|
|
|
|
Italian
Print
|
|
|
|
Last date: 16/12/2009
Previous date: 15/12/2009
|
 |
| Shares ß1 |
 |
| Fund |
Currency |
Last official Nav |
Previous official Nav |
Change |
Shares outstanding |
Portfolio
Composition
|
Fund
Composition
|
 |
|
ß1 MSCI Euro
|
EUR
|
102,90
|
102,90
|
0,00% 
|
157.372
|
|
|
 |
|
ß1 Ethical Index Euro
|
EUR
|
61,55
|
61,55
|
0,00% 
|
93.597
|
|
|
 |
|
ß1 MSCI Pan Euro
|
EUR
|
93,57
|
93,57
|
0,00% 
|
73.755
|
|
|
 |
|
 |
|
ß1 MSCI Euro - Portfolio Composition as at close of business on:
|
16/12/2009
|
|
 |
|
 |
| ISIN |
Short name |
Whole Shares To Be Subscribed |
Cost EURO |
 |
| BE0003565737 |
KBC GROEP NV
|
237
|
7.601,78
|
 |
| BE0003793107 |
ANHEUSER-BUSCH INBEV NV
|
369
|
13.372,56
|
 |
| BE0003796134 |
DEXIA SA
|
673
|
3.190,69
|
 |
| DE0005140008 |
DEUTSCHE BANK AG-REGISTERED
|
660
|
34.452,00
|
 |
| DE0005151005 |
BASF SE
|
1.290
|
56.437,50
|
 |
| DE0005190003 |
BAYERISCHE MOTOREN WERKE AG
|
425
|
13.682,88
|
 |
| DE0005552004 |
DEUTSCHE POST AG-REG
|
1.023
|
13.979,30
|
 |
| DE0005557508 |
DEUTSCHE TELEKOM AG-REG
|
3.687
|
37.939,23
|
 |
| DE0005785802 |
FRESENIUS MEDICAL CARE AG &
|
254
|
9.451,34
|
 |
| DE0005810055 |
DEUTSCHE BOERSE AG
|
259
|
14.200,97
|
 |
| DE0005937007 |
MAN SE
|
146
|
7.983,28
|
 |
| DE0006483001 |
LINDE AG
|
155
|
13.312,95
|
 |
| DE0007037129 |
RWE AG
|
567
|
37.422,00
|
 |
| DE0007100000 |
DAIMLER AG-REGISTERED SHARES
|
1.192
|
44.247,04
|
 |
| DE0007164600 |
SAP AG
|
1.151
|
36.423,40
|
 |
| DE0007236101 |
SIEMENS AG-REG
|
1.120
|
69.339,20
|
 |
| DE0007500001 |
THYSSENKRUPP AG
|
470
|
11.947,40
|
 |
| DE0007664005 |
VOLKSWAGEN AG
|
174
|
14.137,50
|
 |
| DE0008404005 |
ALLIANZ SE-REG
|
582
|
50.267,34
|
 |
| DE0008430026 |
MUENCHENER RUECKVER AG-REG
|
274
|
29.386,50
|
 |
| DE000BAY0017 |
BAYER AG
|
1.020
|
56.151,00
|
 |
| DE000ENAG999 |
E.ON AG
|
2.464
|
69.681,92
|
 |
| DE000PAH0038 |
PORSCHE AUTOMOBIL HLDG-PFD
|
110
|
4.997,30
|
 |
| ES0113211835 |
BANCO BILBAO VIZCAYA ARGENTA
|
4.861
|
61.005,55
|
 |
| ES0113900J37 |
BANCO SANTANDER SA
|
10.773
|
124.266,56
|
 |
| ES0116870314 |
GAS NATURAL SDG SA
|
836
|
12.213,96
|
 |
| ES0144580Y14 |
IBERDROLA SA
|
4.859
|
31.996,52
|
 |
| ES0148396015 |
INDITEX
|
279
|
12.535,47
|
 |
| ES0173516115 |
REPSOL YPF SA
|
1.009
|
19.110,46
|
 |
| ES0178430E18 |
TELEFONICA SA
|
5.784
|
112.267,44
|
 |
| FI0009000681 |
NOKIA OYJ
|
5.338
|
47.081,16
|
 |
| FI0009003305 |
SAMPO OYJ-A SHS
|
567
|
9.480,24
|
 |
| FI0009007132 |
FORTUM OYJ
|
566
|
10.063,48
|
 |
| FR0000045072 |
CREDIT AGRICOLE SA
|
911
|
12.316,72
|
 |
| FR0000052292 |
HERMES INTERNATIONAL
|
91
|
8.758,75
|
 |
| FR0000120073 |
AIR LIQUIDE SA
|
337
|
27.708,14
|
 |
| FR0000120172 |
CARREFOUR SA
|
763
|
25.053,11
|
 |
| FR0000120271 |
TOTAL SA
|
2.770
|
121.658,40
|
 |
| FR0000120321 |
L'OREAL
|
321
|
24.331,80
|
 |
| FR0000120404 |
ACCOR SA
|
249
|
9.250,35
|
 |
| FR0000120503 |
BOUYGUES SA
|
286
|
9.971,39
|
 |
| FR0000120537 |
LAFARGE SA
|
191
|
10.873,63
|
 |
| FR0000120578 |
SANOFI-AVENTIS
|
1.327
|
71.989,75
|
 |
| FR0000120628 |
AXA SA
|
2.054
|
33.469,93
|
 |
| FR0000120644 |
DANONE
|
646
|
27.358,10
|
 |
| FR0000120693 |
PERNOD-RICARD SA
|
232
|
14.003,52
|
 |
| FR0000121014 |
LVMH MOET HENNESSY LOUIS VUI
|
304
|
23.408,00
|
 |
| FR0000121261 |
MICHELIN (CGDE)-B
|
190
|
10.398,70
|
 |
| FR0000121485 |
PPR
|
100
|
8.273,00
|
 |
| FR0000121972 |
SCHNEIDER ELECTRIC SA
|
275
|
21.304,25
|
 |
| FR0000124141 |
VEOLIA ENVIRONNEMENT
|
450
|
10.147,50
|
 |
| FR0000124711 |
UNIBAIL-RODAMCO SE
|
96
|
14.400,00
|
 |
| FR0000125007 |
COMPAGNIE DE SAINT-GOBAIN
|
465
|
17.553,75
|
 |
| FR0000125486 |
VINCI SA
|
514
|
20.560,00
|
 |
| FR0000127771 |
VIVENDI
|
1.502
|
30.791,00
|
 |
| FR0000130809 |
SOCIETE GENERALE
|
527
|
25.902,05
|
 |
| FR0000131104 |
BNP PARIBAS
|
1.092
|
61.184,76
|
 |
| FR0000131906 |
RENAULT SA
|
241
|
8.662,75
|
 |
| FR0000133308 |
FRANCE TELECOM SA
|
2.384
|
41.267,04
|
 |
| FR0010208488 |
GDF SUEZ
|
1.380
|
40.199,40
|
 |
| FR0010220475 |
