dicembre 2027.
Rif. Sansepolcro – Terranuova (DN 750)
Decreto di VIA ottenuto. Si è in attesa dell'avvio del procedimento da parte del MASE per il rilascio dell'Autorizzazione alla Costruzione e all'Esercizio. L'entrata in esercizio dell'opera principale è prevista a giugno 2027, con i ricollegamenti/rifacimenti previsti a settembre 2027.
Rif. Alessandria – Torino (DN 750) Entrata in esercizio prevista nel 2033.
Rif. Sansepolcro – Foligno (DN 400)
Decreto di VIA ottenuto. Il procedimento è in fase istruttoria da parte delle Regioni Toscana e Umbria per il rilascio dell'Autorizzazione alla Costruzione e all'Esercizio. L'entrata in esercizio è prevista a dicembre 2028.
Rif. Ravenna Mare – Ravenna Terra (DN 650 e DN vari) Opera entrata in esercizio a settembre 2023.
Rif. Campodarsego – Castelfranco (DN 300) Opera entrata in esercizio a maggio 2022.
Rif. Pieve Soligo – S. Polo Salgareda (DN 300) Opera entrata in esercizio a maggio 2023.
Rif. Mestre – Trieste (DN 400) Opera entrata in esercizio a maggio 2023.
Rif. Sparacollo -Gagliano fase 1 (DN 400) Opera entrata in esercizio a dicembre 2021.
Rif. Gagliano -Termini fase 2 (DN 400) Decreto di VIA ottenuto. Il procedimento è in fase istruttoria presso la Regione Siciliana per il rilascio dell'Autorizzazione alla Costruzione e all'Esercizio. L'entrata in esercizio è prevista a luglio 2027.
28.1. Qual è il costo attualizzato dei lavori di sostituzione / retrofitting delle tratte sopra elencate?
| Progetto | Costo totale [m€] – Piano 2024 |
Anno Entrata in Esercizio |
|---|---|---|
| Tratto Ravenna - Recanati | 422 | 2026 |

| Tratto Recanati - Chieti | 558 | 2025 |
|---|---|---|
| Derivazioni e allacciamenti vari | 17 | 2025 |
| Totale Ravenna – Chieti (DN 650) | 997 | |
| San Salvo – Biccari (DN 650) | 214 | 2022 |
| Recanati – Foligno (DN 650) | 283 | 2026 |
| Foligno – Gallese (DN 650) | 374 | 2027 |
| Sansepolcro – Terranuova (DN 750) | 165 | 2026 |
| Alessandria – Torino (DN 750) | 370 | 2033 |
- 28.2. Snam beneficerà di aiuti di stato per la copertura di questi lavori? No.
- 28.2.1. Se sì, per quali importi?
Si rimanda alla risposta alla domanda 28.2.
- 28.3. Quali altre tratte saranno oggetto di sostituzione/ retrofitting? Nel piano industriale 2023-2027 sono previsti euro 2,1 miliardi di investimenti in sostituzioni (per un totale di 900 km di metanodotti).
- 28.3.1. Con quali costi e con quale timeline? Si rimanda alla risposta alla domanda 28.1.
-
- Qual è lo stato di avanzamento del progetto "Dorsale adriatica"?
Centrale di Sulmona 3 macchine da 11 MW Permessi pubblici principali ottenuti. Appalto turbocompressori stipulato a marzo 2024. Appalto lavori in fase di aggiudicazione. Lavori relativi alle attività propedeutiche iniziate a marzo 2023. Inizio lavori relativi alle opere principali previsto a luglio 2024 con entrata in esercizio nel 2026. Costo a vita intera: euro 309 milioni.
Metanodotto Sulmona – Foligno DN 1200 Permessi pubblici principali ottenuti. Permessi privati in corso. Stipula appalto lavori prevista entro ottobre 2025. Inizio lavori previsto ad ottobre 2025 con entrata in esercizio nel 2028. Costo a vita intera: euro 789 milioni.
Metanodotto Foligno – Sestino DN 1200 Permessi pubblici principali ottenuti. Permessi privati in corso. Stipula appalto lavori prevista entro luglio 2025. Inizio lavori previsto a luglio 2025 con Entrata in Esercizio nel 2028. Costo a vita intera: euro 622 milioni.

Metanodotto Sestino – Minerbio DN 1200
Permessi pubblici principali ottenuti.
Permessi privati acquisiti.
Avvenuta stipula appalto lavori tra marzo e aprile 2024.
Inizio lavori avvenuto ad aprile 2024 (lotto 1, 2 e 3) mentre l'inizio dei lavori dei lotti 4 e 5 avverrà non oltre giugno 2024. L'Entrata in Esercizio è prevista nel 2026.
Costo a vita intera: euro 694 milioni.
- 29.1.Quali sono i tempi di costruzione e i costi di ogni tratta specifica? Si rimanda alla risposta alla domanda 29.
- 29.2. Quante e quali stazioni di compressione e spinta sono oggetto di sostituzione/ retrofitting?
Entro il 2032 sono previsti interventi di retrofitting (installazione elettrocompressori) nelle seguenti centrali:
- Malborghetto;
- Poggio Renatico;
- Messina;
- Settala;
- Minerbio Stoccaggio;
- Fiume Treste;
- Gallese;
- Montesano;
- Terranuova Bracciolini;
- Sergnano Stoccaggio;
- Ripalta;
- Cortemaggiore;
- Melizzano;
- Tarsia;
- Enna;
- Istrana;
- Masera;
- Sabbioncello.
- 29.3.Qual è il costo attualizzato per i lavori su ciascun impianto? Si rimanda alla risposta alla domanda 29.
-
- Sono in discussione con il governo e con gli enti regolatori accordi relativi alla remunerazione regolata del comparto idrogeno?
Ad aprile 2024 è stato pubblicato nella Gazzetta Ufficiale dell'Unione Europea il Hydrogen and decarbonised gas market package, composto da una direttiva e un regolamento, che delinea a livello europeo le misure necessarie per sostenere lo sviluppo di infrastrutture dedicate e di mercati efficienti. Su tale tema viene lasciato ampio margine decisionale alle istituzioni nazionali nel prossimo recepimento della Direttiva.

