STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Apple Inc. null null 3.85 Microsoft Corp. null null 3.64 Amazon.com Inc. null null 2.76 FACEBOOK CLASS A null null 1.47 ALPHABET CLASS C null null 1.45 TESLA null null 0.90 NVIDIA Corp. null null 0.86 JPMorgan Chase & Co. null null 0.84 VISA Inc. Cl A null null 0.73 UnitedHealth Group Inc. null null 0.69 NESTLE null null 0.67 PayPal Holdings null null 0.62 Home Depot Inc. null null 0.61 Procter & Gamble Co. null null 0.60 MasterCard Inc. Cl A null null 0.60 Walt Disney Co. null null 0.58 Corp. null null 0.55 ASML HLDG null null 0.52 ADOBE null null 0.50 ROCHE HLDG P null null 0.49 Comcast Corp. Cl A null null 0.48 Exxon Mobil Corp. null null 0.47 Verizon Communications Inc. null null 0.43 NOVARTIS null null 0.43 Toyota Motor Corp. null null 0.42 Intel Corp. null null 0.42 Salesforce.com Inc. null null 0.41 Netflix Inc. null null 0.41 Cisco Systems Inc. null null 0.41 Pfizer Inc. null null 0.40 LVMH MOET HENNESSY null null 0.40 Coca-Cola Co. null null 0.39 AT&T Inc. null null 0.38 PepsiCo Inc. null null 0.37 ABBVIE null null 0.37 Chevron Corp. null null 0.37 Abbott Laboratories null null 0.36 Merck & Co. Inc. null null 0.36 Thermo Fisher Scientific Inc. null null 0.36 WALMART INC. null null 0.36 BROADCOM null null 0.35 Accenture PLC Cl A null null 0.35 Eli Lilly & Co. null null 0.34 Danaher Corp. null null 0.32 McDonald's Corp. null null 0.32 Costco Wholesale Corp. null null 0.31 Texas Instruments Inc. null null 0.31 MEDTRONIC PLC null null 0.31 Nike Inc. Cl B null null 0.30 SHOPIFY A NYS null null 0.30 UNILEVER PLC null null 0.29 SAP null null 0.28 ASTRAZENECA null null 0.28 Qualcomm Inc. null null 0.28 Bristol-Myers Squibb Co. null null 0.28 AIA GROUP null null 0.28 LINDE null null 0.27 Union Pacific Corp. null null 0.27 Royal Bank of Canada null null 0.27 United Parcel Service Inc. Cl null null 0.26 Citigroup Inc. null null 0.26 Oracle Corp. null null 0.26 Amgen Inc. null null 0.26 B null null 0.26 Commonwealth Bank of Australia null null 0.26 Lowe's Cos. null null 0.25 Starbucks Corp. null null 0.24 International Business Machine null null 0.24 Toronto-Dominion Bank null null 0.23 Intuit Inc. null null 0.23 TOTALENERGIES null null 0.23 HSBC null null 0.23

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

BlackRock Inc. null null 0.23 Morgan Stanley null null 0.22 SONY GROUP CORP. null null 0.22 Goldman Sachs Group Inc. null null 0.22 Applied Materials Inc. null null 0.22 SANOFI null null 0.22 SIEMENS null null 0.22 AMERICAN TOWER null null 0.22 Charles Schwab Corp. null null 0.22 Target Corp. null null 0.21 Caterpillar Inc. null null 0.21 L'OREAL null null 0.21 General Electric Co. null null 0.21 DIAGEO null null 0.21 3M Co. null null 0.21 CVS HEALTH CORP. null null 0.20 ALLIANZ null null 0.20 American Express Co. null null 0.19 SERVICENOW null null 0.19 CSL Ltd. null null 0.19 Deere & Co. null null 0.19 Intuitive Surgical Inc. null null 0.19 BHP GROUP LTD. null null 0.19 ADVANCED MICRO DEVICES null null 0.19 Keyence Corp. null null 0.18 GLAXOSMITHKLINE null null 0.18 CHARTER COMMUNICATIONS CL.A null null 0.18 S&P GLOBAL null null 0.17 Softbank Group Corp. null null 0.17 UBER TECHNOLOGIES null null 0.17 BOOKING HOLDINGS null null 0.17 ANTHEM INC null null 0.17 SQUARE CL.A null null 0.17 Fidelity National Information null null 0.17 MONDELEZ null null 0.17 BP null null 0.16 SCHNEIDER ELECTRIC null null 0.16 PROLOGIS INC. null null 0.16 Lam Research Corp. null null 0.16 ZOETIS 'A' null null 0.16 Micron Technology Inc. null null 0.16 RIO TINTO null null 0.16 Stryker Corp. null null 0.16 RECRUIT HOLDINGS null null 0.16 CIGNA Corp. null null 0.16 Crown Castle International Cor null null 0.16 Gilead Sciences Inc. null null 0.16 Automatic Data Processing Inc. null null 0.15 AIR LIQUIDE null null 0.15 ROYAL DUTCH SHELL A null null 0.15 Enbridge Inc. null null 0.15 ConocoPhillips null null 0.14 Bank of Nova Scotia null null 0.14 DAIMLER null null 0.14 ZOOM VIDEO COMMUNICATIONS A null null 0.14 TJX Cos. null null 0.14 CME Group Inc. Cl A null null 0.14 PNC Financial Services Group I null null 0.14 U.S. Bancorp null null 0.14 Canadian National Railway Co. null null 0.14 ENEL null null 0.14 GENERAL MOTORS null null 0.14 Westpac Banking Corp. null null 0.14 BNP PARIBAS null null 0.14 Equinix Inc. null null 0.14 MODERNA null null 0.14 SNAP 'A' null null 0.13 CSX Corp. null null 0.13 Shin-Etsu Chemical Co. Ltd. null null 0.13 Exchanges & Clearing null null 0.13 Truist Financial Corp null null 0.13

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Activision Blizzard Inc. null null 0.13 Tokyo Electron Ltd. null null 0.13 Nintendo Co. Ltd. null null 0.13 CHUBB null null 0.13 BASF null null 0.13 Mitsubishi UFJ Financial Group null null 0.13 T-Mobile US Inc null null 0.13 BROOKFIELD ASSET MANAGEMENT null null 0.13 FedEx Corp. null null 0.13 Becton Dickinson & Co. null null 0.13 Illinois Tool Works Inc. null null 0.13 Colgate-Palmolive Co. null null 0.13 Capital One Financial Corp. null null 0.13 Marsh & McLennan Cos. null null 0.13 DEUTSCHE TELEKOM null null 0.13 BCO SANTANDER null null 0.13 MERCADOLIBRE null null 0.13 Estee Lauder Cos. Inc. null null 0.12 Illumina Inc. null null 0.12 Norfolk Southern Corp. null null 0.12 Sherwin-Williams Co. null null 0.12 National Australia Bank Ltd. null null 0.12 VINCI null null 0.12 BLACKSTONE GROUP A null null 0.12 DEUTSCHE POST null null 0.12 Bank of Montreal null null 0.12 RECKITT BENCKISER GRP null null 0.12 Kering null null 0.12 Air Products & Chemicals Inc. null null 0.12 ADYEN null null 0.12 Nidec Corp. null null 0.12 ANHEUSER-BUSCH INBEV null null 0.12 CIE FINANCIERE RICHEMONT null null 0.12 ADIDAS null null 0.12 INTERCONTINENTALEXCHANGE INC null null 0.12 Edwards Lifesciences Corp. null null 0.12 Nippon Telegraph & Telephone C null null 0.11 Australia & New Zealand Bankin null null 0.11 Boston Scientific Corp. null null 0.11 BAYER null null 0.11 ZURICH INSURANCE GROUP null null 0.11 Autodesk Inc. null null 0.11 Fiserv Inc. null null 0.11 Analog Devices Inc. null null 0.11 BIOGEN INC. null null 0.11 Fast Retailing Co. Ltd. null null 0.11 ABB null null 0.11 BHP GROUP PLC. null null 0.11 Ecolab Inc. null null 0.11 Honda Motor Co. Ltd. null null 0.11 Waste Management Inc. null null 0.11 WUXI BIO null null 0.11 Global Payments Inc. null null 0.11 Moody's Corp. null null 0.11 Ford Motor Co. null null 0.11 REGENERON PHARMS. null null 0.10 EATON CORP. PLC null null 0.10 Daikin Industries Ltd. null null 0.10 Emerson Electric Co. null null 0.10 UBS GROUP null null 0.10 Humana Inc. null null 0.10 HCA HEALTHCARE null null 0.10 AXA null null 0.10 Progressive Corp. null null 0.10 Hitachi Ltd. null null 0.10 Takeda Pharmaceutical Co. Ltd. null null 0.10 ESSILORLUXOTTICA null null 0.10 KDDI Corp. null null 0.10 LONZA null null 0.10 RELX PLC null null 0.10 AON PLC null null 0.10