ALSTOM
|
264
|
12.971,64
|
 |
| FR0010242511 |
EDF
|
252
|
10.271,52
|
 |
| FR0010613471 |
SUEZ ENVIRONNEMENT CO
|
322
|
5.345,20
|
 |
| IT0000062072 |
ASSICURAZIONI GENERALI
|
1.360
|
24.738,40
|
 |
| IT0000064854 |
UNICREDIT SPA
|
12.266
|
28.303,80
|
 |
| IT0000072618 |
INTESA SANPAOLO
|
10.077
|
31.188,32
|
 |
| IT0001976403 |
FIAT SPA
|
923
|
9.636,12
|
 |
| IT0003128367 |
ENEL SPA
|
6.450
|
26.090,25
|
 |
| IT0003132476 |
ENI SPA
|
3.436
|
59.442,80
|
 |
| IT0003497168 |
TELECOM ITALIA SPA
|
13.912
|
15.094,52
|
 |
| LU0323134006 |
ARCELORMITTAL [EN Amsterdam Li
|
1.161
|
35.027,37
|
 |
| NL0000009066 |
TNT NV
|
522
|
11.076,84
|
 |
| NL0000009082 |
KONINKLIJKE KPN NV
|
2.504
|
29.246,72
|
 |
| NL0000009132 |
AKZO NOBEL
|
348
|
15.974,94
|
 |
| NL0000009165 |
HEINEKEN NV
|
322
|
10.782,17
|
 |
| NL0000009355 |
UNILEVER NV-CVA
|
2.236
|
50.131,12
|
 |
| NL0000009538 |
PHILIPS ELECTRONICS NV
|
1.560
|
31.324,80
|
 |
| NL0000235190 |
EADS NV
|
675
|
8.535,38
|
 |
| NL0000303600 |
ING GROEP NV-CVA
|
2.450
|
17.056,90
|
 |
| NL0000303709 |
AEGON NV
|
1.901
|
8.613,43
|
 |
| NL0006033250 |
KONINKLIJKE AHOLD NV
|
1.619
|
14.766,90
|
 |
| Share Value:
|
2.276.040,80
|
| Rounding Cash:
|
296.459,20
|
| Income Equalisation Cash:
|
2.572.500,00
|
 |
|
TOTAL SUBSCRIPTION VALUE FOR BLOCK OF 25,000 SHARES:
|
2.572.500,00
|
|
|
 |
|
ß1 MSCI Euro - Fund Composition as at close of business on:
|
16/12/2009
|
|
 |
|
 |
|
Cash Component: 25.044,14
|
 |
| ISIN Code |
Short Name |
Closing Price |
Number of Shares |
Exchange |
 |
| BE0003565737 |
KBC GROEP NV
|
32,08
|
1.685
|
BRU
|
 |
| BE0003793107 |
ANHEUSER-BUSCH INBEV NV
|
36,24
|
2.623
|
BRU
|
 |
| BE0003796134 |
DEXIA SA
|
4,74
|
4.784
|
BRU
|
 |
| DE0005140008 |
DEUTSCHE BANK AG-REGISTERED
|
52,20
|
4.692
|
ETR
|
 |
| DE0005151005 |
BASF SE
|
43,75
|
9.170
|
ETR
|
 |
| DE0005190003 |
BAYERISCHE MOTOREN WERKE AG
|
32,20
|
3.021
|
ETR
|
 |
| DE0005552004 |
DEUTSCHE POST AG-REG
|
13,67
|
7.272
|
ETR
|
 |
| DE0005557508 |
DEUTSCHE TELEKOM AG-REG
|
10,29
|
26.207
|
ETR
|
 |
| DE0005785802 |
FRESENIUS MEDICAL CARE AG &
|
37,21
|
1.805
|
ETR
|
 |
| DE0005810055 |
DEUTSCHE BOERSE AG
|
54,83
|
1.841
|
ETR
|
 |
| DE0005937007 |
MAN SE
|
54,68
|
1.038
|
ETR
|
 |
| DE0006483001 |
LINDE AG
|
85,89
|
1.102
|
ETR
|
 |
| DE0007037129 |
RWE AG
|
66,00
|
4.030
|
ETR
|
 |
| DE0007100000 |
DAIMLER AG-REGISTERED SHARES
|
37,12
|
8.473
|
ETR
|
 |
| DE0007164600 |
SAP AG
|
31,65
|
8.181
|
ETR
|
 |
| DE0007236101 |
SIEMENS AG-REG
|
61,91
|
7.961
|
ETR
|
 |
| DE0007500001 |
THYSSENKRUPP AG
|
25,42
|
3.341
|
ETR
|
 |
| DE0007664005 |
VOLKSWAGEN AG
|
81,25
|
1.237
|
ETR
|
 |
| DE0008404005 |
ALLIANZ SE-REG
|
86,37
|
4.137
|
ETR
|
 |
| DE0008430026 |
MUENCHENER RUECKVER AG-REG
|
107,25
|
1.948
|
ETR
|
 |
| DE000BAY0017 |
BAYER AG
|
55,05
|
7.250
|
ETR
|
 |
| DE000ENAG999 |
E.ON AG
|
28,28
|
17.514
|
ETR
|
 |
| DE000PAH0038 |
PORSCHE AUTOMOBIL HLDG-PFD
|
45,43
|
782
|
ETR
|
 |
| ES0113211835 |
BANCO BILBAO VIZCAYA ARGENTA
|
12,55
|
34.552
|
MAD
|
 |
| ES0113900J37 |
BANCO SANTANDER SA
|
11,54
|
76.575
|
MAD
|
 |
| ES0116870314 |
GAS NATURAL SDG SA
|
14,61
|
5.943
|
MAD
|
 |
| ES0144580Y14 |
IBERDROLA SA
|
6,59
|
34.538
|
MAD
|
 |
| ES0148396015 |
INDITEX
|
44,93
|
1.983
|
MAD
|
 |
| ES0173516115 |
REPSOL YPF SA
|
18,94
|
7.172
|
MAD
|
 |
| ES0178430E18 |
TELEFONICA SA
|
19,41
|
41.113
|
MAD
|
 |
| FI0009000681 |
NOKIA OYJ
|
8,82
|
37.943
|
HEL
|
 |
| FI0009003305 |
SAMPO OYJ-A SHS
|
16,72
|
4.030
|
HEL
|
 |
| FI0009007132 |
FORTUM OYJ
|
17,78
|
4.023
|
HEL
|
 |
| FR0000045072 |
CREDIT AGRICOLE SA
|
13,52
|
6.475
|
PAR
|
 |
| FR0000052292 |
HERMES INTERNATIONAL
|
96,25
|
647
|
PAR
|
 |
| FR0000120073 |
AIR LIQUIDE SA
|
82,22
|
2.395
|
PAR
|
 |
| FR0000120172 |
CARREFOUR SA
|
32,84
|
5.424
|
PAR
|
 |
| FR0000120271 |
TOTAL SA
|
43,92
|
19.689
|
PAR
|
 |
| FR0000120321 |
L'OREAL
|
75,80
|
2.282
|
PAR
|
 |
| FR0000120404 |
ACCOR SA
|
37,15
|
1.770
|
PAR
|
 |
| FR0000120503 |
BOUYGUES SA
|
34,87
|
2.033
|
PAR
|
 |