- 30.1.Se sì, quali sono i termini per la remunerazione regolata del trasporto e dello stoccaggio dell'idrogeno? Si rimanda alla risposta alla domanda 30.
- 30.2.Quali sono i tempi per l'entrata in vigore degli accordi? L'iter di recepimento delle direttive comunitarie in legislazione nazionale richiede generalmente tra i 18 e i 24 mesi.
-
- Il piano investimenti di Snam per il periodo 2023-2027 parla di investimenti totali di 11,5 miliardi di euro. Di questi, 10,3 miliardi di euro sono destinati allo sviluppo sostenibile delle infrastrutture e 1,2 miliardi per la transizione energetica.
- 31.1.Che cosa intende Snam per sviluppo sostenibile delle infrastrutture? La sostenibilità è integrata nella strategia aziendale; logiche e approccio trovano applicazione sia nello sviluppo e gestione delle infrastrutture che delle sue attività in generale.
- 31.2.Qual è la definizione tecnica adottata da Snam per "infrastrutture multimolecola"? Non si tratta di una definizione tecnica. L'ambizione di Snam è lo sviluppo di un'infrastruttura energetica per un futuro sostenibile, attraverso il riadattamento (repurposing) e il continuo ammodernamento della rete, per accogliere in prospettiva volumi crescenti di molecole verdi, in coerenza con le diverse disposizioni normative. È stato delineato molto chiaramente nel piano industriale presentato al mercato.
- 31.3.Snam può rendere pubblica la scheda con le specifiche tecniche delle infrastrutture adatte al trasporto "multimolecola" di gas naturale, CO2, idrogeno? Si rimanda alla risposta alla domanda 31.2.
-
- Tra gli interventi per la riduzione delle emissioni dei nuovi gasdotti e terminal GNL, Snam fa riferimento all'installazione di strumentazione azionata elettricamente anziché a gas.
- 32.1. Quanta energia elettrica è stata utilizzata nel 2023 da Snam a questo fine? Snam contabilizza tutti i vari usi energetici, incluso l'uso industriale di energia elettrica delle proprie infrastrutture per la gestione dei servizi gas, che comprendono anche questi usi, peraltro marginali rispetto al consumo totale di energia elettrica per questi asset (si evidenzia inoltre che nel 2023 oltre il 60% del consumo di energia elettrica per la gestione delle infrastrutture gas è certificata rinnovabile, di cui una parte autoprodotta in impianti fotovoltaici presso i presidi operativi, e l'obiettivo è arrivare rapidamente al 100%).
- 32.1.1. Da dove proviene l'elettricità utilizzata a questo fine? Come detto, il consumo di energia elettrica per questi usi è assolutamente marginale.
- 32.1.2. Come è stata prodotta questa energia? Come detto, il consumo di energia elettrica per questi usi è assolutamente marginale.
-
- Quali tratte della Italian hydrogen backbone sono completate?

