eurex clearing circular 029/10

Date: Frankfurt, May 14, 2010 Recipients: All Clearing Members of Eurex Clearing AG and Vendors Authorized by: Peter Reitz

Xetra® International Market: Introduction of Italian Market; Extension of Xetra International Market by Securities of the STOXX® Europe 600, new Settlement Address for Settlement at Euroclear

Related Eurex Clearing Circular: 056/09 Contact: Member Services & Admission, tel. +49-69-211-1 17 00, fax +49-69-211-1 17 01 Content may be most important for: Attachments: Ü All departments 1. Settlement address used in OTC instructions MT54x for Eurex Clearing at Monte Titoli; Handling of income event compensations for Italian Market 2. Xetra International Market: List of Instruments and local Central Securities Depositories (CSDs)

Summary:

With this circular Eurex Clearing AG announces the extension of clearing and settlement services for Xetra® International Market for the Italian market. Additionally, instruments chosen from the STOXX® Europe 600 scope for currently active countries will be integrated.

The additional instruments will be launched on Xetra International Market on May 25, 2010.

In the Finnish market, the settlement address of Eurex Clearing AG will change. The new Eurex Clearing AG settlement address can be used immediately. The old address will still be supported in parallel until July 9, 2010.

Kindly forward this announcement to all involved departments in your company.

Eurex Clearing AG T +49-69-211-1 17 00 Chairman of the Executive Board: Aktiengesellschaft mit Neue Börsenstraße 1 F +49-69-211-1 17 01 Supervisory Board: Andreas Preuß (CEO), Sitz in Frankfurt/Main 60487 Frankfurt/Main customer.support@ Prof. Dr. Peter Gomez Jürg Spillmann, Thomas Book, HRB Nr. 44828 Mailing address: eurexchange.com Gary Katz, Michael Peters, Amtsgericht 60485 Frankfurt/Main Internet: Peter Reitz Frankfurt/Main Germany www.eurexclearing.com

eurex clearing circular 029/10

Xetra® International Market: Introduction of Italian Market; Extension of Xetra International Market by Securities of the STOXX® Europe 600, new Settlement Address for Settlement at Euroclear Finland

With this circular Eurex Clearing AG announces the extension of clearing and settlement services for Xetra® International Market for the Italian market. Additionally, instruments chosen from the STOXX® Europe 600 scope for currently active countries will be integrated.

The additional instruments will be launched on Xetra International Market on May 25, 2010.

In the Finnish market, the settlement address of Eurex Clearing AG will change. The new Eurex Clearing AG settlement address can be used immediately. The old address will still be supported in parallel until July 9, 2010.

Introduction of Italian Market

With Eurex Clearing circular 056/09 Eurex Clearing AG announced to offer clearing and settlement services for instruments with home market settlement location Italy.

After the regulatory approval has been granted, Italian market instruments will be introduced on May 25, 2010.

Please find the specification of Eurex Clearing’s local settlement address to be used in settlement instructions in attachment 1 of this circular. Furthermore, a description of handling of income event compensation in Italian Market is given in this attachment.

Extension of Xetra International Market with securities of the STOXX® Europe 600 for , the , , Finland, and Italy

In order to provide a wider range of high liquid European blue chips on Xetra International Market, the current offering for France, the Netherlands, Belgium, Finland, Spain and Italy is extended in order to represent the full scope of the STOXX® Europe 600 and additional high liquid securities settled in those countries. A list of tradable instruments and the respective settlement locations is published in attachment 2 of this circular. The introduction of the extended set of securities on Xetra International Market is planned to take place together with the launch of the Italian Market on May 25, 2010.

New Eurex Clearing AG settlement address for settlement at Euroclear Finland

The existing Eurex Clearing AG settlement address at Euroclear Finland is changed as follows:

Field Old New REAG / DEAG (BIC as used in local CSD) BIC: NDEAFIHH (Nordea) BIC: NDEAFIHH (Nordea) SAFE n/a n/a BUYR / SELL (BIC at account holder) BIC: EUXCDEFFGCI CEDELULLXXX SAFE (Account at account holder) 022000106606944 022000106606944

The new Eurex Clearing AG settlement address can be used immediately. The old address will still be supported until July 9, 2010. From July 12 onwards, the report “CE580 EC-IS Pending Dlv Instructions” will include the new BIC code “CEDELULLXXX” instead of “EUXCDEFFGCI” in the “BUYR/SELL” field.