| FR0000120537 |
LAFARGE SA
|
56,93
|
1.358
|
PAR
|
 |
| FR0000120578 |
SANOFI-AVENTIS
|
54,25
|
9.432
|
PAR
|
 |
| FR0000120628 |
AXA SA
|
16,30
|
14.600
|
PAR
|
 |
| FR0000120644 |
DANONE
|
42,35
|
4.592
|
PAR
|
 |
| FR0000120693 |
PERNOD-RICARD SA
|
60,36
|
1.649
|
PAR
|
 |
| FR0000121014 |
LVMH MOET HENNESSY LOUIS VUI
|
77,00
|
2.161
|
PAR
|
 |
| FR0000121261 |
MICHELIN (CGDE)-B
|
54,73
|
1.350
|
PAR
|
 |
| FR0000121485 |
PPR
|
82,73
|
711
|
PAR
|
 |
| FR0000121972 |
SCHNEIDER ELECTRIC SA
|
77,47
|
1.955
|
PAR
|
 |
| FR0000124141 |
VEOLIA ENVIRONNEMENT
|
22,55
|
3.199
|
PAR
|
 |
| FR0000124711 |
UNIBAIL-RODAMCO SE
|
150,00
|
682
|
PAR
|
 |
| FR0000125007 |
COMPAGNIE DE SAINT-GOBAIN
|
37,75
|
3.305
|
PAR
|
 |
| FR0000125486 |
VINCI SA
|
40,00
|
3.654
|
PAR
|
 |
| FR0000127771 |
VIVENDI
|
20,50
|
10.676
|
PAR
|
 |
| FR0000130809 |
SOCIETE GENERALE
|
49,15
|
3.746
|
PAR
|
 |
| FR0000131104 |
BNP PARIBAS
|
56,03
|
7.762
|
PAR
|
 |
| FR0000131906 |
RENAULT SA
|
35,95
|
1.713
|
PAR
|
 |
| FR0000133308 |
FRANCE TELECOM SA
|
17,31
|
16.945
|
PAR
|
 |
| FR0010208488 |
GDF SUEZ
|
29,13
|
9.809
|
PAR
|
 |
| FR0010220475 |
ALSTOM
|
49,14
|
1.877
|
PAR
|
 |
| FR0010242511 |
EDF
|
40,76
|
1.791
|
PAR
|
 |
| FR0010613471 |
SUEZ ENVIRONNEMENT CO
|
16,60
|
2.289
|
PAR
|
 |
| IT0000062072 |
ASSICURAZIONI GENERALI
|
18,19
|
9.667
|
MIL
|
 |
| IT0000064854 |
UNICREDIT SPA
|
2,31
|
87.187
|
MIL
|
 |
| IT0000072618 |
INTESA SANPAOLO
|
3,10
|
71.628
|
MIL
|
 |
| IT0001976403 |
FIAT SPA
|
10,44
|
6.561
|
MIL
|
 |
| IT0003128367 |
ENEL SPA
|
4,05
|
45.847
|
MIL
|
 |
| IT0003132476 |
ENI SPA
|
17,30
|
24.423
|
MIL
|
 |
| IT0003497168 |
TELECOM ITALIA SPA
|
1,09
|
98.887
|
MIL
|
 |
| LU0323134006 |
ARCELORMITTAL [EN Amsterdam Li
|
30,17
|
8.252
|
PAR
|
 |
| NL0000009066 |
TNT NV
|
21,22
|
3.710
|
AMS
|
 |
| NL0000009082 |
KONINKLIJKE KPN NV
|
11,68
|
17.799
|
AMS
|
 |
| NL0000009132 |
AKZO NOBEL
|
45,91
|
2.474
|
AMS
|
 |
| NL0000009165 |
HEINEKEN NV
|
33,49
|
2.289
|
AMS
|
 |
| NL0000009355 |
UNILEVER NV-CVA
|
22,42
|
15.893
|
AMS
|
 |
| NL0000009538 |
PHILIPS ELECTRONICS NV
|
20,08
|
11.089
|
AMS
|
 |
| NL0000235190 |
EADS NV
|
12,65
|
4.798
|
PAR
|
 |
| NL0000303600 |
ING GROEP NV-CVA
|
6,96
|
17.415
|
AMS
|
 |
| NL0000303709 |
AEGON NV
|
4,53
|
13.513
|
AMS
|
 |
| NL0006033250 |
KONINKLIJKE AHOLD NV
|
9,12
|
11.508
|
AMS
|
 |
|
|
 |
|
ß1 Ethical Index Euro - Portfolio Composition as at close of business on:
|
16/12/2009
|
|
 |
|
 |
| ISIN |
Short name |
Whole Shares To Be Subscribed |
Cost EURO |
 |
| BE0003562700 |
DELHAIZE GROUP
|
76
|
4.047,76
|
 |
| BE0003801181 |
FORTIS
|
2.022
|
5.615,09
|
 |
| CH0012032048 |
ROCHE HOLDING AG-GENUSSCHEIN
|
442
|
51.065,19
|
 |
| CH0012138605 |
ADECCO SA-REG
|
115
|
4.404,62
|
 |
| CH0012214059 |
HOLCIM LTD-REG
|
145
|
7.593,67
|
 |
| CH0012221716 |
ABB LTD-REG
|
1.660
|
21.024,72
|
 |
| CH0012332372 |
SWISS REINSURANCE CO LTD-REG
|
266
|
8.805,60
|
 |
| DE0005140008 |
DEUTSCHE BANK AG-REGISTERED
|
384
|
20.044,80
|
 |
| DE0005151005 |
BASF SE
|
658
|
28.787,50
|
 |
| DE0005190003 |
BAYERISCHE MOTOREN WERKE AG
|
240
|
7.726,80
|
 |
| DE0005552004 |
DEUTSCHE POST AG-REG
|
630
|
8.608,95
|
 |
| DE0005557508 |
DEUTSCHE TELEKOM AG-REG
|
2.076
|
21.362,04
|
 |
| DE0005785802 |
FRESENIUS MEDICAL CARE AG &
|
146
|
5.432,66
|
 |
| DE0005810055 |
DEUTSCHE BOERSE AG
|
134
|
7.347,22
|
 |
| DE0006483001 |
LINDE AG
|
121
|
10.392,69
|
 |
| DE0007664005 |
VOLKSWAGEN AG
|
64
|
5.200,00
|
 |
| DE0008032004 |
COMMERZBANK AG
|
743
|
4.714,34
|
 |
| DE0008404005 |
ALLIANZ SE-REG
|
320
|
27.638,40
|
 |
| DE0008430026 |
MUENCHENER RUECKVER AG-REG
|
150
|
16.087,50
|
 |
| DE000PAH0038 |
PORSCHE AUTOMOBIL HLDG-PFD
|
69
|
3.134,67
|
 |
| ES0111845014 |
ABERTIS INFRAESTRUCTURAS SA
|
360
|
5.513,40
|
 |
| ES0113790531 |
BANCO POPULAR ESPANOL
|
778
|
4.150,63
|
 |
| ES0113900J37 |
BANCO SANTANDER SA
|
5.500
|
63.442,50
|
 |
| ES0116870314 |
GAS NATURAL SDG SA
|
354
|
5.171,94
|
 |
| ES0148396015 |
INDITEX
|
184
|
8.267,12
|
 |