L'hydrogen backbone in questo momento è un progetto. Non sono infatti state ancora realizzate tratte ma solo certificata l'hydrogen readiness su 1500 Km circa. Nel piano industriale 2023-2027 sono stati inclusi euro 20 milioni di investimenti relativi all'ingegneria di questo progetto, al fine di identificare le tratte riadattabili e quelle per cui è necessario realizzare alcuni tratti nuovi, nonché gli interventi per il pieno rispetto delle norme di sicurezza relative.
33.1.Per trasportare quali percentuali di idrogeno?
Gli studi ad oggi effettuati sui gasdotti esistenti hanno in generale confermato la loro potenziale capacità di trasportare percentuali di idrogeno fino al 100%
- 33.2.Quali tratte sono da costruire? Si rimanda alla risposta alla domanda 33.
- 33.2.1. Per trasportare quali percentuali di idrogeno? Si rimanda alla risposta alla domanda 33.1.
-
- Quali sono gli accordi contrattuali in essere con le società austriache e tedesche parte del progetto "South H2Corridor"?
SoutH2 Corridor è un progetto promosso da Snam, Trans Austria Gasleitung GmbH, Gas Connect Austria GmbH e Bayernets, i quali hanno firmato una lettera di intenti datata 14 febbraio 2022 con oggetto la dichiarazione a collaborare alla presentazione delle candidature a Progetti d'Interesse Comune (PCI) per la EU con riguardo ai progetti individuali di trasporto H2 dai vari operatori: Italian H2 Backbone (Snam), H2 Readiness of the TAG pipeline system (TAG), H2 Backbone WAG + Penta-West (GCA), HyPipe Bavaria – The Hydrogen Hub (bayernets). Si evidenzia che tali candidature PCI sono state poi effettuate a dicembre 2022 e l'esito positivo di ciascuna è stato ufficializzato in data 08/04/2024 con la pubblicazione nella Gazzetta Ufficiale della UE. Inoltre, Snam ha stipulato memoranda of understanding e/o lettere di intenti con alcuni consorzi di produzione che stanno sviluppando progetti su scala rilevante (dell'ordine di Gigawatt) in Tunisia, tra cui aziende austriache e tedesche. Per ulteriori informazioni si rimanda al sitohttps://www.south2corridor.net/south2
- Quali erano le stime di consumo di gas metano in Italia, secondo Snam, per l'anno 2022 e 2023?
Come operatore di sistema, Snam è tenuta a effettuare e pubblicare quotidianamente previsioni sulla riconsegna gas del giorno seguente. Nel 2022 la media degli scostamenti giornalieri rispetto al consuntivo è stata del 3,65% mentre nel 2023 è stata del 3,07%. Le previsioni di consumo su base annuale vengono aggiornate invece con cadenza trimestrale mentre le previsioni prospettiche su base pluriennale sono oggetto di rivisitazione ogni anno nell'ambito delle definizioni di scenari sviluppati congiuntamente con Terna (si rimanda alla risposta alla domanda 22). Va inoltre considerato che per il Sistema rileva maggiormente il flusso immesso in rete che considera anche i quantitativi resi a stoccaggio e le esportazioni, che nel 2022 e nel 2023 sono state rispettivamente di 4,6 bcm e 2,6 bcm.
35.1.Quali sono le stime per il 2024, 2025, 2026?
Le ultime stime prevedono consumi per il 2024 in linea con il 2023 e una parziale ripresa dei consumi per gli anni seguenti per effetto della normalizzazione dei consumi civili e della ripresa della produzione industriale e del settore termoelettrico, tenuto conto dello sviluppo atteso delle fonti rinnovabili e

dell'efficienza energetica, secondo le traiettorie degli scenari prospettici di decarbonizzazione e rinvenienti dai sistematici confronti con Terna sull'andamento del sistema energetico nazionale nel breve e lungo periodo (si rimanda alla risposta alla domanda 22).
35.2.Quali sono le stime per il 2030, 2040, 2050?
Gli scenari di riferimento sono quelli riportati nel Documento di Descrizione degli Scenari 2023, disponibile alla pagina degli scenari (https://www.snam.it/it/inostri-business/trasporto/piani-decennali/piano-decennale-Snam-Rete-Gas/2023-2032.html) del sito www.snam.it.
-
- Il Piano Mattei del governo italiano parla di trasporto di idrogeno verde dal Nord Africa verso l'Italia. Anche secondo diverse fonti ufficiali in Tunisia, la pipeline terrestre TTPC e i gasdotti offshore TMPC parte del sistema TransMed verranno riconvertiti (retrofitted) da Snam per permettere il trasporto di idrogeno verde.
- 36.1.Snam conferma la riconversione del sistema di pipelines TransMed tra Tunisia e Italia per permettere il trasporto di idrogeno? Snam, quale azionista al 49,9% della società SeaCorridor S.r.l. monitora costantemente le opportunità di sviluppo in ambito trasporto idrogeno delle società del Gruppo SeaCorridor. Ad oggi, sono stati effettuati e sono tutt'ora in corso studi preliminari con l'obiettivo di valutare la possibile riconversione del sistema di pipelines TransMed e/o la costruzione di nuove tratte per il trasporto di H2, da una prospettiva tecnica. La conversione di tali asset gas per il trasporto di H2 dalla Tunisia sarà soggetta a ulteriori studi futuri di natura tecnica e commerciale, nonché alla verifica delle dimensioni della domanda di trasporto e dei diritti di trasporto con la Tunisia.
- 36.1.1. Se sì, qual è il costo atteso per il retrofitting e altri eventuali interventi di adattamento?
- Si rimanda alla risposta alla domanda 36.1.
- 36.1.2. Quali sono i tempi attesi per completare questi interventi? Si rimanda alla risposta alla domanda 36.1.
- 36.1.1. Se sì, qual è il costo atteso per il retrofitting e altri eventuali interventi di adattamento?
- 36.2.Quali sono le percentuali di idrogeno che l'infrastruttura potrà trasportare? Gli studi ad oggi effettuati sui gasdotti esistenti hanno in generale confermato la loro potenziale capacità di trasportare percentuali di idrogeno fino al 100%.
- 36.3.Si tratta di interventi per cui Snam prevede di beneficiare di aiuti di stato? No.
- 36.3.1. Se sì, per quali importi? Si rimanda alla risposta alla domanda 36.3.
- 36.4.Snam beneficia dei fondi CEF- Connecting Europe Facility per questo progetto? Attualmente no. Il programma CEF-Energy finanzia studi e lavori per progetti di comune interesse intra europei ("PCI") e per progetti di mutuo interesse con paesi terzi ("PMI"). Qualora in futuro il progetto sia candidato e gli sia riconosciuto lo stato di PMI, sarà eleggibile per essere candidato ad una richiesta di finanziamento a valere sul programma CEF.