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

DOLLAR GENERAL null null 0.10 PRUDENTIAL null null 0.10 Canadian Imperial Bank of Comm null null 0.10 TWILIO 'A' null null 0.10 IDEXX LABORATORIES null null 0.10 DOCUSIGN null null 0.10 Canadian Pacific Railway Ltd. null null 0.09 Freeport-McMoRan null null 0.09 INTESA SANPAOLO null null 0.09 ING GRP null null 0.09 HERMES INTERNATIONAL null null 0.09 NEWMONT null null 0.09 INFINEON TECHNOLOGIES null null 0.09 Murata Manufacturing Co. Ltd. null null 0.09 Hoya Corp. null null 0.09 Wesfarmers Ltd. null null 0.09 Vertex Pharmaceuticals Inc. null null 0.09 TWITTER null null 0.09 Sumitomo Mitsui Financial Grou null null 0.09 Fanuc Ltd. null null 0.09 ANGLO AMERICAN null null 0.09 VOLKSWAGEN PREF null null 0.09 VODAFONE GRP null null 0.09 Roper Technologies Inc. null null 0.09 KLA null null 0.09 Public Storage null null 0.09 DSV Panalpina null null 0.09 PHILIPS null null 0.09 Johnson Controls PLC null null 0.09 EOG Resources Inc. null null 0.09 CROWDSTRIKE HOLDINGS A null null 0.09 DOW null null 0.09 IQVIA HOLDINGS INC null null 0.09 LLOYDS BANKING GRP null null 0.08 NATIONAL GRID null null 0.08 DANONE null null 0.08 GLENCORE PLC null null 0.08 MetLife Inc. null null 0.08 Agilent Technologies Inc. null null 0.08 Prosus null null 0.08 BCE Inc. null null 0.08 Itochu Corp. null null 0.08 Kimberly-Clark Corp. null null 0.08 ALIGN TECH. null null 0.08 eBay Inc. null null 0.08 PERNOD RICARD null null 0.08 Schlumberger Ltd. null null 0.08 Digital Realty Trust Inc. null null 0.08 MARVELL TECHNOLOGY null null 0.08 T. Rowe Price Group Inc. null null 0.08 SIKA null null 0.08 TE CONNECTIVITY LTD. null null 0.08 WORKDAY CLASS null null 0.08 VEEVA SYSTEMS CL.A null null 0.08 MSCI CLASS A null null 0.08 Trane Technologies null null 0.08 CENTENE null null 0.08 Daiichi Sankyo Co. Ltd. null null 0.08 Baxter International Inc. null null 0.08 BCO BILBAO VIZCAYA ARGENTARIA null null 0.08 INVESTOR B null null 0.08 Simon Property Group Inc. null null 0.08 Ross Stores Inc. null null 0.08 MATCH GROUP null null 0.08 Electronic Arts Inc. null null 0.08 SYNOPSYS null null 0.08 STELLANTIS null null 0.08 Canadian Natural Resources Ltd null null 0.08 VOLVO B null null 0.08 WOOLWORTHS GROUP null null 0.08 AMERICAN INTERNATIONAL GROUP null null 0.08

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Mitsubishi Corp. null null 0.07 DEXCOM null null 0.07 Industria de Diseno Textil SA null null 0.07 ROKU null null 0.07 LULULEMON ATHLETICA null null 0.07 DBS Group Holdings Ltd. null null 0.07 Aptiv null null 0.07 Sempra Energy null null 0.07 PPG Industries Inc. null null 0.07 Marriott International Inc. Cl null null 0.07 Amphenol Corp. Cl A null null 0.07 Alexion Pharmaceuticals Inc. null null 0.07 PINTEREST A null null 0.07 MUENCHENER RUECK null null 0.07 Bank of New York Mellon Corp. null null 0.07 Microchip Technology Inc. null null 0.07 Chipotle Mexican Grill Inc. null null 0.07 CRH null null 0.07 Mitsui & Co. Ltd. null null 0.07 Carrier Global null null 0.07 O'Reilly Automotive Inc. null null 0.07 ATLAS COPCO A null null 0.07 COMPASS GRP null null 0.07 BARCLAYS null null 0.07 Prudential Financial Inc. null null 0.07 ERICSSON LM B null null 0.07 MARATHON PETROLEUM null null 0.07 Sysco Corp. null null 0.07 Macquarie Group Ltd. null null 0.07 IHS MARKIT null null 0.07 Allstate Corp. null null 0.07 CONSTELLATION BRANDS 'A' null null 0.07 Manulife Financial Corp. null null 0.07 NORDEA BANK null null 0.07 Seven & I Holdings Co. Ltd. null null 0.07 INTL.FLAVORS & FRAG. null null 0.07 HP Inc. null null 0.07 Mizuho Financial Group Inc. null null 0.07 WIND SYSTEMS null null 0.07 Barrick Gold Corp. null null 0.07 PHILLIPS 66 null null 0.07 SOFTBANK null null 0.07 WALGREENS BOOTS ALLIANCE null null 0.07 Travelers Cos. Inc. null null 0.07 GIVAUDAN null null 0.07 General Mills Inc. null null 0.07 Cognizant Technology Solutions null null 0.07 CADENCE DESIGN SYS. null null 0.07 KRAFT HEINZ COMPANY null null 0.07 Fujitsu Ltd. null null 0.07 Parker Hannifin Corp. null null 0.07 Denso Corp. null null 0.07 Oversea-Chinese Banking Corp. null null 0.07 TRANSDIGM GROUP null null 0.07 Suncor Energy Inc. null null 0.07 KINDER MORGAN null null 0.07 PALO ALTO NETWORKS null null 0.07 SBA Communications Corp. null null 0.07 ATLASSIAN 'A' null null 0.07 SMC Corp. null null 0.07 MOTOROLA SOLUTIONS INC. null null 0.07 ALCON null null 0.07 SAINT GOBAIN null null 0.07 Discover Financial Services null null 0.07 EXPERIAN null null 0.06 null null 0.06 COSTAR GP. null null 0.06 PALANTIR TECHNOLOGIES A null null 0.06 Yum! Brands Inc. null null 0.06 BMW null null 0.06 MONSTER BEVERAGE null null 0.06

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Cummins Inc. null null 0.06 Otis Worldwide null null 0.06 ResMed Inc. null null 0.06 HILTON null null 0.06 Rio Tinto Ltd. null null 0.06 AFLAC Inc. null null 0.06 Archer Daniels Midland Co. null null 0.06 Vonovia SE null null 0.06 AMADEUS IT GROUP null null 0.06 PARTNERS GRP HLDG null null 0.06 Pioneer Natural Resources Co. null null 0.06 Mitsubishi Electric Corp. null null 0.06 NUTRIEN null null 0.06 DASSAULT SYSTEMS null null 0.06 KONE B null null 0.06 SPOTIFY TECHNOLOGY null null 0.06 Oriental Land Co. Ltd. null null 0.06 Paychex Inc. null null 0.06 Zimmer Biomet Holdings null null 0.06 Astellas Pharma Inc. null null 0.06 KONINKLIJKE DSM null null 0.06 Welltower Inc. null null 0.06 DEUTSCHE BOERSE null null 0.06 Southwest Airlines Co. null null 0.06 Eisai Co. Ltd. null null 0.06 Xilinx Inc. null null 0.06 Cintas Corp. null null 0.06 Tokio Marine Holdings Inc. null null 0.06 Mettler-Toledo International I null null 0.06 KKR AND null null 0.06 Central Railway Co. null null 0.06 CORTEVA null null 0.06 Telstra Corp. Ltd. null null 0.06 Williams Cos. null null 0.06 Rockwell Automation Corp. null null 0.06 AutoZone Inc. null null 0.06 CONSTELLATION SOFTWARE null null 0.06 FORTINET null null 0.06 CAP GEMINI null null 0.06 Holcim null null 0.06 Stanley Black & Decker Inc. null null 0.06 CELLNEX TELECOM null null 0.06 FLUTTER ENTERTAINMENT null null 0.06 WASTE CONNECTIONS null null 0.06 ASHTEAD GRP null null 0.06 FIRST REPUBLIC BANK null null 0.06 FERGUSON PLC null null 0.06 Valero Energy Corp. null null 0.06 M3 null null 0.06 ENI null null 0.06 D.R. Horton Inc. null null 0.06 Transurban Group null null 0.06 ALIMENTATION CCH.TARD null null 0.06 AHOLD DELHAIZE null null 0.06 Paccar Inc. null null 0.06 DUPONT DE NEMOURS null null 0.06 Ametek Inc. null null 0.06 ASSA ABLOY null null 0.06 United Overseas Bank Ltd. null null 0.06 McKesson Corp. null null 0.06 VIVENDI null null 0.06 Terumo Corp. null null 0.06 Corning Inc. null null 0.05 Kao Corp. null null 0.05 Kroger Co. null null 0.05 Sun Life Financial Inc. null null 0.05 Bridgestone Corp. null null 0.05 Fastenal Co. null null 0.05 Fortescue Metals Group Ltd. null null 0.05 Willis Towers Watson null null 0.05 OKTA CL.A null null 0.05