| ES0167050915 |
ACS ACTIVIDADES CONS Y SERV
|
224
|
7.441,28
|
 |
| ES0173516115 |
REPSOL YPF SA
|
643
|
12.178,42
|
 |
| FI0009000681 |
NOKIA OYJ
|
2.641
|
23.293,62
|
 |
| FR0000045072 |
CREDIT AGRICOLE SA
|
731
|
9.883,12
|
 |
| FR0000052292 |
HERMES INTERNATIONAL
|
48
|
4.620,00
|
 |
| FR0000120073 |
AIR LIQUIDE SA
|
184
|
15.128,48
|
 |
| FR0000120172 |
CARREFOUR SA
|
437
|
14.348,90
|
 |
| FR0000120321 |
L'OREAL
|
148
|
11.218,40
|
 |
| FR0000120503 |
BOUYGUES SA
|
195
|
6.798,68
|
 |
| FR0000120537 |
LAFARGE SA
|
136
|
7.742,48
|
 |
| FR0000120628 |
AXA SA
|
1.315
|
21.427,93
|
 |
| FR0000120644 |
DANONE
|
323
|
13.679,05
|
 |
| FR0000121261 |
MICHELIN (CGDE)-B
|
114
|
6.239,22
|
 |
| FR0000121485 |
PPR
|
61
|
5.046,53
|
 |
| FR0000121667 |
ESSILOR INTERNATIONAL
|
152
|
6.255,56
|
 |
| FR0000121972 |
SCHNEIDER ELECTRIC SA
|
163
|
12.627,61
|
 |
| FR0000124141 |
VEOLIA ENVIRONNEMENT
|
316
|
7.125,80
|
 |
| FR0000125007 |
COMPAGNIE DE SAINT-GOBAIN
|
254
|
9.588,50
|
 |
| FR0000125486 |
VINCI SA
|
294
|
11.760,00
|
 |
| FR0000130809 |
SOCIETE GENERALE
|
389
|
19.119,35
|
 |
| FR0000131104 |
BNP PARIBAS
|
718
|
40.229,54
|
 |
| FR0000131906 |
RENAULT SA
|
157
|
5.643,37
|
 |
| FR0000133308 |
FRANCE TELECOM SA
|
1.334
|
23.091,54
|
 |
| FR0010220475 |
ALSTOM
|
135
|
6.633,23
|
 |
| GB0002162385 |
AVIVA PLC
|
1.888
|
8.160,36
|
 |
| GB0004082847 |
STANDARD CHARTERED PLC
|
1.229
|
21.805,09
|
 |
| GB0005331532 |
COMPASS GROUP PLC
|
1.367
|
7.149,21
|
 |
| GB0006776081 |
PEARSON PLC
|
614
|
6.042,45
|
 |
| GB0007099541 |
PRUDENTIAL PLC
|
1.787
|
12.591,64
|
 |
| GB0007547838 |
ROYAL BANK OF SCOTLAND GROUP
|
11.792
|
4.224,09
|
 |
| GB0007908733 |
SCOTTISH & SOUTHERN ENERGY
|
621
|
7.892,36
|
 |
| GB0007980591 |
BP PLC
|
12.192
|
79.408,18
|
 |
| GB0008762899 |
BG GROUP PLC
|
2.319
|
28.885,59
|
 |
| GB0008847096 |
TESCO PLC
|
5.393
|
25.293,16
|
 |
| GB0009223206 |
SMITH & NEPHEW PLC
|
705
|
4.931,92
|
 |
| GB0009252882 |
GLAXOSMITHKLINE PLC
|
3.284
|
48.717,46
|
 |
| GB0031274896 |
MARKS & SPENCER GROUP PLC
|
1.189
|
5.375,82
|
 |
| GB0031411001 |
XSTRATA PLC
|
1.995
|
24.389,85
|
 |
| GB0033195214 |
KINGFISHER PLC
|
1.934
|
5.070,32
|
 |
| GB00B033F229 |
CENTRICA PLC
|
3.413
|
10.402,61
|
 |
| GB00B08SNH34 |
NATIONAL GRID PLC
|
1.606
|
11.794,93
|
 |
| GB00B16GWD56 |
VODAFONE GROUP PLC
|
33.459
|
53.436,50
|
 |
| GB00B19NLV48 |
EXPERIAN PLC
|
797
|
5.584,48
|
 |
| GB00B24CGK77 |
RECKITT BENCKISER GROUP PLC
|
437
|
16.022,70
|
 |
| GB00B2B0DG97 |
REED ELSEVIER PLC
|
839
|
4.624,70
|
 |
| GB00B2PF6M70 |
CADBURY PLC
|
972
|
8.619,95
|
 |
| IT0000062072 |
ASSICURAZIONI GENERALI
|
838
|
15.243,22
|
 |
| IT0000062957 |
MEDIOBANCA SPA
|
508
|
4.193,54
|
 |
| IT0000064854 |
UNICREDIT SPA
|
8.667
|
19.999,10
|
 |
| IT0000072618 |
INTESA SANPAOLO
|
6.505
|
20.132,98
|
 |
| IT0001976403 |
FIAT SPA
|
540
|
5.637,60
|
 |
| IT0003132476 |
ENI SPA
|
1.646
|
28.475,80
|
 |
| IT0003242622 |
TERNA SPA
|
2.309
|
6.667,24
|
 |
| IT0003487029 |
UBI BANCA SCPA
|
463
|
4.618,43
|
 |
| IT0003497168 |
TELECOM ITALIA SPA
|
6.641
|
7.205,49
|
 |
| IT0003497176 |
TELECOM ITALIA-RSP
|
4.888
|
3.727,10
|
 |
| JE00B3DMTY01 |
WPP PLC
|
922
|
6.372,20
|
 |
| LU0323134006 |
ARCELORMITTAL [EN Amsterdam Li
|
513
|
15.477,21
|
 |
| NL0000009066 |
TNT NV
|
290
|
6.153,80
|
 |
| NL0000009082 |
KONINKLIJKE KPN NV
|
1.152
|
13.455,36
|
 |
| NL0000009355 |
UNILEVER NV-CVA
|
1.206
|
27.038,52
|
 |
| NL0000009538 |
PHILIPS ELECTRONICS NV
|
651
|
13.072,08
|
 |
| NL0000303600 |
ING GROEP NV-CVA
|
1.462
|
10.178,44
|
 |
| NL0000303709 |
AEGON NV
|
1.166
|
5.283,15
|
 |
| NL0006033250 |
KONINKLIJKE AHOLD NV
|
648
|
5.910,41
|
 |
| NL0006034001 |
ASML HOLDING NV
|
312
|
7.258,68
|
 |
| NL0006144495 |
REED ELSEVIER NV
|
499
|
4.171,14
|
 |
| SE0000101032 |
ATLAS COPCO AB-A SHS
|
494
|
4.924,14
|
 |
| SE0000106270 |
HENNES & MAURITZ AB-B SHS
|
252
|
9.639,46
|
 |
| SE0000115446 |
VOLVO AB-B SHS
|
726
|
4.519,45
|
 |
| SE0000148884 |
SKANDINAVISKA ENSKILDA BAN-A
|
1.573
|
6.935,17