- 36.4.1. Se sì, a quanto ammonta il finanziamento CEF? Si rimanda alla risposta alla domanda 36.4.
- 36.4.2. Quali lavori copre il finanziamento CEF? Si rimanda alla risposta alla domanda 36.4.
- 36.4.3. È prevista un'indennizzazione per le comunità tunisine interessate dal progetto? Il progetto si trova ancora in una fase preliminare di studio quindi non si conoscono le modalità di esecuzione né eventuali compensazioni o indennizzazioni locali.
-
- La riconversione riguarderà anche la tratta algerina del sistema TransMed? Si rimanda alla risposta alla domanda 36.1.
- 37.1.Se sì, qual è il costo atteso per il retrofitting e altri eventuali interventi di adattamento? Si rimanda alla risposta alla domanda 36.1.
- 37.2.Quali sono i tempi attesi per completare questi interventi? Si rimanda alla risposta alla domanda 36.1.
- 37.3.Quali sono le percentuali di idrogeno che l'infrastruttura potrà trasportare? Gli studi ad oggi effettuati sui gasdotti esistenti hanno in generale confermato la loro potenziale capacità di trasportare percentuali di idrogeno fino al 100%.
- 37.4.Si tratta di interventi per cui Snam prevede di beneficiare di aiuti di stato? No.
- 37.4.1. Se sì, per quali importi? Si rimanda alla risposta alla domanda 37.4.
- 37.5.Snam beneficia dei fondi CEF- Connecting Europe Facility per questo progetto? Si rimanda alla risposta alla domanda 36.4.
- 37.5.1. Se sì, a quanto ammonta il finanziamento CEF? Si rimanda alla risposta alla domanda 36.4.
- 37.6.Quali lavori copre il finanziamento CEF? Si rimanda alla risposta alla domanda 36.4.
- 37.7.È prevista un'indennizzazione per le comunità algerine interessate dal progetto? Il progetto si trova ancora in una fase preliminare di studio quindi non si conoscono le modalità di esecuzione né eventuali compensazioni o indennizzazioni locali.
-
- Snam ha in programma anche la costruzione di un idrogenodotto di nuova costruzione tra Tunisia e Italia?
Si rimanda alla risposta alla domanda 36.1.
38.1.Qual è la località di partenza e quale il punto di arrivo di questo idrogenodotto? Si rimanda alla risposta alla domanda 36.1.

- 38.2.Quali sono le percentuali di idrogeno che l'infrastruttura potrà trasportare? Gli studi ad oggi effettuati sui gasdotti esistenti hanno in generale confermato la loro potenziale capacità di trasportare percentuali di idrogeno fino al 100%.
- 38.3.Quali sono i costi previsti per l'investimento? Si rimanda alla risposta alla domanda 36.1.
- 38.4.Si tratta di un investimento per cui Snam prevede di beneficiare di aiuti di stato? No.
- 38.4.1. Se sì, per quale ammontare?
Si rimanda alla risposta alla domanda 38.4.
38.5.Si tratta di un investimento per cui Snam beneficerà di fondi CEF- Connecting Europe Facility?
Si rimanda alla risposta alla domanda 36.4.
- 38.5.1. Se sì, a quanto ammonta il finanziamento CEF? Si rimanda alla risposta alla domanda 36.4.
-
38.6. Quali lavori coprirà il finanziamento CEF? Si rimanda alla risposta alla domanda 36.4.
-
38.7.Si tratta di un progetto già autorizzato in Tunisia? Si rimanda alla risposta alla domanda 36.1.
- 38.7.1. Nel caso l'iter autorizzativo dovesse ancora iniziare, entro quando è previsto il suo inizio ed entro quando la sua conclusione? Si rimanda alla risposta alla domanda 36.1.
-
- Quali sono gli accordi tra Snam e i partner tedeschi che sviluppano e finanziano il principale progetto sull'idrogeno verde in Tunisia, il progetto H2VertTUN? Snam, ad oggi, non ha in essere accordi in riferimento al progetto H2VertTUN.
-
- Nel 2021 Snam ha discusso con il governo tunisino possibili progetti di formazione tecnica di studenti tunisini da parte della compagnia.
- 40.1.Snam sta formando personale tunisino?
Le società del gruppo SeaCorridor, di cui Snam detiene il 49,9% delle quote, impiegano un totale di circa 210 risorse, di cui più del 85% di nazionalità tunisina. Snam sta trasferendo il proprio know-how di settore a tali società grazie a un piano di aggiornamento delle conoscenze suddiviso in diversi moduli formativi.
- 40.1.1. Se sì, con quale obiettivo? Aggiornare la conoscenza del personale locale alle best practice di settore.
-
- Il progetto IdrogeMO di Snam e Hera prevede la produzione di 400 tonnellate di idrogeno verde all'anno grazie alla costruzione di un parco fotovoltaico da 6MW collegato a un elettrolizzatore. Tuttavia, come confermato dal direttore dell'Agenzia per l'Energia e lo