Frankfurt, May 14, 2010

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Attachment 1 to Eurex Clearing circular 029/10

Italian Market details:

Settlement address used in OTC instructions MT54x for Eurex Clearing

Italian Market Field Content REAG / DEAG (BIC as used in local CSD) BIC: EUXCDEFFGCI SAFE n/a BUYR / SELL (BIC at account holder) BIC: EUXCDEFFGCI SAFE (Account at account holder) 15293

Partial Settlement

At the end of the day, the Italian market applies a shaping parameter functionality to break down the original settlement instructions that failed during the overnight and daylight net settlement cycles into smaller shapes. The shaping threshold for equities in the Italian market is EUR 2,000,000 of nominal value.

Handling of Income event compensations for Italian Market:

Trades with trade date before ex-date and settled after record date (i.e. late trades) are eligible for compensation in Italian market. Income payment compensations are handled as explained below (applicable for both buy and sell positions) following local market practice.

Step1: Cancellation of instructions at Monte Titoli

Pending transactions have to be cancelled (Clearstream in its role as settlement agent for Eurex Clearing will cancel Eurex Clearing’s part of settlement instruction). The member will be informed to cancel his instruction. The member’s settlement agent has to cancel his part of the settlement instruction at the local market with Monte Titoli. The pending transaction is cancelled by the CSD.

Step 2: Entering new instructions at Monte Titoli Clearstream re-instructs with all attributes of the original settlement instruction except of the settlement amount. The settlement amount is reduced by income payment (compensation) and 3,56% indemnity (or the then applicable market penalty rate). For example, if the income payment is 1.000 Euro and original settlement amount is 10.000 Euro then the modified settlement amount will be 8.964,4 Euro (10.000 – 1.000 – 35,6) The member’s settlement agent needs to re-instruct his original instruction with the modified amount to match the re- instruction from Eurex Clearing. The re-instruction matches at the CSD.

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Step 3: CCP reporting Eurex Clearing updates the pending delivery instruction with the modified amount. The member reports will display the modified amount with CA indicator in pending and settled trade reports as Y.

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Attachment 2 to Eurex Clearing circular 029/10

Xetra International Market: List of Instruments and local CSD

Shaping Product Name Country CSD ISIN Quantity ACKERMANS & VAN HAAREN BE EUROCLEAR BELGIUM BE0003764785 100,000 BEFIMMO BE EUROCLEAR BELGIUM BE0003678894 100,000 BEKAERT BE EUROCLEAR BELGIUM BE0003780948 50,000 COFINIMMO BE EUROCLEAR BELGIUM BE0003593044 50,000 COMP NATIONALE A PORTEFEU BE EUROCLEAR BELGIUM BE0003845626 250,000 ETS COLRUYT BE EUROCLEAR BELGIUM BE0003775898 50,000 GRP BRUXELLES LAMBERT BE EUROCLEAR BELGIUM BE0003797140 100,000 MOBISTAR BE EUROCLEAR BELGIUM BE0003735496 250,000 OMEGA PHARMA BE EUROCLEAR BELGIUM BE0003785020 250,000 SOFINA BE EUROCLEAR BELGIUM BE0003717312 100,000 SOLVAY BE EUROCLEAR BELGIUM BE0003470755 100,000 TELENET GROUP BE EUROCLEAR BELGIUM BE0003826436 250,000 Cargotec Corp. Registered Shares Class B o.N. FI EUROCLEAR FINLAND FI0009013429 250,000 KESKO FI EUROCLEAR FINLAND FI0009000202 250,000 KONE B FI EUROCLEAR FINLAND FI0009013403 250,000 KONECRANES FI EUROCLEAR FINLAND FI0009005870 250,000 METSO FI EUROCLEAR FINLAND FI0009007835 250,000 M-REAL CORP. Registered Shares FI EUROCLEAR FINLAND FI0009000665 5,000,000 NOKIAN RENKAAT FI EUROCLEAR FINLAND FI0009005318 500,000 Nordea Bank AB Namn-Aktier (FDRs) FI EUROCLEAR FINLAND FI0009902530 1,000,000 ORION B FI EUROCLEAR FINLAND FI0009014377 500,000 OUTOKUMPU FI EUROCLEAR FINLAND FI0009002422 500,000 Outotec Oyi Registered Shares FI EUROCLEAR FINLAND FI0009014575 250,000 POHJOLA BANK FI EUROCLEAR FINLAND FI0009003222 1,000,000 RAUTARUUKKI K FI EUROCLEAR FINLAND FI0009003552 500,000 SANOMA FI EUROCLEAR FINLAND FI0009007694 500,000 WARTSILA FI EUROCLEAR FINLAND FI0009003727 250,000 YIT FI EUROCLEAR FINLAND FI0009800643 500,000 ADP FR EUROCLEAR FRANCE S. A. FR0010340141 100,000 ALTEN FR EUROCLEAR FRANCE S. A. FR0000071946 250,000 ALTRAN TECHN. FR EUROCLEAR FRANCE S. A. FR0000034639 1,000,000 AREVA CI FR EUROCLEAR FRANCE S. A. FR0004275832 25,000 ARKEMA FR EUROCLEAR FRANCE S. A. FR0010313833 250,000 ATOS ORIGIN FR EUROCLEAR FRANCE S. A. FR0000051732 250,000 BENETEAU FR EUROCLEAR FRANCE S. A. FR0000035164 500,000 BIC FR EUROCLEAR FRANCE S. A. FR0000120966 100,000 BIOMERIEUX FR EUROCLEAR FRANCE S. A. FR0010096479 100,000 BONDUELLE FR EUROCLEAR FRANCE S. A. FR0000063935 100,000 BOURBON FR EUROCLEAR FRANCE S. A. FR0004548873 250,000