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

CBRE GP. null null 0.05 VF Corp. null null 0.05 Avalonbay Communities Inc. null null 0.05 PELOTON INTERACTIVE A null null 0.05 Shiseido Co. Ltd. null null 0.05 Delta Air Lines Inc. null null 0.05 FUJIFILM Holdings Corp. null null 0.05 EPAM SYSTEMS null null 0.05 AMERICAN WATER WORKS null null 0.05 Ansys Inc. null null 0.05 null null 0.05 Keurig Dr Pepper null null 0.05 TELUS null null 0.05 HEXAGON B null null 0.05 Equifax Inc. null null 0.05 Nucor Corp. null null 0.05 EVOLUTION null null 0.05 SKYWORKS SLTN. null null 0.05 Ameriprise Financial Inc. null null 0.05 COPART null null 0.05 HEINEKEN null null 0.05 State Street Corp. null null 0.05 VERISK ANALYTICS CL.A null null 0.05 FRANCO-NEVADA null null 0.05 MICHELIN null null 0.05 NOKIA null null 0.05 LEGRAND null null 0.05 Olympus Corp. null null 0.05 Yum Holdings null null 0.05 East Japan Railway Co. null null 0.05 Panasonic Corp. null null 0.05 SVB FINANCIAL GROUP null null 0.05 KEYSIGHT TECHNOLOGIES null null 0.05 Eversource Energy null null 0.05 SANDVIK null null 0.05 OLD DOMINION FGT. LINES null null 0.05 HUBSPOT null null 0.05 GEBERIT null null 0.05 Equity Residential null null 0.05 LENNAR 'A' null null 0.05 DEUTSCHE BANK null null 0.05 TECHTRONIC INDS. null null 0.05 Maxim Integrated Products Inc. null null 0.05 SWISS REINSURANCE COMPANY null null 0.05 UNICREDIT null null 0.05 NESTE null null 0.05 ARTHUR J GALLAGHER null null 0.05 ZEBRA TECHS. 'A' null null 0.05 Fifth Third Bancorp null null 0.05 Goodman Group null null 0.05 ORSTED null null 0.05 WOLTERS KLUWER null null 0.05 WEST PHARM.SVS. null null 0.05 Chugai Pharmaceutical Co. Ltd. null null 0.05 Ball Corp. null null 0.05 LYONDELLBASELL INDUSTRIES null null 0.05 ASSICURAZIONI GENERALI null null 0.05 KANSAS CTY.STHN. null null 0.05 TRADE DESK CL.A null null 0.05 Consolidated Edison Inc. null null 0.05 ALEXANDRIA RLST.EQTIES. null null 0.05 Laboratory Corp. of America Ho null null 0.05 GRP SOCIETE GENERALE null null 0.05 Komatsu Ltd. null null 0.05 Hershey Co. null null 0.05 SYNCHRONY FINANCIAL null null 0.05 ASAHI GROUP HDGS null null 0.05 REALTY INCOME null null 0.05 Weyerhaeuser Co. null null 0.05 Best Buy Co. Inc. null null 0.05 National Bank of Canada null null 0.05

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Magna International Inc. Cl A null null 0.05 TELEFONICA null null 0.05 Canon Inc. null null 0.05 FERRARI null null 0.05 GENERAC HOLDINGS null null 0.05 DOORDASH A null null 0.05 BT GRP null null 0.05 Cerner Corp. null null 0.04 DELL TECHNOLOGIES null null 0.04 Liberty Broadband Cl C null null 0.04 ORANGE null null 0.04 Sun Hung Kai Properties Ltd. null null 0.04 Mitsubishi Estate Co. Ltd. null null 0.04 STMICROELECTRONICS null null 0.04 AKZO NOBEL null null 0.04 CDW null null 0.04 TESCO null null 0.04 Kyocera Corp. null null 0.04 CREDIT SUISSE GRP null null 0.04 Dollar Tree Inc. null null 0.04 ONEOK Inc. null null 0.04 Occidental Petroleum Corp. null null 0.04 SAMPO null null 0.04 Mitsui Fudosan Co. Ltd. null null 0.04 Aeon Co. Ltd. null null 0.04 MERCK null null 0.04 International Paper Co. null null 0.04 Fortive null null 0.04 Kubota Corp. null null 0.04 MONGODB A null null 0.04 Hess Corp. null null 0.04 RINGCENTRAL null null 0.04 Northern Trust Corp. null null 0.04 TELEPERFORMANCE null null 0.04 VeriSign Inc. null null 0.04 VIACOMCBS null null 0.04 Brown-Forman Corp. Cl B null null 0.04 EQT null null 0.04 AVIVA null null 0.04 Republic Services Inc. null null 0.04 LEGAL & GENERAL GRP null null 0.04 CLOUDFLARE A null null 0.04 WORLDLINE null null 0.04 SCOTTISH & SOUTHERN ENERGY null null 0.04 GALAXY ENTERTAINMENT GP. null null 0.04 WAYFAIR CL.A null null 0.04 FRESENIUS null null 0.04 Vulcan Materials Co. null null 0.04 SLACK TECHNOLOGIES A null null 0.04 Kellogg Co. null null 0.04 Hartford Financial Services Gr null null 0.04 Clorox Co. null null 0.04 FLEETCOR TECHNOLOGIES null null 0.04 Tyson Foods Inc. Cl A null null 0.04 EQUINOR null null 0.04 McCormick & Co. Inc. null null 0.04 DELIVERY HERO null null 0.04 ETSY null null 0.04 EXACT SCIENCES CORP null null 0.04 CK HUTCHISON HOLDINGS null null 0.04 OTSUKA HOLDINGS null null 0.04 W.W. Grainger Inc. null null 0.04 ARISTA NETWORKS null null 0.04 Dai-ichi Life Holdings null null 0.04 Waters Corp. null null 0.04 Ventas Inc. null null 0.04 LOGITECH INTERNATIONAL null null 0.04 Western Digital Corp. null null 0.04 AFTERPAY null null 0.04 Link Real Estate Investment Tr null null 0.04 EXTRA SPACE STORAGE null null 0.04

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Martin Marietta Materials Inc. null null 0.04 HORIZON THERAPEUTICS PUBLIC null null 0.04 SPLUNK null null 0.04 UNITED RENTALS null null 0.04 Garmin Ltd. null null 0.04 GARTNER 'A' null null 0.04 SEAGEN null null 0.04 Church & Dwight Co. null null 0.04 CARVANA 'A' null null 0.04 TERADYNE null null 0.04 ZALANDO null null 0.04 TRANSUNION null null 0.04 Dover Corp. null null 0.04 ALNYLAM PHARMACEUTICALS null null 0.04 Aristocrat Leisure Ltd. null null 0.04 INVITATION HOMES null null 0.04 XYLEM null null 0.04 DEUTSCHE WOHNEN null null 0.04 NOVOCURE null null 0.04 Expeditors International of Wa null null 0.04 Suzuki Motor Corp. null null 0.04 TELADOC null null 0.04 SEAGATE TECHNOLOGY HOLDINGS null null 0.04 Nasdaq Inc null null 0.04 ARCELORMITTAL null null 0.04 CGI 'A' null null 0.04 ZILLOW GROUP CLASS C null null 0.04 RESTAURANT BRANDS INTL null null 0.04 SKANDINAVISKA ENSKILDA BK A null null 0.04 Essity B null null 0.04 BURLINGTON STORES null null 0.04 TRACTOR SUPPLY null null 0.04 Orix Corp. null null 0.04 QORVO null null 0.04 CAESARS ENTERTAINMENT null null 0.04 TAKE TWO INTACT.SFTW. null null 0.04 ESSEX PROPERTY TST. null null 0.04 TELEDYNE TECHS. null null 0.04 KBC GRP null null 0.04 WHEATON PRECIOUS METALS CORP. null null 0.04 Huntington Bancshares Inc. null null 0.04 DATADOG A null null 0.04 STERIS null null 0.04 null null 0.04 KERRY GRP null null 0.04 Trimble Inc null null 0.04 KeyCorp null null 0.04 Expedia Group Inc null null 0.04 Halliburton Co. null null 0.04 Shimano Inc. null null 0.04 Daiwa House Industry Co. Ltd. null null 0.04 MID-AMER.APT COMMUNITIES null null 0.04 CARLSBERG B null null 0.04 INTACT FINANCIAL null null 0.04 DNB null null 0.04 B null null 0.04 Sysmex Corp. null null 0.04 HENKEL PREF null null 0.04 CITIZENS FINANCIAL GROUP null null 0.04 COOPER COS. null null 0.04 Uni-Charm Corp. null null 0.04 KUEHNE + NAGEL null null 0.04 SGS null null 0.03 Hewlett Packard Enterprise null null 0.03 SMITH & NEPHEW null null 0.03 Akamai Technologies Inc. null null 0.03 Regions Financial Corp. null null 0.03 SHENZHOU INTL.GP.HDG. null null 0.03 Advantest Corp. null null 0.03 PAYCOM SOFTWARE null null 0.03 null null 0.03