Sviluppo sostenibile (Aess) di Modena Piergabriele Andreoli durante un incontro pubblico tenutosi a Modena il 19/10/2023, per una produzione di 400 tonnellate all'anno, servirebbero almeno 21 MW di potenza fotovoltaica installata e dedicata solo a questo scopo.
- 41.1.Snam può confermare quanto idrogeno verde è possibile produrre grazie all'energia generata da un parco fotovoltaico da 6 MW? Una parte rilevante dell'idrogeno verrà prodotta dall'energia rinveniente dall'impianto fotovoltaico. Il pieno sfruttamento dell'energia disponibile in loco richiederà di collegare all'elettrolizzatore uno stoccaggio elettrochimico (batteria). L'elettrolizzatore sarà alimentato anche con energia verde tramite un power purchase agreement ("PPA")da rete al fine di consentirne un utilizzo ottimale.
- 41.2.Quali sono i progetti di Snam e Hera per raggiungere il target di produzione di 400 tonnellate di idrogeno verde? Si rimanda alla risposta alla domanda 41.1.
- 41.3.Snam concorda che possa essere fuorviante parlare di "idrogeno verde" per il progetto IdrogeMO così come presentato da Snam e Hera? No, non concorda. Il progetto prevede la produzione di idrogeno verde ai sensi del bando PNRR "Hydrogen Valley".
- 41.4.Snam può confermare quale sarà l'utilizzo finale del cd. "idrogeno verde" prodotto dal progetto IdrogeMO, con un dettaglio sulle quantità necessarie a decarbonizzare il tessuto industriale locale, e le quantità necessarie al trasporto pubblico? Sono in corso diverse interlocuzioni con diversi player del trasporto pubblico locale in Emilia-Romagna. La produzione massima prevista dall'impianto di elettrolisi è 400 tonnellate/anno, quantitativo che solo parzialmente contribuisce a decarbonizzare l'intera produzione industriale dell'area di Modena e del trasporto pubblico locale. La stima delle quantità necessarie a decarbonizzare il tessuto industriale e delle quantità necessarie al trasporto pubblico non è attualmente disponibile.
- 41.4.1. Nello specifico, si parla del trasporto pubblico di Modena o di quello di Bologna? Si rimanda alla risposta alla domanda 41.4.
-
- Sono previsti progetti di produzione e/o stoccaggio di idrogeno? In attesa del recepimento del Hydrogen and gas markets decarbonisation package,
attualmente non sono previsti progetti di produzione. Al momento Snam è partner di altri progetti di idrogeno verde, tra cui in particolare Hy2Infra in Puglia, in cui ha il ruolo di riconvertire un gasdotto per trasporto H2.
Si rimanda alla risposta alla domanda 42.
- Sono previsti progetti di produzione e/o stoccaggio di "idrogeno verde"? Si rimanda alla risposta alla domanda 42.
43.1.Se sì dove?
42.1.Se sì, dove?

Si rimanda alla risposta alla domanda 42.
- Qual è stato l'esito del market test funzionale a decidere in merito al raddoppio del gasdotto TAP?
Il 10 aprile 2024 TAP, Snam Rete Gas S.p.A. e Hellenic Gas Transmission System Operator S.A. ("DESFA") ha pubblicato il Rapporto di Valutazione della Domanda ("DAR") in relazione alla procedura di capacità incrementale avviata il 3 luglio 2023.
Il DAR conclude che, sulla base delle indicazioni non vincolanti sulla domanda ricevute, i Transmission System Operator ("TSO") procederanno alla fase successiva del processo di capacità incrementale e inizieranno la fase di progettazione coordinata, con l'intenzione di pubblicare la bozza di proposta di progetto per la consultazione pubblica come da tempistica preliminare inclusa nel DAR.
I TSO stanno quindi procedendo con le attività necessarie a rendere disponibile al mercato la capacità incrementale di 1,2 miliardi di metri cubi all'anno, risultante dalla prima fase vincolante del Market Test 2021 e in linea con gli impegni garantiti. Il Market Test 2023 è in corso. Ulteriori informazioni sono disponibili sul sito della società TAP (https://www.tap-ag.it/).
44.1. Quali sono le previsioni di utilizzo del gasdotto raddoppiato al 2030?
I market test hanno lo scopo di garantire il pieno utilizzo della capacità messa a disposizione da TAP nei diversi anni, sulla base di contratti pluriennali con gli shipper. Qualora dunque i futuri market test da effettuarsi con le cadenze condivise con i diversi regolatori (con riferimento ai quali si rimanda alla risposta alla domanda 44) dovessero evidenziare volumi di domanda corrispondenti a volumi di offerta tali da determinare l'opportunità di una espansione fino al raddoppio della capacità di trasporto del gasdotto, la società effettuerà tali investimenti forte della garanzia sul pieno utilizzo della capacità incrementale per numero di anni sufficiente a rendere sostenibile l'investimento. Al momento non è stata assunta alcuna decisione di espansione della capacità oltre quanto indicato in risposta alla precedente domanda 44.
44.2. Al 2040?
Si rimanda alla risposta alla domanda 44.1.
44.3. Al 2050?
Il 2050 non è un anno studio degli scenari.
- Il gas che arriva dal gasdotto Tap ha altre provenienze oltre quella azera?
Gli operatori commerciali che usufruiscono dei servizi di trasporto del gasdotto TAP non sono tenuti a dichiarare a Snam, e pertanto non dichiarano, la provenienza del gas immesso al punto di entrata del gasdotto TAP. Le informazioni sulla provenienza del gas importato vengono rese pubbliche dal MASE.
- 45.1. Qual è il dettaglio dei flussi? Si rimanda alla risposta alla domanda 45.
- 45.2. Qual è l'esito della verifica di TAP in merito alla possibilità di trasportare idrogeno attraverso il gasdotto?