|
 |
| SE0000193120 |
SVENSKA HANDELSBANKEN-A SHS
|
363
|
7.142,76
|
 |
| SE0000427361 |
NORDEA BANK AB
|
2.433
|
17.535,99
|
 |
| SE0000667891 |
SANDVIK AB
|
733
|
6.270,22
|
 |
| US87162M4096 |
SYNTHES INC
|
43
|
3.914,52
|
 |
| Share Value:
|
1.348.276,95
|
| Rounding Cash:
|
190.473,05
|
| Income Equalisation Cash:
|
1.538.750,00
|
 |
|
TOTAL SUBSCRIPTION VALUE FOR BLOCK OF 25,000 SHARES:
|
1.538.750,00
|
|
|
 |
|
ß1 Ethical Index Euro - Fund Composition as at close of business on:
|
16/12/2009
|
|
 |
|
 |
|
Cash Component: 35.821,27
|
 |
| ISIN Code |
Short Name |
Closing Price |
Number of Shares |
Exchange |
 |
| BE0003562700 |
DELHAIZE GROUP
|
53,26
|
323
|
BRU
|
 |
| BE0003801181 |
FORTIS
|
2,78
|
8.592
|
BRU
|
 |
| CH0012032048 |
ROCHE HOLDING AG-GENUSSCHEIN
|
174,50
|
1.878
|
ZRH
|
 |
| CH0012138605 |
ADECCO SA-REG
|
57,85
|
489
|
ZRH
|
 |
| CH0012214059 |
HOLCIM LTD-REG
|
79,10
|
616
|
ZRH
|
 |
| CH0012221716 |
ABB LTD-REG
|
19,13
|
7.053
|
ZRH
|
 |
| CH0012332372 |
SWISS REINSURANCE CO LTD-REG
|
50,00
|
1.131
|
ZRH
|
 |
| DE0005140008 |
DEUTSCHE BANK AG-REGISTERED
|
52,20
|
1.631
|
ETR
|
 |
| DE0005151005 |
BASF SE
|
43,75
|
2.796
|
ETR
|
 |
| DE0005190003 |
BAYERISCHE MOTOREN WERKE AG
|
32,20
|
1.020
|
ETR
|
 |
| DE0005552004 |
DEUTSCHE POST AG-REG
|
13,67
|
2.677
|
ETR
|
 |
| DE0005557508 |
DEUTSCHE TELEKOM AG-REG
|
10,29
|
8.821
|
ETR
|
 |
| DE0005785802 |
FRESENIUS MEDICAL CARE AG &
|
37,21
|
620
|
ETR
|
 |
| DE0005810055 |
DEUTSCHE BOERSE AG
|
54,83
|
570
|
ETR
|
 |
| DE0006483001 |
LINDE AG
|
85,89
|
515
|
ETR
|
 |
| DE0007664005 |
VOLKSWAGEN AG
|
81,25
|
272
|
ETR
|
 |
| DE0008032004 |
COMMERZBANK AG
|
6,35
|
3.157
|
ETR
|
 |
| DE0008404005 |
ALLIANZ SE-REG
|
86,37
|
1.360
|
ETR
|
 |
| DE0008430026 |
MUENCHENER RUECKVER AG-REG
|
107,25
|
638
|
ETR
|
 |
| DE000PAH0038 |
PORSCHE AUTOMOBIL HLDG-PFD
|
45,43
|
293
|
ETR
|
 |
| ES0111845014 |
ABERTIS INFRAESTRUCTURAS SA
|
15,32
|
1.530
|
MAD
|
 |
| ES0113790531 |
BANCO POPULAR ESPANOL
|
5,34
|
3.306
|
MAD
|
 |
| ES0113900J37 |
BANCO SANTANDER SA
|
11,54
|
23.370
|
MAD
|
 |
| ES0116870314 |
GAS NATURAL SDG SA
|
14,61
|
1.504
|
MAD
|
 |
| ES0148396015 |
INDITEX
|
44,93
|
782
|
MAD
|
 |
| ES0167050915 |
ACS ACTIVIDADES CONS Y SERV
|
33,22
|
952
|
MAD
|
 |
| ES0173516115 |
REPSOL YPF SA
|
18,94
|
2.732
|
MAD
|
 |
| FI0009000681 |
NOKIA OYJ
|
8,82
|
11.222
|
HEL
|
 |
| FR0000045072 |
CREDIT AGRICOLE SA
|
13,52
|
3.106
|
PAR
|
 |
| FR0000052292 |
HERMES INTERNATIONAL
|
96,25
|
204
|
PAR
|
 |
| FR0000120073 |
AIR LIQUIDE SA
|
82,22
|
782
|
PAR
|
 |
| FR0000120172 |
CARREFOUR SA
|
32,84
|
1.857
|
PAR
|
 |
| FR0000120321 |
L'OREAL
|
75,80
|
629
|
PAR
|
 |
| FR0000120503 |
BOUYGUES SA
|
34,87
|
829
|
PAR
|
 |
| FR0000120537 |
LAFARGE SA
|
56,93
|
578
|
PAR
|
 |
| FR0000120628 |
AXA SA
|
16,30
|
5.588
|
PAR
|
 |
| FR0000120644 |
DANONE
|
42,35
|
1.372
|
PAR
|
 |
| FR0000121261 |
MICHELIN (CGDE)-B
|
54,73
|
484
|
PAR
|
 |
| FR0000121485 |
PPR
|
82,73
|
259
|
PAR
|
 |
| FR0000121667 |
ESSILOR INTERNATIONAL
|
41,16
|
646
|
PAR
|
 |
| FR0000121972 |
SCHNEIDER ELECTRIC SA
|
77,47
|
693
|
PAR
|
 |
| FR0000124141 |
VEOLIA ENVIRONNEMENT
|
22,55
|
1.342
|
PAR
|
 |
| FR0000125007 |
COMPAGNIE DE SAINT-GOBAIN
|
37,75
|
1.079
|
PAR
|
 |
| FR0000125486 |
VINCI SA
|
40,00
|
1.249
|
PAR
|
 |
| FR0000130809 |
SOCIETE GENERALE
|
49,15
|
1.653
|
PAR
|
 |
| FR0000131104 |
BNP PARIBAS
|
56,03
|
3.051
|
PAR
|
 |
| FR0000131906 |
RENAULT SA
|
35,95
|
667
|
PAR
|
 |
| FR0000133308 |
FRANCE TELECOM SA
|
17,31
|
5.668
|
PAR
|
 |
| FR0010220475 |
ALSTOM
|
49,14
|
574
|
PAR
|
 |
| GB0002162385 |
AVIVA PLC
|
3,84
|
8.022
|
LSE
|
 |
| GB0004082847 |
STANDARD CHARTERED PLC
|
15,78
|
5.222
|
LSE
|
 |
| GB0005331532 |
COMPASS GROUP PLC
|
4,65
|
5.808
|
LSE
|
 |
| GB0006776081 |
PEARSON PLC
|
8,75
|
2.609
|
LSE
|
 |
| GB0007099541 |
PRUDENTIAL PLC
|
6,27
|
7.593
|
LSE
|
 |
| GB0007547838 |
ROYAL BANK OF SCOTLAND GROUP
|
0,32
|
50.106
|
LSE
|
 |
| GB0007908733 |
SCOTTISH & SOUTHERN ENERGY
|
11,30
|
2.639