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

INSULET null null 0.03 CATALENT null null 0.03 TELEFLEX null null 0.03 LASERTEC null null 0.03 SUN COMMUNITIES null null 0.03 Ulta Beauty null null 0.03 ALBEMARLE null null 0.03 REPSOL null null 0.03 CarMax Inc. null null 0.03 INCYTE null null 0.03 M&T Bank Corp. null null 0.03 BROADRIDGE FINL.SLTN. null null 0.03 CREDIT AGRICOLE null null 0.03 Rogers Communications Inc. Cl null null 0.03 DOMINOS PIZZA null null 0.03 Power Corp. of Canada null null 0.03 SEGRO null null 0.03 ENPHASE ENERGY null null 0.03 UNITY SOFTWARE null null 0.03 AVANTOR null null 0.03 CK Asset Holdings Ltd null null 0.03 AMCOR null null 0.03 HEALTHPEAK PROPERTIES null null 0.03 PEMBINA PIPELINE CORP null null 0.03 MGM RESORTS INTERNATIONAL null null 0.03 Toyota Industries Corp. null null 0.03 TYLER TECHNOLOGIES null null 0.03 POOL null null 0.03 COUPA SOFTWARE null null 0.03 DUKE REALTY null null 0.03 DRAFTKINGS A null null 0.03 NVR Inc. null null 0.03 CHAS.RVR.LABS.INTL. null null 0.03 BEIGENE null null 0.03 Las Vegas Sands Corp. null null 0.03 VIATRIS null null 0.03 Sumitomo Realty & Development null null 0.03 Genuine Parts Co. null null 0.03 NetApp Inc. null null 0.03 Conagra Brands Inc. null null 0.03 STRAUMANN null null 0.03 Cincinnati Financial Corp. null null 0.03 HENNES & MAURITZ B null null 0.03 Kirin Holdings Co. Ltd. null null 0.03 Quest Diagnostics Inc. null null 0.03 Avery Dennison Corp. null null 0.03 UNITED AIRLINES HOLDINGS null null 0.03 null null 0.03 MARKETAXESS HOLDINGS null null 0.03 ZENDESK null null 0.03 SVENSKA HANDELSBANKEN A null null 0.03 HELLOFRESH AG null null 0.03 INGERSOLL-RAND null null 0.03 Darden Restaurants Inc. null null 0.03 A.P.MOLLER- B null null 0.03 Hong Kong & China Gas Co. Ltd. null null 0.03 AmerisourceBergen Corp. null null 0.03 PERKINELMER null null 0.03 Sumitomo Corp. null null 0.03 VICI PPTYS null null 0.03 Secom Co. Ltd. null null 0.03 PORSCHE PREF null null 0.03 Celanese Corp. Series A null null 0.03 Boston Properties Inc. null null 0.03 Woodside Petroleum Ltd. null null 0.03 ROYAL CARIBBEAN GROUP null null 0.03 Omnicom Group Inc. null null 0.03 WIX COM null null 0.03 BIO TECHNE CORP null null 0.03 OCADO null null 0.03 WPP null null 0.03

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

SYMRISE null null 0.03 FRESENIUS MEDICAL CARE null null 0.03 Cardinal Health Inc. null null 0.03 Principal Financial Group Inc. null null 0.03 Thomson Reuters Corp. null null 0.03 Coles Group null null 0.03 CNH Industrial NV null null 0.03 VEOLIA ENVIRONNEMENT null null 0.03 LYFT A null null 0.03 ARGENX null null 0.03 Hologic Inc. null null 0.03 SS&C TECHNOLOGIES HOLDING null null 0.03 Jardine Matheson Holdings Ltd. null null 0.03 Omron Corp. null null 0.03 IDEX null null 0.03 CONTINENTAL null null 0.03 3I GROUP PLC. null null 0.03 SWISS LIFE HLDG null null 0.03 JUST EAT TAKEAWAY.COM NV null null 0.03 MONOLITHIC PWR.SYS. null null 0.03 Markel Corp. null null 0.03 TDK Corp. null null 0.03 NortonLifeLock null null 0.03 Nomura Holdings Inc. null null 0.03 Newcrest Mining Ltd. null null 0.03 EDP ENERGIAS DE PORTUGAL null null 0.03 ENTEGRIS null null 0.03 NIPPON STEEL null null 0.03 BANDAI NAMCO HOLDINGS INC. null null 0.03 Nitori Co. Ltd. null null 0.03 Devon Energy Corp. null null 0.03 BAKER HUGHES null null 0.03 NUANCE COMMS. null null 0.03 FERROVIAL null null 0.03 null null 0.03 Eastman Chemical Co. null null 0.03 Asahi Kasei Corp. null null 0.03 RAYMOND JAMES FINL. null null 0.03 SG HOLDINGS null null 0.03 Marubeni Corp. null null 0.03 Agnico-Eagle Mines Ltd. null null 0.03 Masco Corp. null null 0.03 Arch Capital Group Ltd. null null 0.03 Shionogi & Co. Ltd. null null 0.03 ROYALTY PHARMA A null null 0.03 BIOMARIN PHARM. null null 0.03 J.M. Smucker Co. null null 0.03 WABTEC null null 0.03 PUBLICIS GRP null null 0.03 LEIDOS HOLDINGS null null 0.03 ENTAIN null null 0.03 ON SEMICON. null null 0.03 FAIR ISAAC null null 0.03 MS&AD Insurance Group Holdings null null 0.03 NN GROUP null null 0.03 L BRANDS INC null null 0.03 NIPPON PAINT HOLDINGS null null 0.03 ASM INTERNATIONAL null null 0.03 Hang Seng Bank Ltd. null null 0.03 Carnival Corp. null null 0.03 ALSTOM null null 0.03 SWISSCOM null null 0.03 EDENRED null null 0.03 FMC Corp. null null 0.03 PLUG POWER null null 0.03 JULIUS BAER GRP null null 0.03 NIBE INDUSTRIER B null null 0.03 ABIOMED null null 0.03 HOWMET AEROSPACE null null 0.03 PULTEGROUP null null 0.03 GODADDY CL.A null null 0.03

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

XERO null null 0.03 JD HEALTH INTERNATIONAL null null 0.03 NEXT null null 0.03 SIEMENS ENERGY null null 0.03 Citrix Systems Inc. null null 0.03 LKQ null null 0.03 KINGSPAN GRP null null 0.03 UDR null null 0.03 ZSCALER null null 0.03 HALMA null null 0.03 BRENNTAG null null 0.03 10X GENOMICS A null null 0.03 LUMEN TECHNOLOGIES null null 0.03 PTC INC null null 0.03 AIRBNB A null null 0.03 CRODA INTERNATIONAL null null 0.03 MTU AERO ENGINES null null 0.03 MOLINA HEALTHCARE null null 0.03 Sompo Holdings null null 0.03 EUROFINS SCIENTIFIC null null 0.03 ELANCO ANIMAL HEALTH null null 0.03 DENTSPLY SIRONA null null 0.03 MONCLER null null 0.03 Obic Co. Ltd. null null 0.03 Ajinomoto Co. Inc. null null 0.03 BIO-RAD LABORATORIES 'A' null null 0.03 EQUITY LIFESTYLE PROPS. null null 0.03 WESTROCK null null 0.03 HUNT JB TRANSPORT SVS. null null 0.03 Singapore L null null 0.03 ENEOS HOLDINGS null null 0.03 COGNEX null null 0.03 NEC Corp. null null 0.03 OPEN TEXT (NAS) null null 0.03 SOLAREDGE TECHNOLOGIES null null 0.03 Sonic Healthcare Ltd. null null 0.03 SPIRAX-SARCO null null 0.03 BILL COM HOLDINGS null null 0.03 CAIXABANK null null 0.02 HORMEL FOODS null null 0.02 SIEMENS HEALTHINEERS null null 0.02 FORTUNE BRANDS HOME & SECURITY null null 0.02 WP CAREY null null 0.02 Crown Holdings Inc. null null 0.02 PERSIMMON null null 0.02 Check Point Software Technolog null null 0.02 EPIROC A null null 0.02 Whirlpool Corp. null null 0.02 APOLLO GLOBAL MAN.CL.A null null 0.02 Advance Auto Parts Inc. null null 0.02 Wynn Resorts Ltd. null null 0.02 Z HOLDINGS null null 0.02 INTERCONTINENTAL HOTELS GRP null null 0.02 Makita Corp. null null 0.02 DOLLARAMA null null 0.02 Kikkoman Corp. null null 0.02 AVALARA null null 0.02 UNIBAIL-RODAMCO-WESTFIELD null null 0.02 JAPAN EXCHANGE GROUP null null 0.02 null null 0.02 CAMDEN PROPERTY TST. null null 0.02 NATWEST GROUP null null 0.02 Sekisui House Ltd. null null 0.02 FNF Group null null 0.02 UCB null null 0.02 SNAM RETE GAS null null 0.02 VAIL RESORTS null null 0.02 Yaskawa Electric Corp. null null 0.02 FOX CORP 'A' null null 0.02 Annaly Capital Management Inc. null null 0.02 QBE Insurance Group Ltd. null null 0.02