Recenti studi sviluppati da TAP hanno confermato la potenziale capacità del gasdotto di trasportare idrogeno e sue miscele; ulteriori analisi sono ancora in corso.
45.2.1. Di quali percentuali di idrogeno si parla?
Gli studi a oggi effettuati sui gasdotti esistenti hanno in generale confermato la loro potenziale capacità di trasportare percentuali di idrogeno fino al 100%.
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- Quanti m³ di gas sono transitati su SRG dal punto di connessione di Melendugno nel 2023? Nell'anno 2023, sono stati immessi presso il punto di ingresso di Melendugno circa 10 bcm di gas naturale.
- 46.1. Quali sono le previsioni per il 2024? Per il 2024, sono previsti volumi immessi in linea con i valori del 2023.
- 46.2. Quanti e quali accordi sono in essere fra Snam e Socar? Snam non ha attualmente in essere accordi diretti con la società SOCAR.
- 46.2.1. Possono essere dettagliati gli ambiti? Si rimanda alla risposta alla domanda 46.2.
- 46.2.2. Possono essere definite per ogni accordo le annualità di riferimento? Si rimanda alla risposta alla domanda 46.2.
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- Quali sono gli esiti del market test su idrogeno e CCS di febbraio 2024? I risultati del market test non sono ancora disponibili in quanto il test è ancora in corso; è possibile, infatti, compilare il market test fino al 5 maggio 2024, salvo una proroga del termine su richiesta degli interessati alla partecipazione.
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- Snam e Eni descrivono il progetto CCS di Ravenna come la fase 1 di un progetto transfrontaliero per il trasporto, la liquefazione e lo stoccaggio della CO2 (CALLISTO - CArbon LIquefaction transportation and STOrage - Mediterranean CO2 Network project). Il progetto Callisto prevede la realizzazione di:
- un'infrastruttura di trasporto dedicata alla CO2 in Italia che colleghi i distretti industriali di Venezia, Ferrara e Ravenna al sito di stoccaggio a Ravenna;
- un'infrastruttura di trasporto dedicate alla CO2 in Francia che raccolga le emissioni industriali della valle del Rodano;
- un hub a Fos - Marseille per la raccolta e liquefazione dei volumi provenienti dalla valle del Rodano;
- un hub a Ravenna per la raccolta dei volumi provenienti dallo shipping. Tale opera fa parte del progetto Ravenna CCS;
- un'infrastruttura di stoccaggio, comprensiva di stazione di compressione, presso i giacimenti offshore di Ravenna servita da un'adeguata infrastruttura. Tale opera fa parte del progetto Ravenna CCS.
Il progetto Callisto prevede due fasi:
- Phase 1: prevede nel periodo 2027 - 2032 la cattura di un totale di 3.6 milioni di tonnellate/anno ("Mtpa") di CO2.
- Phase 2: prevede nel periodo 2033 - 2050 la cattura di un totale di 6.4 Mtpa di CO2.

Il progetto Ravenna CCS prevede:
- una fase iniziale, prevista per il 2024, con l'obiettivo di catturare 25mila tonnellate di CO2 all'anno dalla centrale Eni di trattamento di gas naturale di Casalborsetti (Ravenna). Una volta catturata, la CO2 sarà convogliata verso la piattaforma di Porto Corsini Mare Ovest e infine iniettata nell'omonimo giacimento a gas esaurito, situato offshore al largo della costa ravennate.
- nel 2027 è prevista la fase industriale, con l'obiettivo dello stoccaggio fino a 4 milioni di tonnellate di CO2 l'anno e l'avvio delle attività commerciali. Dal 2030 in poi la capacità dei giacimenti permetterà di incrementare la portata fino a 16 o più milioni di tonnellate all'anno in base alle richieste provenienti dagli utilizzatori. Coerentemente con lo sviluppo della capacità di stoccaggio e della domanda, Snam svilupperà un'infrastruttura di trasporto dedicata alla CO2.
- 48.1.Quali sono gli interventi finora realizzati relativi al progetto CCS di Ravenna? Gli interventi tecnici principali finora realizzati riguardano le attività di drilling del pozzo iniettore, la realizzazione dell'impianto di cattura di CO2 presso Casalborsetti e l'adeguamento degli impianti finalizzati all'iniezione di 25 mila tonnellate all'anno di CO2.
- 48.2.In cosa consiste la "fase 1" del progetto? Si rimanda alla risposta alla domanda 48.
- 48.3.Quali sono i tempi di realizzazione, di completamento della fase pilota e di avvio della fase commerciale del progetto? Si rimanda alla risposta alla domanda 48.
- 48.4.Quali sono i costi complessivi? Nel piano industriale 2023-2027 sono previsti investimenti netti per euro 350 milioni.
- 48.5. In cosa consiste la "fase 2" del progetto, con inizio atteso nel 2027? Si rimanda alla risposta alla domanda 48.
- 48.6.Quali sono i tempi di realizzazione e di avvio della fase commerciale del progetto? Si rimanda alla risposta alla domanda 48.
- 48.7.Quali sono gli interventi previsti nell'area di Fos- Marsiglia? Gli interventi previsti presso Fos-Marsiglia includono la realizzazione di un hub di liquefazione dei volumi di CO2 e la realizzazione, sfruttando anche gasdotti esistenti, di un'infrastruttura di trasporto dedicata alla CO2 nella valle del Rodano.
- 48.8.Quali saranno le infrastrutture per il trasporto della CO2 da Fos-Marsiglia agli stoccaggi offshore Ravenna? La CO2 verrà liquefatta presso il terminale di Fos-Marsiglia e trasportata via nave fino al Ravenna Hub; queste attività non rientrano nel perimetro di Snam ma sono coordinate dallo sponsor francese del progetto Air Liquide.
- 48.9.Quali sono gli impianti industriali che "forniranno" la CO2 che verrà stoccata a Ravenna?