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Shaping Product Name Country CSD ISIN Quantity BUREAU VERITAS FR EUROCLEAR FRANCE S. A. FR0006174348 250,000 CARBONE LORRAINE FR EUROCLEAR FRANCE S. A. FR0000039620 250,000 CGG VERITAS FR EUROCLEAR FRANCE S. A. FR0000120164 500,000 CHRISTIAN DIOR FR EUROCLEAR FRANCE S. A. FR0000130403 100,000 CIMENTS FRANCAIS FR EUROCLEAR FRANCE S. A. FR0000120982 100,000 CLUB MEDITERRANEE FR EUROCLEAR FRANCE S. A. FR0000121568 500,000 CNP ASSURANCES FR EUROCLEAR FRANCE S. A. FR0000120222 100,000 DASSAULT SYSTEMS FR EUROCLEAR FRANCE S. A. FR0000130650 250,000 DERICHEBOURG FR EUROCLEAR FRANCE S. A. FR0000053381 1,000,000 EDF ENERGIES NOUV. FR EUROCLEAR FRANCE S. A. FR0010400143 250,000 EIFFAGE FR EUROCLEAR FRANCE S. A. FR0000130452 250,000 ERAMET FR EUROCLEAR FRANCE S. A. FR0000131757 50,000 EULER HERMES FR EUROCLEAR FRANCE S. A. FR0004254035 100,000 EURAZEO FR EUROCLEAR FRANCE S. A. FR0000121121 100,000 EUROFINS SCIENT. FR EUROCLEAR FRANCE S. A. FR0000038259 250,000 EUTELSAT COMMUNICATION FR EUROCLEAR FRANCE S. A. FR0010221234 250,000 FAURECIA FR EUROCLEAR FRANCE S. A. FR0000121147 500,000 FONCIERE DES REGIONS FR EUROCLEAR FRANCE S. A. FR0000064578 100,000 GECINA FR EUROCLEAR FRANCE S. A. FR0010040865 100,000 GEMALTO FR EUROCLEAR FRANCE S. A. NL0000400653 250,000 GROUPE STERIA FR EUROCLEAR FRANCE S. A. FR0000072910 250,000 GRP EUROTUNNEL FR EUROCLEAR FRANCE S. A. FR0010533075 1,000,000 HAVAS FR EUROCLEAR FRANCE S. A. FR0000121881 1,000,000 HERMES INTERNATIONAL FR EUROCLEAR FRANCE S. A. FR0000052292 50,000 ICADE FR EUROCLEAR FRANCE S. A. FR0000035081 100,000 ILIAD FR EUROCLEAR FRANCE S. A. FR0004035913 100,000 IMERYS FR EUROCLEAR FRANCE S. A. FR0000120859 250,000 INGENICO FR EUROCLEAR FRANCE S. A. FR0000125346 500,000 IPSEN FR EUROCLEAR FRANCE S. A. FR0010259150 250,000 IPSOS FR EUROCLEAR FRANCE S. A. FR0000073298 250,000 JCDECAUX FR EUROCLEAR FRANCE S. A. FR0000077919 500,000 KLEPIERRE FR EUROCLEAR FRANCE S. A. FR0000121964 250,000 LAGARDERE FR EUROCLEAR FRANCE S. A. FR0000130213 250,000 LEGRAND FR EUROCLEAR FRANCE S. A. FR0010307819 250,000 M6 METROPOLE TV FR EUROCLEAR FRANCE S. A. FR0000053225 500,000 MAUREL ET PROM FR EUROCLEAR FRANCE S. A. FR0000051070 500,000 MERCIALYS FR EUROCLEAR FRANCE S. A. FR0010241638 250,000 MICHELIN FR EUROCLEAR FRANCE S. A. FR0000121261 100,000 NATIXIS FR EUROCLEAR FRANCE S. A. FR0000120685 1,000,000 NEOPOST FR EUROCLEAR FRANCE S. A. FR0000120560 100,000 NEXANS FR EUROCLEAR FRANCE S. A. FR0000044448 100,000 NEXITY FR EUROCLEAR FRANCE S. A. FR0010112524 250,000 NICOX FR EUROCLEAR FRANCE S. A. FR0000074130 1,000,000 ORPEA FR EUROCLEAR FRANCE S. A. FR0000184798 250,000