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

SNOWFLAKE A null null 0.02 C.H. Robinson Worldwide Inc. null null 0.02 PACK.CORP.OF AM. null null 0.02 SMURFIT KAPPA GRP null null 0.02 BROWN & BROWN null null 0.02 Nomura Research Institute Ltd. null null 0.02 JACK HENRY & ASSOCS. null null 0.02 VMWARE null null 0.02 Brambles Ltd. null null 0.02 HEIDELBERGCEMENT null null 0.02 Loews Corp. null null 0.02 RENTOKIL INITIAL null null 0.02 SUBARU CORPORATION null null 0.02 ALLEGION null null 0.02 AENA SME null null 0.02 IAC/INTERACTIVECORP null null 0.02 FACTSET RESEARCH SYS. null null 0.02 Coca-Cola Europacific Partners null null 0.02 INTERTEK GRP null null 0.02 ATMOS ENERGY null null 0.02 FISHER & PAYKEL HLTHCR. null null 0.02 SYDNEY AIRPORT null null 0.02 MASIMO null null 0.02 CERIDIAN HCM HOLDING null null 0.02 CARREFOUR null null 0.02 BURBERRY null null 0.02 JAPAN POST HOLDINGS null null 0.02 Cochlear Ltd. null null 0.02 MOWI null null 0.02 FIVE9 null null 0.02 Host Hotels & Resorts Inc. null null 0.02 Mitsubishi Chemical Holdings C null null 0.02 BEIERSDORF null null 0.02 SUMITOMO MITSUI TRUST HOLDINGS null null 0.02 SARTORIUS PREF. null null 0.02 GUARDANT HEALTH null null 0.02 Sumitomo Electric Industries L null null 0.02 BOOZ ALLEN HAMILTN.HLDG. null null 0.02 GRACO null null 0.02 COVESTRO null null 0.02 SCHINDLER P null null 0.02 Fairfax Financial Holdings Ltd null null 0.02 ANA HOLDINGS null null 0.02 First Quantum Minerals Ltd. null null 0.02 STONECO A null null 0.02 Metro Inc. Cl A null null 0.02 Hasbro Inc. null null 0.02 BOUYGUES null null 0.02 BLACK KNIGHT null null 0.02 BorgWarner Inc. null null 0.02 MONDI null null 0.02 Toyota Tsusho Corp. null null 0.02 SMOORE INTERNATIONAL HOLDINGS null null 0.02 UMICORE null null 0.02 EMERA null null 0.02 SNAP-ON null null 0.02 MEDICAL PROPERTIES TRUST null null 0.02 PENN NAT.GAMING null null 0.02 Lamb Weston Holdings Inc. null null 0.02 UNIVERSAL HEALTH SVS.'B' null null 0.02 West Japan Railway Co. null null 0.02 ASSOCIATED BRITISH FOODS null null 0.02 ERSTE GROUP BANK null null 0.02 F5 Networks Inc. null null 0.02 RPM INTL. null null 0.02 LENNOX INTL. null null 0.02 Ono Pharmaceutical Co. Ltd. null null 0.02 MINEBEA MITSUMI null null 0.02 Toray Industries Inc. null null 0.02 GN STORE NORD null null 0.02 Nitto Denko Corp. null null 0.02

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

NORDSON null null 0.02 Shimadzu Corp. null null 0.02 SCENTRE GROUP null null 0.02 DAIFUKU null null 0.02 NOVAVAX null null 0.02 RYANAIR null null 0.02 ASX Ltd. null null 0.02 ADECCO null null 0.02 LINDT & SPRUENGLI REG null null 0.02 RENESAS null null 0.02 EQUITABLE HOLDINGS null null 0.02 Sumitomo Metal Mining Co. Ltd. null null 0.02 TERNA null null 0.02 QIAGEN null null 0.02 GRP BRUXELLES LAMBERT null null 0.02 NEXON null null 0.02 SKANSKA B null null 0.02 FARFETCH A null null 0.02 SUNCORP GROUP LTD. null null 0.02 BUNZL null null 0.02 INFORMA null null 0.02 TEMENOS null null 0.02 ST.JAMES'S PLACE CAPITAL null null 0.02 STORA ENSO R null null 0.02 SARTORIUS STEDIM BIOTECH null null 0.02 Sands China Ltd. null null 0.02 null null 0.02 TELIA COMPANY null null 0.02 ADMIRAL GRP null null 0.02 PUMA null null 0.02 SAGE GRP null null 0.02 AGEAS null null 0.02 NEXI SPA null null 0.02 KPN null null 0.02 Nippon Building Fund Inc. null null 0.02 LEG IMMOBILIEN null null 0.02 SUNRUN null null 0.02 CABLE ONE null null 0.02 EIFFAGE null null 0.02 W.R. Berkley Corp. null null 0.02 CHEGG null null 0.02 Nissan Motor Co. Ltd. null null 0.02 Santos Ltd. null null 0.02 HANNOVER RUECK null null 0.02 Amdocs Ltd. null null 0.02 FINECOBANK null null 0.02 NTT Data Corp. null null 0.02 Cree Inc. null null 0.02 KINGFISHER null null 0.02 ALFA LAVAL null null 0.02 KESKO null null 0.02 BARRATT DEVELOPMENTS null null 0.02 South32 Australia null null 0.02 MELROSE INDUSTRIES null null 0.02 HEINEKEN HLDG null null 0.02 SWATCH BEARER null null 0.02 AGC null null 0.02 Misumi Group Inc. null null 0.02 BOLIDEN null null 0.02 JAPAN AIRLINES null null 0.02 Insurance Australia Group Ltd. null null 0.02 UNITED UTILITIES GRP null null 0.02 Disco Corp. null null 0.02 SUEZ ENVIRONNEMENT null null 0.02 RAKUTEN GROUP null null 0.02 ATLANTIA null null 0.02 Meiji Holdings Co. Ltd. null null 0.02 WH GROUP null null 0.02 Yamaha Corp. null null 0.02 CHR HANSEN HLDG null null 0.02 NEUROCRINE BIOSCIENCES null null 0.02

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

SKF B null null 0.02 RANDSTAD null null 0.02 SOLVAY null null 0.02 PKO BANK null null 0.02 ASPEN TECHNOLOGY null null 0.02 Yamaha Motor Co. Ltd. null null 0.02 BUREAU VERITAS null null 0.02 PRYSMIAN null null 0.02 Resona Holdings Inc. null null 0.02 ELISA CORPORATION null null 0.02 EXOR NV null null 0.02 WHARF REIC null null 0.02 Hamamatsu Photonics K.K. null null 0.02 YARA null null 0.02 Yamato Holdings Co. Ltd. null null 0.02 Odakyu Electric Railway Co. Lt null null 0.02 Toto Ltd. null null 0.02 Yakult Honsha Co. Ltd. null null 0.02 Wilmar International Ltd. null null 0.02 IMCD null null 0.02 Dentsu Inc. null null 0.02 WHITBREAD null null 0.02 KINNEVIK B null null 0.02 Ramsay Health Care Ltd. null null 0.02 XINYI GLASS HOLDINGS null null 0.02 Ricoh Co. Ltd. null null 0.02 SVENSKA CELLULOSA B null null 0.02 TABCorp Holdings Ltd. null null 0.02 CYBERAGENT null null 0.02 PEARSON null null 0.02 SEEK Ltd. null null 0.02 SMITHS GRP null null 0.02 DEXUS null null 0.02 Daiwa Securities Group Inc. null null 0.02 RENAULT null null 0.02 Rohm Co. Ltd. null null 0.02 VAT GROUP AG null null 0.02 NORTHERN STAR null null 0.02 M&G null null 0.02 KYOWA KIRIN null null 0.02 Mirvac Group null null 0.02 Japan Real Estate Investment C null null 0.02 Tokyo Gas Co. Ltd. null null 0.02 INTERMEDIATE CAPITAL GRP null null 0.02 MTR Corp. Ltd. null null 0.02 Naturgy Energy Group null null 0.02 Stockland null null 0.02 AUTO TRADER GROUP null null 0.02 KNORR BREMSE null null 0.02 SEVERN TRENT null null 0.02 Tokyu Corp. null null 0.02 PAN PACIFIC INTL HLDG null null 0.02 CAPTIALAND INT COMM TRUST null null 0.02 Isuzu Motors Ltd. null null 0.02 GRIFOLS null null 0.02 JOHNSON MATTHEY null null 0.02 POLYMETAL INTERNATIONAL null null 0.02 ARKEMA null null 0.02 DCC null null 0.02 EURONEXT null null 0.02 STANDARD LIFE ABERDEEN null null 0.02 AROUNDTOWN (FRA) null null 0.02 TAYLOR WIMPEY null null 0.02 OMV null null 0.01 BlueScope Steel Ltd. null null 0.01 SODEXO null null 0.01 DS SMITH null null 0.01 Inpex Corp. null null 0.01 GETINGE B null null 0.01 Nippon Yusen K.K. null null 0.01 RIGHTMOVE GRP null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