È in corso un tavolo con il governo per definire i settori prioritari. A valle di questa identificazione e della definizione del quadro normativo, nonché della conclusione dell'indagine di mercato verranno avviati i primi contratti commerciali.
48.10.Quali sono i costi complessivi della fase 2?
Nel piano industriale 2023-2027 sono previsti investimenti netti per euro 350 milioni per finanziare la iniziale fase di sviluppo e quella successiva industriale.
48.11.A quanto ammonta il finanziamento CEF- Connecting Europe Facility di cui beneficerà il progetto CALLISTO?
Il progetto è stato incluso nella lista PCI della Commissione Europea ed è pertanto eleggibile per il programma CEF-Energy. L'eventuale candidatura per la richiesta di fondi sarà valutata in un prossimo futuro. Al momento non è quindi noto l'eventuale ammontare del finanziamento.
48.12.Quale delle aziende partner è responsabile della progettazione tecnica del progetto CALLISTO?
Il coordinatore del progetto è Air Liquide; le aziende coinvolte sono responsabili per le valutazioni tecniche delle proprie aree di competenza.
- 48.12.1. Quali parti attuative del progetto sono responsabilità di Snam? Il perimetro di Snam include lo sviluppo dei tracciati onshore per il trasporto nella pianura padana, oltre allo sviluppo dell'infrastruttura di stoccaggio e ricezione dei volumi di CO2 in joint venture con Eni.
- 48.12.2. Quali parti attuative del progetto sono responsabilità di Eni? Lo sviluppo dell'infrastruttura di stoccaggio e ricezione dei volumi di CO2 in joint venture con Snam.
- 48.12.3. Quali parti attuative del progetto sono responsabilità di Air Liquide? Coordinatore dell'intero progetto Callisto.
- 48.13.È stata effettuata un'analisi costi-benefici del progetto? Sì.
- 48.13.1. Se sì, con quale esito e dove è stata pubblicata? L'analisi costi-benefici, associata al progetto Callisto, e agli atti della candidatura è stata trasmessa alla commissione valutatrice con esito positivo.
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- È stata effettuato uno studio geologico della regione dell'Alto Adriatico per verificare i rischi collegati all'iniezione di CO2 nei pozzi offshore esausti?
Il progetto prevede una prima fase con iniezione fino a 100 kton di CO2 che sarà effettuata in un livello di un solo giacimento; successivamente lo sviluppo industriale vedrà l'interessamento di una parte degli ulteriori giacimenti, in una zona limitata dell'area dell'Alto Adriatico. Tali giacimenti sono stati fino a oggi utilizzati per la produzione di gas naturale e sono in esercizio da diversi decenni, tempo durante il quale sono stati accumulati notevoli quantità di informazioni e dati, che sono stati utilizzati per costruire lo studio di caratterizzazione mineralogica e di modellazione geochimica dei giacimenti interessati.
Il progetto è stato autorizzato dal MASE, di concerto con tutti gli enti competenti a fronte della presentazione di istanze corredate dai necessari studi e prevede un

complesso Piano di Monitoraggio Ambientale atto a monitorare e certificare la sicurezza dell'iniezione della CO2.
- 49.1. Se sì, con quale esito e dove è stato pubblicato? Si rimanda alla risposta alla domanda 49.
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- A maggio 2022 Snam ed Enagas hanno firmato un Memorandum of Understanding per la costruzione di un gasdotto tra Spagna e Italia. Snam ha dichiarato nel 2023 che la finalità del MoU sarebbe di gestire la produzione di un conceptual study circa lo sviluppo di una pipeline offshore che colleghi la Spagna e l'Italia.
- 50.1. Qual è il risultato del conceptual study? Il progetto non è allo studio e non è inserito nel Piano Decennale di sviluppo di Snam.
- 50.2. Alla luce delle complessità, tecnico, economico e commerciali segnalate da Snam nel 2023, Snam considera il progetto realizzabile? Si rimanda alla risposta alla domanda 50.1.
50.2.1. Se sì, con quali costi e con quali tempi? Si rimanda alla risposta alla domanda 50.1.
- Quanto gas è stato trasportato attraverso il gasdotto Ashkelon- Al Arish nel 2021, 2022, 2023 e primo trimestre 2024?
L'operatore commerciale di EMG non comunica pubblicamente le informazioni relative ai flussi trasportati. La pipeline è in grado di trasportare circa 5 bcm, l'utilizzo, dopo un'iniziale fase di start up volumi è stato in linea con la capacità disponibile. Gli eventi occorsi lo scorso ottobre 2023 hanno determinato una sospensione temporanea dei flussi, ripristinati a partire dal mese di novembre.
- 51.1. Quali sono gli azionisti attuali della società EMED, co-azionista assieme a Snam della società EMG- East Mediterranean Gas Company? Sulla base delle informazioni disponibili l'azionariato della società EMED Pipeline B.V., ad oggi, è così composto:
- 25% EMED Pipeline Holding Limited (detenuta al 100% da NewMed Energy);
- 25% Chevron Cyprus Limited;
- 50% Sphinx EG BV (detenuta al 100% da East Gas Company S.A.E.).
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- Snam è interessata all'acquisto di Edison? No.
- 52.1. Quale sarà il costo dell'acquisizione? Si rimanda alla risposta alla domanda 52.
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- Sono previste altre acquisizioni nel corso del 2024?
Al momento è previsto solo l'incremento della quota in Adriatic LNG da 7,3% al 30%, per cui sono in corso le procedure per ottenere tra le altre le necessarie autorizzazioni regolatorie, come da comunicato stampa del 3 aprile 2024 mentre in data 26 febbraio