|
LSE
|
 |
| GB0007980591 |
BP PLC
|
5,79
|
51.806
|
LSE
|
 |
| GB0008762899 |
BG GROUP PLC
|
11,08
|
9.853
|
LSE
|
 |
| GB0008847096 |
TESCO PLC
|
4,17
|
22.916
|
LSE
|
 |
| GB0009223206 |
SMITH & NEPHEW PLC
|
6,22
|
2.995
|
LSE
|
 |
| GB0009252882 |
GLAXOSMITHKLINE PLC
|
13,19
|
13.955
|
LSE
|
 |
| GB0031274896 |
MARKS & SPENCER GROUP PLC
|
4,02
|
5.052
|
LSE
|
 |
| GB0031411001 |
XSTRATA PLC
|
10,87
|
8.477
|
LSE
|
 |
| GB0033195214 |
KINGFISHER PLC
|
2,33
|
8.218
|
LSE
|
 |
| GB00B033F229 |
CENTRICA PLC
|
2,71
|
14.503
|
LSE
|
 |
| GB00B08SNH34 |
NATIONAL GRID PLC
|
6,53
|
6.825
|
LSE
|
 |
| GB00B16GWD56 |
VODAFONE GROUP PLC
|
1,42
|
142.172
|
LSE
|
 |
| GB00B19NLV48 |
EXPERIAN PLC
|
6,23
|
3.387
|
LSE
|
 |
| GB00B24CGK77 |
RECKITT BENCKISER GROUP PLC
|
32,60
|
1.857
|
LSE
|
 |
| GB00B2B0DG97 |
REED ELSEVIER PLC
|
4,90
|
3.565
|
LSE
|
 |
| GB00B2PF6M70 |
CADBURY PLC
|
7,89
|
4.130
|
LSE
|
 |
| IT0000062072 |
ASSICURAZIONI GENERALI
|
18,19
|
3.561
|
MIL
|
 |
| IT0000062957 |
MEDIOBANCA SPA
|
8,26
|
2.159
|
MIL
|
 |
| IT0000064854 |
UNICREDIT SPA
|
2,31
|
36.827
|
MIL
|
 |
| IT0000072618 |
INTESA SANPAOLO
|
3,10
|
27.641
|
MIL
|
 |
| IT0001976403 |
FIAT SPA
|
10,44
|
2.295
|
MIL
|
 |
| IT0003132476 |
ENI SPA
|
17,30
|
6.994
|
MIL
|
 |
| IT0003242622 |
TERNA SPA
|
2,89
|
9.811
|
MIL
|
 |
| IT0003487029 |
UBI BANCA SCPA
|
9,98
|
1.967
|
MIL
|
 |
| IT0003497168 |
TELECOM ITALIA SPA
|
1,09
|
28.219
|
MIL
|
 |
| IT0003497176 |
TELECOM ITALIA-RSP
|
0,76
|
20.770
|
MIL
|
 |
| JE00B3DMTY01 |
WPP PLC
|
6,15
|
3.918
|
LSE
|
 |
| LU0323134006 |
ARCELORMITTAL [EN Amsterdam Li
|
30,17
|
2.180
|
PAR
|
 |
| NL0000009066 |
TNT NV
|
21,22
|
1.232
|
AMS
|
 |
| NL0000009082 |
KONINKLIJKE KPN NV
|
11,68
|
4.895
|
AMS
|
 |
| NL0000009355 |
UNILEVER NV-CVA
|
22,42
|
5.124
|
AMS
|
 |
| NL0000009538 |
PHILIPS ELECTRONICS NV
|
20,08
|
2.767
|
AMS
|
 |
| NL0000303600 |
ING GROEP NV-CVA
|
6,96
|
6.212
|
AMS
|
 |
| NL0000303709 |
AEGON NV
|
4,53
|
4.955
|
AMS
|
 |
| NL0006033250 |
KONINKLIJKE AHOLD NV
|
9,12
|
2.754
|
AMS
|
 |
| NL0006034001 |
ASML HOLDING NV
|
23,27
|
1.326
|
AMS
|
 |
| NL0006144495 |
REED ELSEVIER NV
|
8,36
|
2.120
|
AMS
|
 |
| SE0000101032 |
ATLAS COPCO AB-A SHS
|
104,00
|
2.099
|
STO
|
 |
| SE0000106270 |
HENNES & MAURITZ AB-B SHS
|
399,10
|
1.070
|
STO
|
 |
| SE0000115446 |
VOLVO AB-B SHS
|
64,95
|
3.085
|
STO
|
 |
| SE0000148884 |
SKANDINAVISKA ENSKILDA BAN-A
|
46,00
|
6.684
|
STO
|
 |
| SE0000193120 |
SVENSKA HANDELSBANKEN-A SHS
|
205,30
|
1.543
|
STO
|
 |
| SE0000427361 |
NORDEA BANK AB
|
75,20
|
10.338
|
STO
|
 |
| SE0000667891 |
SANDVIK AB
|
89,25
|
3.115
|
STO
|
 |
| US87162M4096 |
SYNTHES INC
|
137,50
|
182
|
ZRH
|
 |
|
|
 |
|
ß1 MSCI Pan Euro - Portfolio Composition as at close of business on:
|
16/12/2009
|
|
 |
|
 |
| ISIN |
Short name |
Whole Shares To Be Subscribed |
Cost EURO |
 |
| BE0003793107 |
ANHEUSER-BUSCH INBEV NV
|
420
|
15.220,80
|
 |
| CH0008742519 |
SWISSCOM AG-REG
|
13
|
3.382,54
|
 |
| CH0011075394 |
ZURICH FINANCIAL SERVICES AG
|
78
|
11.449,00
|
 |
| CH0012032048 |
ROCHE HOLDING AG-GENUSSCHEIN
|
407
|
47.021,56
|
 |
| CH0012214059 |
HOLCIM LTD-REG
|
117
|
6.127,31
|
 |
| CH0012332372 |
SWISS REINSURANCE CO LTD-REG
|
194
|
6.422,13
|
 |
| CH0038863350 |
NESTLE SA-REG
|
2.209
|
73.126,19
|
 |
| DE0005140008 |
DEUTSCHE BANK AG-REGISTERED
|
303
|
15.816,60
|
 |
| DE0005190003 |
BAYERISCHE MOTOREN WERKE AG
|
188
|
6.052,66
|
 |
| DE0005557508 |
DEUTSCHE TELEKOM AG-REG
|
1.634
|
16.813,86
|
 |
| DE0005810055 |
DEUTSCHE BOERSE AG
|
114
|
6.250,62
|
 |
| DE0006483001 |
LINDE AG
|
81
|
6.957,09
|
 |
| DE0007037129 |
RWE AG
|
254
|
16.764,00
|
 |
| DE0007164600 |
SAP AG
|
492
|
15.569,34
|
 |
| DE0007500001 |
THYSSENKRUPP AG
|
206
|
5.236,52
|
 |
| DE0007664039 |
VOLKSWAGEN AG-PFD
|
65
|
4.451,20
|
 |
| DE0008430026 |
MUENCHENER RUECKVER AG-REG
|
114
|
12.226,50
|
 |
| DE000ENAG999 |
E.ON AG
|
1.084
|
30.655,52
|
 |
| ES0113790531 |
BANCO POPULAR ESPANOL
|
438
|
2.336,73
|
 |
| ES0144580Y14 |
IBERDROLA SA
|