T&D Holdings Inc. null null 0.01 Koito Manufacturing Co. Ltd. null null 0.01 Osaka Gas Co. Ltd. null null 0.01 null null 0.01 SINCH null null 0.01 SIGNIFY null null 0.01 BALOISE null null 0.01 Hankyu Hanshin Holdings Inc. null null 0.01 METSO OUTOTEC null null 0.01 NORSK HYDRO null null 0.01 AISIN null null 0.01 LIXIL CORP null null 0.01 NIHON M&A CENTER null null 0.01 SWISS PRIME SITE null null 0.01 MEDIOBANCA null null 0.01 AEGON null null 0.01 ORKLA null null 0.01 BERKELEY GRP HLDG null null 0.01 null null 0.01 NOMURA REIT.MASTER FUND null null 0.01 Daito Trust Construction Co. L null null 0.01 Sekisui Chemical Co. Ltd. null null 0.01 ANTOFAGASTA null null 0.01 Nippon Express Co. Ltd. null null 0.01 REECE AUSTRALIA null null 0.01 Keio Corp. null null 0.01 KION GROUP null null 0.01 GECINA null null 0.01 GLP J-REIT null null 0.01 COCA-COLA HBC null null 0.01 Japan Metropolitan Fund Invest null null 0.01 Trend Micro Inc. null null 0.01 NISSAN CHEMICAL null null 0.01 SIG COMBIBLOC GROUP AG null null 0.01 Computershare Ltd. null null 0.01 UBISOFT ENTERTAINMENT null null 0.01 COMMERZBANK null null 0.01 MicroPort Scien. null null 0.01 WARTSILA null null 0.01 VALEO null null 0.01 Ibiden Co. Ltd. null null 0.01 ACS null null 0.01 AUSTRALIAN PIPELINE null null 0.01 FUJI ELECTRIC null null 0.01 VIFOR PHARMA null null 0.01 BARRY CALLEBAUT null null 0.01 SIEMENS GAMESA null null 0.01 Mitsui Chemicals Inc. null null 0.01 PHOENIX GROUP HDG. null null 0.01 Otsuka Corp. null null 0.01 HULIC null null 0.01 ATOS null null 0.01 Kajima Corp. null null 0.01 Getlink null null 0.01 Qantas Airways Ltd. null null 0.01 CARL ZEISS MEDITEC null null 0.01 Kintetsu Corp. null null 0.01 IAG null null 0.01 FASTIGHETS BALDER B null null 0.01 ROYAL MAIL null null 0.01 Ascendas Real Estate Investmen null null 0.01 CapitaLand Ltd. null null 0.01 ACCOR null null 0.01 SCOUT24 null null 0.01 Singapore Exchange Ltd. null null 0.01 Kansai Paint Co. Ltd. null null 0.01 SOFINA null null 0.01 TELE2 B null null 0.01 Taisei Corp. null null 0.01 INDUSTRIVARDEN A null null 0.01 NIPPON PROLOGIS REIT null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

IMI null null 0.01 JSR Corp. null null 0.01 ORPEA null null 0.01 TREASURY WINE ESTATES null null 0.01 LA FRANCAISE DES JEUX null null 0.01 B&M EUROPEAN VALUE RETAIL null null 0.01 JFE Holdings Inc. null null 0.01 Taiyo Yuden Co. Ltd. null null 0.01 INDUTRADE null null 0.01 WEIR GRP null null 0.01 EMS-CHEMIE HLDG null null 0.01 TIS INC. null null 0.01 LUNDIN ENERGY null null 0.01 Henderson Land Development Co. null null 0.01 PENNON GRP null null 0.01 HOWDEN JOINERY GRP null null 0.01 REA GROUP null null 0.01 TEAMVIEWER AG null null 0.01 Lend Lease Group null null 0.01 DECHRA PHARMACEUTICALS null null 0.01 'B' null null 0.01 LAND SECURITIES null null 0.01 ELECTROCOMPONENTS null null 0.01 POSTE ITALIANE null null 0.01 KONAMI HOLDINGS null null 0.01 EVONIK INDUSTRIES null null 0.01 MEDIBANK PRIVATE null null 0.01 ITV null null 0.01 ELECTROLUX B null null 0.01 SCHRODERS null null 0.01 MINERAL RESOURCES null null 0.01 Sumco Corp. null null 0.01 SAINSBURY (J) null null 0.01 TOMRA SYSTEMS null null 0.01 Auckland International Airport null null 0.01 AMPLIFON null null 0.01 Boral Ltd. null null 0.01 Nissin Foods Holdings Co. Ltd. null null 0.01 THG null null 0.01 Dai Nippon Printing Co. Ltd. null null 0.01 KOSE null null 0.01 AZBIL CORP. null null 0.01 SPARK NEW ZEALAND null null 0.01 JD SPORTS FASHION null null 0.01 SBI Holdings Inc. null null 0.01 Idemitsu Kosan Co. Ltd. null null 0.01 BE null null 0.01 EVOLUTION MINING null null 0.01 GEA GRP null null 0.01 GPT Group null null 0.01 VERBUND null null 0.01 DAVIDE CAMPARI null null 0.01 Seiko Epson Corp. null null 0.01 MORRISON (WILLIAM) SUPERMARK null null 0.01 KLEPIERRE null null 0.01 OJI HOLDINGS null null 0.01 DAIWA HOUSE REIT INVESTMENT null null 0.01 EVOTEC null null 0.01 MONOTARO null null 0.01 Obayashi Corp. null null 0.01 Kobayashi Pharmaceutical Co. L null null 0.01 PSP SWISS PROPERTY null null 0.01 Toppan Printing Co. Ltd. null null 0.01 CASTELLUM null null 0.01 BRITISH LAND COMPANY null null 0.01 Hongkong Land Holdings Ltd. null null 0.01 ABN AMRO BANK null null 0.01 GEORG FISCHER null null 0.01 RECORDATI null null 0.01 null null 0.01 BELLWAY null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

DOMINO'S PIZZA ENTS. null null 0.01 NGK Insulators Ltd. null null 0.01 LANXESS null null 0.01 PZU GROUP null null 0.01 NIPPON SHINYAKU null null 0.01 CAPCOM null null 0.01 Shimizu Corp. null null 0.01 Oil Search Ltd. null null 0.01 Tosoh Corp. null null 0.01 ASAHI INTECC null null 0.01 Valmet null null 0.01 Keisei Electric Railway Co. Lt null null 0.01 Tobu Railway Co. Ltd. null null 0.01 Brother Industries Ltd. null null 0.01 VICINITY CENTRES null null 0.01 HIKMA PHARMACEUTICALS null null 0.01 MAGELLAN FINANCIAL GROUP null null 0.01 OZ Minerals Ltd. null null 0.01 GALP ENERGIA null null 0.01 ASR NEDERLAND NV null null 0.01 ESR CAYMAN null null 0.01 TSURUHA HOLDINGS null null 0.01 ENAGAS null null 0.01 DIRECT LINE INSURANCE GROUP null null 0.01 Toho Co. Ltd. (9602) null null 0.01 TRELLEBORG B null null 0.01 AVEVA GRP null null 0.01 DIALOG SEMICON null null 0.01 AMPOL null null 0.01 HUSQVARNA B null null 0.01 Toho Gas Co. Ltd. null null 0.01 Keppel Corp. Ltd. null null 0.01 Kurita Water Industries Ltd. null null 0.01 AMUNDI null null 0.01 SPECTRIS null null 0.01 WDP null null 0.01 GMO PAYMENT GTWY. null null 0.01 SEB null null 0.01 CONVATEC PLC null null 0.01 BUDWEISER BREWING COMPANY APAC null null 0.01 Sino Land Co. Ltd. null null 0.01 Santen Pharmaceutical Co. Ltd. null null 0.01 Mazda Motor Corp. null null 0.01 SCOR null null 0.01 HOSHIZAKI CORPORATION null null 0.01 BIOMERIEUX null null 0.01 null null 0.01 Orix JREIT Inc. null null 0.01 Mitsui O.S.K. Lines Ltd. null null 0.01 TELECOM ITALIA null null 0.01 ADEVINTA null null 0.01 CHARTER HALL GROUP null null 0.01 COVIVIO null null 0.01 MEGGITT null null 0.01 AURIZON HOLDINGS null null 0.01 AMS AG null null 0.01 Lion Corp. null null 0.01 SITC Int. Hold. null null 0.01 IIDA GROUP HOLDINGS null null 0.01 BANK OF IRELAND GROUP null null 0.01 BANCO BPM null null 0.01 AALBERTS null null 0.01 Nabtesco Corp. null null 0.01 TENARIS null null 0.01 AAC TECHNOLOGIES HDG null null 0.01 SOITEC null null 0.01 GAMES WORKSHOP null null 0.01 Hakuhodo DY Holdings Inc. null null 0.01 UNITE GROUP PLC null null 0.01 NOKIAN RENKAAT null null 0.01 LIFCO B null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