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Shaping Product Name Country CSD ISIN Quantity PAGESJAUNES FR EUROCLEAR FRANCE S. A. FR0010096354 1,000,000 REMY COINTREAU FR EUROCLEAR FRANCE S. A. FR0000130395 250,000 REXEL FR EUROCLEAR FRANCE S. A. FR0010451203 500,000 RHODIA FR EUROCLEAR FRANCE S. A. FR0010479956 500,000 S.E.B. FR EUROCLEAR FRANCE S. A. FR0000121709 250,000 SAFRAN FR EUROCLEAR FRANCE S. A. FR0000073272 500,000 SAFT FR EUROCLEAR FRANCE S. A. FR0010208165 250,000 SCOR FR EUROCLEAR FRANCE S. A. FR0010411983 500,000 SECHE ENVIRONNEM. FR EUROCLEAR FRANCE S. A. FR0000039109 100,000 SECHILIENNE SIDEC FR EUROCLEAR FRANCE S. A. FR0000060402 250,000 SILIC FR EUROCLEAR FRANCE S. A. FR0000050916 100,000 SOITEC FR EUROCLEAR FRANCE S. A. FR0004025062 500,000 SPERIAN PROTECTION FR EUROCLEAR FRANCE S. A. FR0000060899 100,000 STALLERGENES FR EUROCLEAR FRANCE S. A. FR0000065674 100,000 SUEZ ENVIRONNEMENT FR EUROCLEAR FRANCE S. A. FR0010613471 500,000 TECHNIP FR EUROCLEAR FRANCE S. A. FR0000131708 100,000 TELEPERFORMANCE FR EUROCLEAR FRANCE S. A. FR0000051807 250,000 UBISOFT ENTERTAINEMENT FR EUROCLEAR FRANCE S. A. FR0000054470 500,000 VALEO FR EUROCLEAR FRANCE S. A. FR0000130338 250,000 VILMORIN & CIE FR EUROCLEAR FRANCE S. A. FR0000052516 100,000 WENDEL FR EUROCLEAR FRANCE S. A. FR0000121204 250,000 ZODIAC AEROSPACE FR EUROCLEAR FRANCE S. A. FR0000125684 250,000 AALBERTS INDUSTR NL EUROCLEAR NEDERLAND NL0000852564 500,000 AMG NL EUROCLEAR NEDERLAND NL0000888691 1,000,000 ARCADIS NL EUROCLEAR NEDERLAND NL0006237562 500,000 ASM INTERNATIONAL NL EUROCLEAR NEDERLAND NL0000334118 500,000 BAM GRP NL EUROCLEAR NEDERLAND NL0000337319 1,000,000 BINCKBANK NL EUROCLEAR NEDERLAND NL0000335578 500,000 BOSKALIS WESTMINSTER NL EUROCLEAR NEDERLAND NL0000852580 250,000 CRUCELL NL EUROCLEAR NEDERLAND NL0000358562 500,000 CSM NL EUROCLEAR NEDERLAND NL0000852549 250,000 DRAKA HOLDING NL EUROCLEAR NEDERLAND NL0000347813 500,000 EUROCOMMERCIAL NL EUROCLEAR NEDERLAND NL0000288876 250,000 NL EUROCLEAR NEDERLAND NL0000352565 250,000 HEIJMANS NL EUROCLEAR NEDERLAND NL0009269109 500,000 HEINEKEN HLDG NL EUROCLEAR NEDERLAND NL0000008977 250,000 IMTECH NL EUROCLEAR NEDERLAND NL0006055329 250,000 MEDIQ NL EUROCLEAR NEDERLAND NL0009103530 500,000 NL EUROCLEAR NEDERLAND NL0000375400 250,000 OCE NL EUROCLEAR NEDERLAND NL0000354934 1,000,000 ORDINA NL EUROCLEAR NEDERLAND NL0000440584 1,000,000 Royal Dutch Shell PLC NL EUROCLEAR NEDERLAND GB00B03MLX29 250,000 SNS REAAL NL EUROCLEAR NEDERLAND NL0000390706 1,000,000 TEN CATE NL EUROCLEAR NEDERLAND NL0000375749 500,000