2024, Edison ha riconosciuto a Snam il diritto di negoziare in esclusiva l'acquisto del 100% del capitale di Edison stoccaggi; tale diritto scade il 15 giugno 2024.
- 53.1. Nel corso del 2025? Al momento non sono previste acquisizioni per il 2025.
- 53.2. Ci sono state vendite di asset di Snam nel 2023? Il 4 aprile 2023 la partecipazione indiretta di Snam in Industrie De Nora S.p.A. è stata ridotta del 4.20% per un controvalore della vendita pari a circa 144 milioni di euro, portando la partecipazione al 21,59%.
- 53.3. Sono previste vendite di asset di Snam o delle sue controllate nel corso del 2024? Al momento non sono previste vendite di asset di Snam o di sue controllate ma è stato sollecitato un eventuale interesse per la partecipazione detenuta in Interconnector UK. In ogni caso dovesse emergere l'opportunità verranno comunicate tempestivamente ai sensi della normativa vigente.
- 53.4. Sono previste vendite di asset di Snam o delle sue controllate nel corso del 2025? Al momento non sono previste vendite di asset di Snam o di sue controllate e in ogni caso dovesse emergere l'opportunità verranno comunicate tempestivamente ai sensi della normativa vigente.
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- Arbolia, società benefit controllata al 100% da Snam, prevedeva nel 2022 di arrivare a un assorbimento di 7000 tonnellate di CO2, proiettato su 20 anni, traguardo dichiarato raggiunto con la piantumazione di 66mila piante.
- 54.1. In che modo Arbolia monitora lo stato dei progetti che ha contribuito a realizzare? Nella maggior parte dei casi Arbolia è responsabile per la manutenzione dei progetti nei primi due anni dopo la piantumazione, periodo al termine del quale i boschi vengono riconsegnati ai Comuni interessati. La società, per rispettare criteri di prossimità ai progetti e assicurarsi la miglior conoscenza dei territori, ha selezionato due fornitori per ognuna delle 4 macroaree in cui ha diviso il Paese potendo così lavorare in contemporanea con più partner in zone diverse d'Italia.
- 54.2. In che modo Arbolia si assicura che i progetti di rimboschimento abbiano un ciclo di vita superiore ai 20 anni? Si rimanda alla risposta alla domanda 54.1.
- 54.3. Quanti dei progetti di rimboschimento realizzati da Arbolia hanno un vincolo di tutela superiore ai 100 anni? Si rimanda alla risposta alla domanda 54.1.
- 54.4. Tra i servizi offerti da Arbolia alle istituzioni vi è la manutenzione nei primi due anni. Quali sono le società esterne incaricate da Arbolia per questo servizio? Arbolia è direttamente responsabile dell'attività di manutenzione che viene portata avanti con risorse proprie e, se necessario, facendo ricorso ad appaltatori e/o professionisti esterni.
- 54.5. Qual è la frequenza con cui Arbolia monitora lo stato dei progetti avviati e pubblica i dati relativi all'andamento di ciascun progetto?

Per ogni progetto realizzato da Arbolia è disponibile sul sito della società una scheda riepilogativa con tutti i dati principali. Negli anni di manutenzione il monitoraggio avviene più volte l'anno.
- 54.6. Quanti e quali dei progetti di Arbolia hanno necessitato di sostituzione delle piante nei primi due anni di manutenzione? La sostituzione di piante è una pratica comune negli impianti di forestazione urbana, dovuta anche a fattori esterni (quali tipologia del sottosuolo, presenza di animali parassitari che danneggiano le piante, ecc.). La riconsegna ai Comuni prevede un verbale di accettazione dove si certifica il buono stato dei progetti.
- 54.6.1. Qual è la valutazione di Arbolia in merito? Si rimanda alla risposta alla domanda 54.6.
- 54.7.Nel merito dei progetti di Arbolia inseriti in spazi interstiziali, ai lati di grandi infrastrutture (autostrada, tangenziale, ferrovia), spazi cementati o stabilimenti industriali, qual è il valore ecologico di questi progetti secondo Arbolia? Il valore ecologico dei progetti è comunemente misurato in base alla importante
capacità delle piante di generare sequestro di CO2 e PM10 che varia in funzione delle essenze arboree utilizzate e al sito (condizioni dell'area, fascia climatica di appartenenza, ecc..). Vanno inoltre considerati anche i moltissimi benefici ecosistemici che il neo-bosco può andare a esprimere e che sono molto importanti soprattutto per gli spazi c.d. "interstiziali" in ambito urbano e peri-urbano, quali ad esempio: barriere antirumore o di mascheramento, protezione del suolo, stabilizzazione di pendii e scarpate, abbassamento della temperatura, salvaguardia ed incremento della biodiversità, rigenerazione di habitat per la fauna locale, recupero e rinaturalizzazione di aree abbandonate, generazione di aree per la fruizione sociale, fino anche alla possibilità di fitodepurazione.
54.7.1. Qual è lo stato di questi progetti dopo due anni dalla piantumazione? Si rimanda alla risposta alle domande 54.4 e 54.5.