ELEKTA B null null 0.01 SIMCORP null null 0.01 TECAN null null 0.01 MIURA null null 0.01 HKT TRUST & HKT null null 0.01 DIPLOMA null null 0.01 PEPTIDREAM null null 0.01 Ryohin Keikaku Co. Ltd. null null 0.01 NETCOMPANY GROUP AS null null 0.01 Hirose Electric Co. Ltd. null null 0.01 Singapore Airlines Ltd. null null 0.01 THYSSENKRUPP null null 0.01 TRAVIS PERKINS null null 0.01 DOMETIC GROUP AB null null 0.01 TATE & LYLE null null 0.01 BECHTLE null null 0.01 SAGAX 'B' null null 0.01 EVRAZ null null 0.01 ALLEGRO.EU null null 0.01 DERWENT LONDON null null 0.01 INTERPUMP GRP null null 0.01 BOLLORE null null 0.01 Shizuoka Bank Ltd. null null 0.01 SECURITAS B null null 0.01 SUNTORY BEVERAGE & FOOD null null 0.01 DIASORIN null null 0.01 Ebara Corp. null null 0.01 REXEL null null 0.01 TAG IMMOBILIEN AG null null 0.01 LUNDBERGFORETAGEN B null null 0.01 KOJAMO OYJ null null 0.01 FOOD & LIFE COMPANIES null null 0.01 ORION B null null 0.01 Square Enix Holdings Co. Ltd. null null 0.01 NOF null null 0.01 LATOUR INVESTMENT B null null 0.01 TRITAX BIG BOX REIT null null 0.01 CLARIANT null null 0.01 Hang Lung Properties Ltd. null null 0.01 NSK Ltd. null null 0.01 SCREEN HOLDINGS null null 0.01 CK INFRASTRUCTURE HOLDINGS null null 0.01 ATLAS ARTERIA null null 0.01 HUHTAMAKI null null 0.01 THULE GROUP null null 0.01 NORDIC SEMICONDUCTOR null null 0.01 Showa Denko K.K. null null 0.01 AVAST PLC null null 0.01 Chiba Bank Ltd. null null 0.01 GENUS null null 0.01 SAMHALLSBYGGNADSBOL AGET NORD null null 0.01 PEKAO null null 0.01 JERONIMO MARTINS null null 0.01 Concordia Financial Group null null 0.01 Thai Beverage PCL null null 0.01 Mitsubishi Gas Chemical Co. In null null 0.01 ALS Limited null null 0.01 MERIDIAN ENERGY null null 0.01 RUBIS null null 0.01 VOESTALPINE null null 0.01 MITSUBISHI HC CAPITAL null null 0.01 ADVANCE RESIDENCE INV. null null 0.01 UNITED URB.INV. null null 0.01 Stanley Electric Co. Ltd. null null 0.01 FABEGE null null 0.01 Asics Corp. null null 0.01 RATIONAL null null 0.01 AEDIFICA null null 0.01 WIENERBERGER null null 0.01 Bank of Queensland Ltd. null null 0.01 NATIXIS null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Fletcher Building Ltd. null null 0.01 BELIMO HOLDING null null 0.01 BAYCURRENT CONSULTING null null 0.01 Singapore Technologies Enginee null null 0.01 RHEINMETALL null null 0.01 Bendigo & Adelaide Bank Ltd. null null 0.01 Hisamitsu Pharmaceutical Co. I null null 0.01 IG GRP HLDG null null 0.01 Nisshin Seifun Group Inc. null null 0.01 MAPLETREE LOGIST.TRUST null null 0.01 MAINFREIGHT null null 0.01 MATSUMOTOKIYOSHI HDG. null null 0.01 Contact Energy Ltd. null null 0.01 TUI null null 0.01 FAURECIA null null 0.01 REMY COINTREAU null null 0.01 Marui Group Co. Ltd. null null 0.01 ICA GRUPPEN null null 0.01 ROCKWOOL B null null 0.01 HIKARI TSUSHIN null null 0.01 BAKKAFROST null null 0.01 BEIJER REF AB null null 0.01 Orica Ltd. null null 0.01 DUFRY GRP null null 0.01 EURAZEO null null 0.01 STOREBRAND null null 0.01 KOBE BUSSAN null null 0.01 CLEANAWAY WASTE MANAGEMENT null null 0.01 NEMETSCHEK null null 0.01 USS Co. Ltd. null null 0.01 COFINIMMO null null 0.01 JB Hi-Fi Ltd. null null 0.01 ADDTECH B null null 0.01 Yokogawa Electric Corp. null null 0.01 NIPPON SANSO HOLDINGS null null 0.01 Qube Holdings Ltd null null 0.01 Casio Computer Co. Ltd. null null 0.01 GJENSIDIGE FORSIKRING null null 0.01 UNITED null null 0.01 Medipal Holdings Corp. null null 0.01 NH FOODS null null 0.01 HOLMEN B null null 0.01 WISETECH GLOBAL null null 0.01 CARSALES.COM null null 0.01 ADP null null 0.01 SOHGO SECURITIES null null 0.01 Toyo Suisan Kaisha Ltd. null null 0.01 ROTORK null null 0.01 ITO EN null null 0.01 Nikon Corp. null null 0.01 Ansell Ltd. null null 0.01 NEXTDC null null 0.01 CTS EVENTIM null null 0.01 ANDRITZ null null 0.01 MARKS & SPENCER GRP null null 0.01 HISCOX null null 0.01 PROSIEBENSAT.1 MEDIA null null 0.01 Rinnai Corp. null null 0.01 THK Co. Ltd. null null 0.01 INCHCAPE null null 0.01 HOMESERVE null null 0.01 MAN WAH HOLDINGS null null 0.01 ZUR ROSE GROUP null null 0.01 AAK null null 0.01 ASM Pacific Technology Ltd. null null 0.01 PERSOL HOLDINGS null null 0.01 SUMITOMO DAINIPPON PHARMA CO null null 0.01 SIEGFRIED 'R' null null 0.01 BCO SABADELL null null 0.01 TOKYU FUDOSAN null null 0.01 Hitachi Metals Ltd. null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

INWIT null null 0.01 ALTEN null null 0.01 IPSEN null null 0.01 INDL.& INFR.FUND INV. null null 0.01 RYMAN HEALTHCARE null null 0.01 HAYS null null 0.01 Japan Prime Realty Investment null null 0.01 HELVETIA HLDG null null 0.01 Venture Corp. Ltd. null null 0.01 TECHNIPFMC null null 0.01 CARNIVAL null null 0.01 Sojitz Corp. null null 0.01 JAPAN POST INSURANCE null null 0.01 COSMOS PHARM. null null 0.01 KAKAKU.COM null null 0.01 SALMAR null null 0.01 INFRATIL null null 0.01 ENTRA null null 0.01 Haseko Corp. null null 0.01 ACCIONA S.A. null null 0.01 Genting Singapore PLC null null 0.01 UDG HEALTHCARE PUBLIC null null 0.01 MAN GRP null null 0.01 BAWAG GROUP AG null null 0.01 IHI Corp. null null 0.01 LYNAS RARE EARTHS null null 0.01 Nagoya Railroad Co. Ltd. null null 0.01 CHOW TAI FOOK JEWELLERY GP. null null 0.01 NICHIREI null null 0.01 JINXIN FERTILITY GROUP null null 0.01 Amada Co. Ltd. null null 0.01 IGO null null 0.01 WENDEL null null 0.01 LUFTHANSA null null 0.01 JAPAN AIRPORT TERM. null null 0.01 KINDRED GROUP null null 0.01 MAPLETREE INDUSTIAL TST null null 0.01 MERLIN PROPERTIES SOCIMI null null 0.01 Swire Pacific Ltd. A null null 0.01 Sharp Corp. null null 0.01 BILLERUDKORSNAS null null 0.01 KYUSHU RAILWAY null null 0.01 INPOST null null 0.01 SWECO 'B' null null 0.01 Kawasaki Heavy Industries Ltd. null null 0.01 ELIA GROUP null null 0.01 SEKISUI HOUSE REIT null null 0.01 Comsys Holdings Corp. null null 0.01 GALENICA SANTE AG null null 0.01 PIGEON null null 0.01 KEIKYU CORPORATION null null 0.01 ACKERMANS & VAN HAAREN null null 0.01 SCHIBSTED GRUPPEN null null 0.01 OPEN HOUSE null null 0.01 ZOZO null null 0.01 HERA null null 0.01 Bank of Kyoto Ltd. null null 0.01 FOSUN INTERNATIONAL null null 0.01 Kuraray Co. Ltd. null null 0.01 YAMADA HOLDINGS null null 0.01 A2 MILK null null 0.01 SWEDISH ORPHAN BIOVITRUM null null 0.01 MAPLETREE COML TRUST null null 0.01 Sumitomo Heavy Industries Ltd. null null 0.01 WALLENSTAM B null null 0.01 AVANZA BANK HLDG null null 0.01 FUCHS PETROLUB PREF null null 0.01 SUGI HOLDINGS null null 0.01 CEMBRA MONEY BANK null null 0.01 JAPAN POST BANK null null 0.01 WELCIA HOLDINGS null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