1.989
|
13.097,57
|
 |
| ES0167050915 |
ACS ACTIVIDADES CONS Y SERV
|
107
|
3.554,54
|
 |
| ES0178430E18 |
TELEFONICA SA
|
2.418
|
46.933,38
|
 |
| FI0009003305 |
SAMPO OYJ-A SHS
|
263
|
4.397,36
|
 |
| FR0000045072 |
CREDIT AGRICOLE SA
|
530
|
7.165,60
|
 |
| FR0000120073 |
AIR LIQUIDE SA
|
141
|
11.593,02
|
 |
| FR0000120271 |
TOTAL SA
|
1.215
|
53.362,80
|
 |
| FR0000120404 |
ACCOR SA
|
113
|
4.197,95
|
 |
| FR0000120537 |
LAFARGE SA
|
108
|
6.148,44
|
 |
| FR0000120628 |
AXA SA
|
870
|
14.176,65
|
 |
| FR0000120693 |
PERNOD-RICARD SA
|
114
|
6.881,04
|
 |
| FR0000121261 |
MICHELIN (CGDE)-B
|
81
|
4.433,13
|
 |
| FR0000121972 |
SCHNEIDER ELECTRIC SA
|
126
|
9.761,22
|
 |
| FR0000124711 |
UNIBAIL-RODAMCO SE
|
47
|
7.050,00
|
 |
| FR0000125486 |
VINCI SA
|
238
|
9.520,00
|
 |
| FR0000130809 |
SOCIETE GENERALE
|
257
|
12.631,55
|
 |
| FR0000131906 |
RENAULT SA
|
105
|
3.774,23
|
 |
| FR0010208488 |
GDF SUEZ
|
615
|
17.914,95
|
 |
| FR0010242511 |
EDF
|
112
|
4.565,12
|
 |
| GB0001411924 |
BRITISH SKY BROADCASTING GRO
|
637
|
4.080,09
|
 |
| GB0002374006 |
DIAGEO PLC
|
1.439
|
17.106,95
|
 |
| GB0002875804 |
BRITISH AMERICAN TOBACCO PLC
|
1.020
|
22.255,56
|
 |
| GB0004544929 |
IMPERIAL TOBACCO GROUP PLC
|
572
|
12.184,64
|
 |
| GB0005331532 |
COMPASS GROUP PLC
|
1.044
|
5.459,97
|
 |
| GB0006043169 |
WM MORRISON SUPERMARKETS
|
1.328
|
4.164,16
|
 |
| GB0007188757 |
RIO TINTO PLC
|
630
|
22.581,84
|
 |
| GB0007908733 |
SCOTTISH & SOUTHERN ENERGY
|
506
|
6.430,81
|
 |
| GB0008706128 |
LLOYDS BANKING GROUP PLC
|
9.699
|
6.062,92
|
 |
| GB0008847096 |
TESCO PLC
|
4.277
|
20.059,13
|
 |
| GB0009895292 |
ASTRAZENECA PLC
|
840
|
26.859,19
|
 |
| GB0031348658 |
BARCLAYS PLC
|
6.998
|
22.982,30
|
 |
| GB0032836487 |
ROLLS-ROYCE GROUP PLC
|
1.062
|
5.851,52
|
 |
| GB00B03MLX29 |
ROYAL DUTCH SHELL PLC-A SHS
|
2.029
|
41.589,75
|
 |
| GB00B08SNH34 |
NATIONAL GRID PLC
|
1.333
|
9.789,94
|
 |
| GB00B16GWD56 |
VODAFONE GROUP PLC
|
28.590
|
45.660,35
|
 |
| GB00B24CGK77 |
RECKITT BENCKISER GROUP PLC
|
343
|
12.576,17
|
 |
| IT0000062072 |
ASSICURAZIONI GENERALI
|
603
|
10.968,57
|
 |
| IT0000064854 |
UNICREDIT SPA
|
8.164
|
18.838,43
|
 |
| IT0001976403 |
FIAT SPA
|
404
|
4.217,76
|
 |
| IT0003132476 |
ENI SPA
|
1.457
|
25.206,10
|
 |
| IT0003497168 |
TELECOM ITALIA SPA
|
5.790
|
6.282,15
|
 |
| JE00B3DMTY01 |
WPP PLC
|
607
|
4.195,15
|
 |
| LU0323134006 |
ARCELORMITTAL [EN Amsterdam Li
|
473
|
14.270,41
|
 |
| NL0000009066 |
TNT NV
|
204
|
4.328,88
|
 |
| NL0000009132 |
AKZO NOBEL
|
142
|
6.518,51
|
 |
| NL0000009355 |
UNILEVER NV-CVA
|
933
|
20.917,86
|
 |
| NL0000235190 |
EADS NV
|
352
|
4.451,04
|
 |
| NL0000303709 |
AEGON NV
|
815
|
3.692,77
|
 |
| SE0000101032 |
ATLAS COPCO AB-A SHS
|
468
|
4.664,98
|
 |
| SE0000107419 |
INVESTOR AB-B SHS
|
335
|
4.209,38
|
 |
| SE0000115446 |
VOLVO AB-B SHS
|
825
|
5.135,74
|
 |
| SE0000427361 |
NORDEA BANK AB
|
1.939
|
13.975,45
|
 |
| SE0000667925 |
TELIASONERA AB
|
1.520
|
7.582,89
|
 |
| Share Value:
|
2.061.550,76
|
| Rounding Cash:
|
277.699,24
|
| Income Equalisation Cash:
|
2.339.250,00
|
 |
|
TOTAL SUBSCRIPTION VALUE FOR BLOCK OF 25,000 SHARES:
|
2.339.250,00
|
|
|
 |
|
ß1 MSCI Pan Euro - Fund Composition as at close of business on:
|
16/12/2009
|
|
 |
|
 |
|
Cash Component: 89.263,22
|
 |
| ISIN Code |
Short Name |
Closing Price |
Number of Shares |
Exchange |
 |
| BE0003793107 |
ANHEUSER-BUSCH INBEV NV
|
36,24
|
1.390
|
BRU
|
 |
| CH0008742519 |
SWISSCOM AG-REG
|
393,00
|
43
|
ZRH
|
 |
| CH0011075394 |
ZURICH FINANCIAL SERVICES AG
|
221,70
|
258
|
ZRH
|
 |
| CH0012032048 |
ROCHE HOLDING AG-GENUSSCHEIN
|
174,50
|
1.347
|
ZRH
|
 |
| CH0012214059 |
HOLCIM LTD-REG
|
79,10
|
387
|
ZRH
|
 |
| CH0012332372 |
SWISS REINSURANCE CO LTD-REG
|
50,00
|
642
|
ZRH
|
 |
| CH0038863350 |
NESTLE SA-REG
|
50,00
|
7.311
|
ZRH
|
 |
| DE0005140008 |
DEUTSCHE BANK AG-REGISTERED
|
52,20
|
1.003
|
ETR
|
 |
| DE0005190003 |
BAYERISCHE MOTOREN WERKE AG
|
32,20
|
622
|
ETR
|
 |
| DE0005557508 |
DEUTSCHE TELEKOM AG-REG