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Shaping Product Name Country CSD ISIN Quantity USG PEOPLE NL EUROCLEAR NEDERLAND NL0000354488 500,000 VASTNED RETAIL NL EUROCLEAR NEDERLAND NL0000288918 250,000 VOPAK NL EUROCLEAR NEDERLAND NL0000393007 100,000 WAVIN NL EUROCLEAR NEDERLAND NL0009412683 500,000 WERELDHAVE NL EUROCLEAR NEDERLAND NL0000289213 100,000 WESSANEN KON NL EUROCLEAR NEDERLAND NL0000395317 1,000,000 Abengoa SA ES IBERCLEAR ES0105200416 250,000 ABERTIS INFRAESTRUCTURAS ES IBERCLEAR ES0111845014 500,000 Banco Espanol de Credito SA ES IBERCLEAR ES0113440038 1,000,000 BANKINTER ES IBERCLEAR ES0113679I37 1,000,000 BCO DE VALENCIA ES IBERCLEAR ES0113980F34 1,000,000 BCO SABADELL ES IBERCLEAR ES0113860A34 1,000,000 BOLSAS Y MERCADOS ESPANOLES ES IBERCLEAR ES0115056139 250,000 CORPORACION FINANCIERA ALBA ES IBERCLEAR ES0117160111 250,000 CRITERIA CAIXACORP ES IBERCLEAR ES0140609019 1,000,000 EBRO PULEVA ES IBERCLEAR ES0112501012 500,000 ENAGAS ES IBERCLEAR ES0130960018 500,000 ENDESA ES IBERCLEAR ES0130670112 250,000 FERROVIAL ES IBERCLEAR ES0118900010 1,000,000 FOMENTO DE CONSTRUCY CONTRA ES IBERCLEAR ES0122060314 250,000 GAMESA ES IBERCLEAR ES0143416115 1,000,000 GAS NATURAL SDG ES IBERCLEAR ES0116870314 500,000 Gestevision Telecinco SA ES IBERCLEAR ES0152503035 500,000 GRIFOLS ES IBERCLEAR ES0171996012 500,000 GRUPO ACCIONA ES IBERCLEAR ES0125220311 100,000 IBERDROLA RENOVABLES ES IBERCLEAR ES0147645016 1,000,000 IBERIA ES IBERCLEAR ES0147200036 1,000,000 INDRA SISTEMAS ES IBERCLEAR ES0118594417 500,000 MAPFRE ES IBERCLEAR ES0124244E34 1,000,000 Obrascon Huarte Lain SA ES IBERCLEAR ES0142090317 500,000 RED ELECTRICA CORP ES IBERCLEAR ES0173093115 250,000 SACYR-VALLEHERMOSO ES IBERCLEAR ES0182870214 1,000,000 Tecnicas Reunidas SA ES IBERCLEAR ES0178165017 250,000 ZARDOYA OTIS ES IBERCLEAR ES0184933812 500,000 A2A IT MONTE TITOLI S.P.A. IT0001233417 n/a ANSALDO STS SPA IT MONTE TITOLI S.P.A. IT0003977540 n/a ATLANTIA IT MONTE TITOLI S.P.A. IT0003506190 n/a AUTOGRILL ORD IT MONTE TITOLI S.P.A. IT0001137345 n/a AZIMUT HLDG IT MONTE TITOLI S.P.A. IT0003261697 n/a BCA CARIGE IT MONTE TITOLI S.P.A. IT0003211601 n/a BCA MONTE DEI PASCHI DI SIENA IT MONTE TITOLI S.P.A. IT0001334587 n/a BCA POPOLARE DI MILANO IT MONTE TITOLI S.P.A. IT0000064482 n/a BCA POPOLARE DI SONDRIO IT MONTE TITOLI S.P.A. IT0000784196 n/a