BRITVIC null null 0.01 Sumitomo Forestry Co. Ltd. null null 0.01 DINO POLSKA SA null null 0.01 Incitec Pivot Ltd. null null 0.01 Crown Resorts Ltd null null 0.01 EDP RENOVAVEIS null null 0.01 CD PROJECT SA null null 0.01 ELIS null null 0.01 Fukuoka Financial Group Inc. null null 0.01 FLUGHAFEN ZURICH null null 0.01 Virgin Money UK null null 0.01 KOEI TECMO HOLDINGS null null 0.01 QUILTER null null 0.01 Nomura Real Estate Holdings In null null 0.01 A2A null null 0.01 FREENET null null 0.01 AKER BP null null 0.01 NINE ENTERTAINMENT null null 0.01 ALSTRIA OFFICE REIT null null 0.01 ALTIUM null null 0.01 VITASOY INTL.HDG. null null 0.01 BUCHER INDUSTRIES null null 0.01 ITALGAS null null 0.01 GALAPAGOS null null 0.01 Alfresa Holdings Corp. null null 0.01 SPIE null null 0.01 GLANBIA null null 0.01 Hitachi Construction Machinery null null 0.01 BANKINTER null null 0.01 MINTH GROUP null null 0.01 SWIRE PROPERTIES null null 0.01 KEIHAN HOLDINGS null null 0.01 CLOSE BROTHERS GRP null null 0.01 AMP Ltd. null null 0.01 Alumina Ltd. null null 0.01 ITOCHU TECHNO-SOLUTIONS null null 0.01 RAIFFEISEN BANK INTERNATIONAL null null 0.01 NORDIC ENTERTAINMENT GROUP B null null 0.01 Yokohama Rubber Co. Ltd. null null 0.01 AKESO null null 0.01 ACTIVIA PROPERTIES null null 0.01 COUNTRYSIDE PROPERTIES PLC null null 0.01 ISS AS null null 0.01 PROXIMUS null null 0.01 TAISHO PHARM HLDG null null 0.01 Tokyo Tatemono Co. Ltd. null null 0.01 GERRESHEIMER null null 0.01 IWATANI null null 0.01 NGK Spark Plug Co. Ltd. null null 0.01 RELIANCE WORLDWIDE null null 0.01 Bank of East Asia Ltd. null null 0.01 HEXPOL 'B' null null 0.01 IWG PLC null null 0.01 JDE PEET S null null 0.01 SEIBU HOLDINGS null null 0.01 IDORSIA LIMITED null null 0.01 AF POYRY B null null 0.01 Teijin Ltd. null null 0.01 TOKAI CARBON null null 0.01 Rohto Pharmaceutical Co. Ltd. null null 0.01 NEW WH SMITH null null 0.01 WIHLBORGS FASTIGHETER null null 0.01 ZIP null null 0.01 EBOS GROUP null null 0.01 Oracle Corp. Japan null null 0.01 IDP EDUCATION null null 0.01 KENEDIX OFFICE INV. null null 0.01 SCATEC null null 0.01 Denka Co Ltd null null 0.01 ZENKOKU HOSHO null null 0.01 SCSK null null 0.01

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

SOPRA STERIA GROUP null null 0.01 VICTREX null null 0.01 Isetan Mitsukoshi Holdings Ltd null null 0.01 LONDONMETRIC PROPERTY PLC null null 0.01 Kewpie Corp. null null 0.01 VOPAK null null 0.01 NEL null null 0.01 WIZZAIR null null 0.01 SES null null 0.01 Downer EDI Ltd. null null 0.01 KONICA MINOLTA INC. null null 0.01 PRIMARY HEALTH PROPS. null null 0.01 SPARK INFRASTRUCTURE GRP null null 0.01 GRAND CITY PROPERTIES null null 0.01 ALLREAL HLDG null null 0.01 ASSURA null null 0.01 RELO GROUP null null 0.01 NIPPON ACCOMMS.FD. null null 0.01 Mercury NZ null null 0.01 HORIBA null null 0.01 NIFCO null null 0.01 INMOBILIARIA COLONIAL SOCIMI null null 0.01 STEADFAST GROUP null null 0.01 SKYLARK HOLDINGS null null 0.01 WORLEY null null 0.01 JAPAN HOTEL REIT INV. null null 0.01 ETS COLRUYT null null 0.01 SANWA HOLDINGS null null 0.01 KYOWA EXEO null null 0.01 ASHMORE GRP null null 0.01 Suzuken Co. Ltd. null null 0.01 FRASERS LOGIST & COM null null 0.01 GRAINGER null null 0.01 ZEON null null 0.01 NET ONE SYSTEMS null null 0.01 Metcash Ltd. null null 0.01 YANGZIJIANG SHIPBUILDING null null 0.01 POLA ORBIS HOLDINGS null null 0.00 CORBION null null 0.00 Sumitomo Rubber Industries Ltd null null 0.00 Kaneka Corp. null null 0.00 JAPAN LOGISTICS FUND null null 0.00 LASALLE LOGIPORT REIT null null 0.00 ILIAD null null 0.00 J. Front Retailing Co. Ltd. null null 0.00 SHOP APOTHEKE EUROPE null null 0.00 AOZORA BANK null null 0.00 Taiheiyo Cement Corp. null null 0.00 THE STAR ENTERTAINMENT GROUP null null 0.00 MORPHOSYS null null 0.00 YIDU TECH null null 0.00 STADLER RAIL AG null null 0.00 FANCL null null 0.00 Mitsubishi Logistics Corp. null null 0.00 TBS HOLDINGS null null 0.00 JTEKT Corp. null null 0.00 ANRITSU null null 0.00 Sankyu Inc. null null 0.00 TOKYO OHKA KOGYO null null 0.00 Mitsubishi Materials Corp. null null 0.00 BEAZLEY null null 0.00 Takara Holdings Inc. null null 0.00 VISCOFAN null null 0.00 AUSNET SERVICES null null 0.00 NIHON KOHDEN null null 0.00 City Developments Ltd. null null 0.00 Yamazaki Baking Co. Ltd. null null 0.00 UOL Group Ltd. null null 0.00 Harvey Norman Holdings Ltd. null null 0.00 ZENSHO null null 0.00 Coca-Cola Bottlers Japan Hold. null null 0.00

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

Mabuchi Motor Co. Ltd. null null 0.00 Iluka Resources Ltd. null null 0.00 INVINCIBLE INVESTMENT null null 0.00 Tokyo Century Corp null null 0.00 BENEFIT ONE null null 0.00 BANQUE CANTONALE VAUDOISE null null 0.00 ComfortDelGro Corp. Ltd. null null 0.00 TECHNOPRO HOLDINGS null null 0.00 JCR PHARMACEUTICALS null null 0.00 Hino Motors Ltd. null null 0.00 Sega Sammy Holdings Inc. null null 0.00 House Foods Group null null 0.00 Tsumura & Co. null null 0.00 SUNDRUG null null 0.00 Nankai Electric Railway Co. Lt null null 0.00 DAICEL CORP null null 0.00 Dowa Holdings Co. Ltd. null null 0.00 Acom Co. Ltd. null null 0.00 JGC HOLDINGS null null 0.00 CNP ASSURANCES null null 0.00 Kagome Co. Ltd. null null 0.00 K's Holdings Corp. null null 0.00 KEPPEL DC REIT UNIT null null 0.00 Wynn Macau Ltd. null null 0.00 Ezaki Glico Co. Ltd. null null 0.00 SJM HOLDINGS null null 0.00 PARK24 null null 0.00 FUJI MEDIA HOLDINGS null null 0.00 AICA KOGYO null null 0.00 YADEA GROUP HLDG null null 0.00 MORINAGA MILK INDUSTRY null null 0.00 Suntec Real Estate Investment null null 0.00 MORI HILLS REIT INV. null null 0.00 Hysan Development Co. Ltd. null null 0.00 SOFTWAREONE HOLDING null null 0.00 NIHON UNISYS null null 0.00 SBM OFFSHORE null null 0.00 Lawson Inc. null null 0.00 GOLDWIN null null 0.00 MENICON null null 0.00 NIPPON TELEVISION HLDGS null null 0.00 MEBUKI FINANCIAL GROUP null null 0.00 ALPS ALPINE null null 0.00 Orora Ltd. null null 0.00 Kinden Corp. null null 0.00 Shimamura Co. Ltd. null null 0.00 Kamigumi Co. Ltd. null null 0.00 Hang Lung Group Ltd. null null 0.00 DIC Corp. null null 0.00 FP null null 0.00 GS Yuasa Corp. null null 0.00 Rengo Co. Ltd. null null 0.00 SHO-BOND HOLDINGS null null 0.00 CALBEE null null 0.00 DAIWA OFFICE INVESTMENT null null 0.00 PCCW null null 0.00 SMS null null 0.00 MANI null null 0.00 Seino Holdings Co. Ltd. null null 0.00 NETLINK null null 0.00 AS ONE null null 0.00 LINK ADM.HDG. null null 0.00 Credit Saison Co. Ltd. null null 0.00 CHORUS null null 0.00 Shinsei Bank Ltd. null null 0.00 SAWAI GRP. HLDGS. null null 0.00 Nishi-Nippon Railroad Co. Ltd. null null 0.00 TRAINLINE PLC null null 0.00 Nagase & Co. Ltd. null null 0.00 INFOMART null null 0.00 Sotetsu Holdings Inc. null null 0.00

1 Based on the last periodic review implementation

STOXX® GLOBAL 1800 ESG-X EX NUCLEAR POWER INDEX

Components1

Company Supersector Country Weight (%)

JUSTSYSTEMS null null 0.00 Nippon Shokubai Co. Ltd. null null 0.00 BEACH ENERGY null null 0.00 Kyushu Financial Group null null 0.00 NAGACORP null null 0.00

1 Based on the last periodic review implementation