|
10,29
|
5.408
|
ETR
|
 |
| DE0005810055 |
DEUTSCHE BOERSE AG
|
54,83
|
378
|
ETR
|
 |
| DE0006483001 |
LINDE AG
|
85,89
|
268
|
ETR
|
 |
| DE0007037129 |
RWE AG
|
66,00
|
841
|
ETR
|
 |
| DE0007164600 |
SAP AG
|
31,65
|
1.628
|
ETR
|
 |
| DE0007500001 |
THYSSENKRUPP AG
|
25,42
|
682
|
ETR
|
 |
| DE0007664039 |
VOLKSWAGEN AG-PFD
|
68,48
|
215
|
ETR
|
 |
| DE0008430026 |
MUENCHENER RUECKVER AG-REG
|
107,25
|
378
|
ETR
|
 |
| DE000ENAG999 |
E.ON AG
|
28,28
|
3.588
|
ETR
|
 |
| ES0113790531 |
BANCO POPULAR ESPANOL
|
5,34
|
1.450
|
MAD
|
 |
| ES0144580Y14 |
IBERDROLA SA
|
6,59
|
6.583
|
MAD
|
 |
| ES0167050915 |
ACS ACTIVIDADES CONS Y SERV
|
33,22
|
354
|
MAD
|
 |
| ES0178430E18 |
TELEFONICA SA
|
19,41
|
8.002
|
MAD
|
 |
| FI0009003305 |
SAMPO OYJ-A SHS
|
16,72
|
870
|
HEL
|
 |
| FR0000045072 |
CREDIT AGRICOLE SA
|
13,52
|
1.754
|
PAR
|
 |
| FR0000120073 |
AIR LIQUIDE SA
|
82,22
|
467
|
PAR
|
 |
| FR0000120271 |
TOTAL SA
|
43,92
|
4.021
|
PAR
|
 |
| FR0000120404 |
ACCOR SA
|
37,15
|
374
|
PAR
|
 |
| FR0000120537 |
LAFARGE SA
|
56,93
|
357
|
PAR
|
 |
| FR0000120628 |
AXA SA
|
16,30
|
2.879
|
PAR
|
 |
| FR0000120693 |
PERNOD-RICARD SA
|
60,36
|
378
|
PAR
|
 |
| FR0000121261 |
MICHELIN (CGDE)-B
|
54,73
|
268
|
PAR
|
 |
| FR0000121972 |
SCHNEIDER ELECTRIC SA
|
77,47
|
417
|
PAR
|
 |
| FR0000124711 |
UNIBAIL-RODAMCO SE
|
150,00
|
155
|
PAR
|
 |
| FR0000125486 |
VINCI SA
|
40,00
|
788
|
PAR
|
 |
| FR0000130809 |
SOCIETE GENERALE
|
49,15
|
851
|
PAR
|
 |
| FR0000131906 |
RENAULT SA
|
35,95
|
347
|
PAR
|
 |
| FR0010208488 |
GDF SUEZ
|
29,13
|
2.035
|
PAR
|
 |
| FR0010242511 |
EDF
|
40,76
|
370
|
PAR
|
 |
| GB0001411924 |
BRITISH SKY BROADCASTING GRO
|
5,70
|
2.108
|
LSE
|
 |
| GB0002374006 |
DIAGEO PLC
|
10,57
|
4.763
|
LSE
|
 |
| GB0002875804 |
BRITISH AMERICAN TOBACCO PLC
|
19,40
|
3.376
|
LSE
|
 |
| GB0004544929 |
IMPERIAL TOBACCO GROUP PLC
|
18,94
|
1.893
|
LSE
|
 |
| GB0005331532 |
COMPASS GROUP PLC
|
4,65
|
3.455
|
LSE
|
 |
| GB0006043169 |
WM MORRISON SUPERMARKETS
|
2,79
|
4.395
|
LSE
|
 |
| GB0007188757 |
RIO TINTO PLC
|
31,87
|
2.085
|
LSE
|
 |
| GB0007908733 |
SCOTTISH & SOUTHERN ENERGY
|
11,30
|
1.674
|
LSE
|
 |
| GB0008706128 |
LLOYDS BANKING GROUP PLC
|
0,56
|
32.100
|
LSE
|
 |
| GB0008847096 |
TESCO PLC
|
4,17
|
14.155
|
LSE
|
 |
| GB0009895292 |
ASTRAZENECA PLC
|
28,43
|
2.780
|
LSE
|
 |
| GB0031348658 |
BARCLAYS PLC
|
2,92
|
23.160
|
LSE
|
 |
| GB0032836487 |
ROLLS-ROYCE GROUP PLC
|
4,90
|
3.515
|
LSE
|
 |
| GB00B03MLX29 |
ROYAL DUTCH SHELL PLC-A SHS
|
18,23
|
6.715
|
LSE
|
 |
| GB00B08SNH34 |
NATIONAL GRID PLC
|
6,53
|
4.412
|
LSE
|
 |
| GB00B16GWD56 |
VODAFONE GROUP PLC
|
1,42
|
94.621
|
LSE
|
 |
| GB00B24CGK77 |
RECKITT BENCKISER GROUP PLC
|
32,60
|
1.135
|
LSE
|
 |
| IT0000062072 |
ASSICURAZIONI GENERALI
|
18,19
|
1.996
|
MIL
|
 |
| IT0000064854 |
UNICREDIT SPA
|
2,31
|
27.020
|
MIL
|
 |
| IT0001976403 |
FIAT SPA
|
10,44
|
1.337
|
MIL
|
 |
| IT0003132476 |
ENI SPA
|
17,30
|
4.822
|
MIL
|
 |
| IT0003497168 |
TELECOM ITALIA SPA
|
1,09
|
19.162
|
MIL
|
 |
| JE00B3DMTY01 |
WPP PLC
|
6,15
|
2.009
|
LSE
|
 |
| LU0323134006 |
ARCELORMITTAL [EN Amsterdam Li
|
30,17
|
1.565
|
PAR
|
 |
| NL0000009066 |
TNT NV
|
21,22
|
675
|
AMS
|
 |
| NL0000009132 |
AKZO NOBEL
|
45,91
|
470
|
AMS
|
 |
| NL0000009355 |
UNILEVER NV-CVA
|
22,42
|
3.088
|
AMS
|
 |
| NL0000235190 |
EADS NV
|
12,65
|
1.165
|
PAR
|
 |
| NL0000303709 |
AEGON NV
|
4,53
|
2.697
|
AMS
|
 |
| SE0000101032 |
ATLAS COPCO AB-A SHS
|
104,00
|
1.549
|
STO
|
 |
| SE0000107419 |
INVESTOR AB-B SHS
|
131,10
|
1.109
|
STO
|
 |
| SE0000115446 |
VOLVO AB-B SHS
|
64,95
|
2.731
|
STO
|
 |
| SE0000427361 |
NORDEA BANK AB
|
75,20
|
6.417
|
STO
|
 |
| SE0000667925 |
TELIASONERA AB
|
52,05
|
5.031
|
STO
|
 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Warnings: Investment in an index-linked Italian Investment Fund carries the assumption of investment risk due, in particular, to trends in shares comprising the index it intends to track.
 Before investing read the Prospectus.
|
|
|
|