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Shaping Product Name Country CSD ISIN Quantity BCA POPOLARE EMILIA ROMAGNA IT MONTE TITOLI S.P.A. IT0000066123 n/a BCO POPOLARE IT MONTE TITOLI S.P.A. IT0004231566 n/a BULGARI ORD IT MONTE TITOLI S.P.A. IT0001119087 n/a BUZZI UNICEM IT MONTE TITOLI S.P.A. IT0001347308 n/a CATTOLICA ASSICURAZIONI IT MONTE TITOLI S.P.A. IT0000784154 n/a CIR SPA IT MONTE TITOLI S.P.A. IT0000080447 n/a CREDITO VALTELLINES IT MONTE TITOLI S.P.A. IT0000064516 n/a DAVIDE CAMPARI IT MONTE TITOLI S.P.A. IT0003849244 n/a ENEL IT MONTE TITOLI S.P.A. IT0003128367 n/a ENI IT MONTE TITOLI S.P.A. IT0003132476 n/a FIAT IT MONTE TITOLI S.P.A. IT0001976403 n/a FINMECCANICA IT MONTE TITOLI S.P.A. IT0003856405 n/a FONDIARIA-SAI IT MONTE TITOLI S.P.A. IT0001463071 n/a GENERALI IT MONTE TITOLI S.P.A. IT0000062072 n/a GEOX IT MONTE TITOLI S.P.A. IT0003697080 n/a IMPREGILO ORD IT MONTE TITOLI S.P.A. IT0003865570 n/a INTESA SANPAOLO IT MONTE TITOLI S.P.A. IT0000072618 n/a ITALCEMENTI ORD IT MONTE TITOLI S.P.A. IT0001465159 n/a LOTTOMATICA IT MONTE TITOLI S.P.A. IT0003990402 n/a LUXOTTICA IT MONTE TITOLI S.P.A. IT0001479374 n/a MEDIASET IT MONTE TITOLI S.P.A. IT0001063210 n/a MEDIOBANCA IT MONTE TITOLI S.P.A. IT0000062957 n/a MEDIOLANUM ORD IT MONTE TITOLI S.P.A. IT0001279501 n/a MONDADORI ORD ARNOLDO MONDADORI IT MONTE TITOLI S.P.A. IT0001469383 EDITORE SPA n/a PARMALAT IT MONTE TITOLI S.P.A. IT0003826473 n/a PIRELLI & C. IT MONTE TITOLI S.P.A. IT0000072725 n/a PRYSMIAN IT MONTE TITOLI S.P.A. IT0004176001 n/a SAIPEM IT MONTE TITOLI S.P.A. IT0000068525 n/a SNAM RETE GAS IT MONTE TITOLI S.P.A. IT0003153415 n/a TELECOM IT RSP IT MONTE TITOLI S.P.A. IT0003497176 n/a TELECOM ITALIA IT MONTE TITOLI S.P.A. IT0003497168 n/a TENARIS IT MONTE TITOLI S.P.A. LU0156801721 n/a TERNA IT MONTE TITOLI S.P.A. IT0003242622 n/a UBI BCA IT MONTE TITOLI S.P.A. IT0003487029 n/a UNICREDIT IT MONTE TITOLI S.P.A. IT0000064854 n/a UNIPOL ORD IT MONTE TITOLI S.P.A. IT0001074571 n/a

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