Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Australia GrainCorp Ltd Consumer Goods 4 515 513 0,04% 0,04% Abacus Property Group Financials 2 195 691 0,04% 0,04% Gryphon Minerals Ltd Basic Materials 287 600 0,08% 0,08% Acrux Ltd Health Care 1 851 124 0,08% 0,08% GUD Holdings Ltd Consumer Goods 1 004 718 0,05% 0,05% Adelaide Brighton Ltd Industrials 4 720 667 0,04% 0,04% Gunns Ltd Basic Materials 39 983 0,05% 0,05% AGL Energy Ltd Utilities 29 717 150 0,07% 0,07% GWA Group Ltd Industrials 2 111 815 0,04% 0,04% Alliance Resources Ltd Basic Materials 57 075 0,02% 0,02% Harvey Norman Holdings Ltd Consumer Services 765 165 0,00% 0,00% ALS Ltd/Queensland Consumer Goods 9 965 149 0,05% 0,05% Hills Ltd Industrials 735 893 0,03% 0,03% Amcor Ltd/Australia Industrials 40 148 955 0,06% 0,06% iiNET Ltd Technology 712 588 0,01% 0,01% AMP Ltd Financials 30 001 733 0,04% 0,04% Iluka Resources Ltd Basic Materials 12 045 755 0,06% 0,06% Ampella Mining Ltd Basic Materials 120 706 0,07% 0,07% Imdex Ltd Oil & Gas 575 348 0,08% 0,08% Ansell Ltd Health Care 26 786 205 0,16% 0,16% Incitec Pivot Ltd Basic Materials 25 586 296 0,11% 0,11% APA Group Oil & Gas 12 686 929 0,05% 0,05% Independence Group NL Basic Materials 1 934 366 0,05% 0,05% APN News & Media Ltd Consumer Services 295 732 0,02% 0,02% Infigen Energy Utilities 523 667 0,05% 0,05% ARB Corp Ltd Consumer Services 3 946 027 0,09% 0,09% Insurance Australia Group Ltd Financials 25 906 002 0,04% 0,04% Ardent Leisure Group Financials 1 565 977 0,04% 0,04% Intrepid Mines Ltd Basic Materials 564 210 0,06% 0,06% Aristocrat Leisure Ltd Consumer Services 6 520 363 0,05% 0,05% Investa Office Fund Financials 5 371 919 0,05% 0,05% Arrium Ltd Basic Materials 7 082 576 0,05% 0,05% Invocare Ltd Consumer Services 2 423 121 0,04% 0,04% Asciano Ltd Industrials 18 281 887 0,06% 0,06% IOOF Holdings Ltd Financials 5 370 363 0,05% 0,05% Aspen Group Financials 259 837 0,03% 0,03% Iress Ltd Technology 6 191 854 0,08% 0,08% Astro Japan Property Group Financials 369 774 0,03% 0,03% James Hardie Industries Plc Industrials 9 575 495 0,03% 0,03% ASX Ltd Financials 21 497 155 0,06% 0,06% JB Hi-Fi Ltd Consumer Services 8 534 774 0,07% 0,07% Atlas Iron Ltd Basic Materials 62 113 0,00% 0,00% Karoon Gas Australia Ltd Oil & Gas 3 411 016 0,06% 0,06% Aurizon Holdings Ltd Industrials 22 134 198 0,04% 0,04% Kingsgate Consolidated Ltd Basic Materials 592 643 0,07% 0,07% Aurora Oil & Gas Ltd Oil & Gas 3 824 440 0,05% 0,05% Leighton Holdings Ltd Industrials 10 764 084 0,04% 0,04% Ausdrill Ltd Industrials 1 540 842 0,09% 0,09% Lend Lease Group Financials 19 688 684 0,06% 0,06% Ausenco Ltd Basic Materials 133 311 0,02% 0,02% Lion Selection Group Ltd Financials 220 213 0,09% 0,09% Australand Property Group Financials 5 747 546 0,05% 0,05% Macmahon Holdings Ltd Basic Materials 402 401 0,04% 0,04% Australia & New Zealand Banking Group Ltd Financials 257 664 922 0,05% 0,05% Macquarie Group Ltd Financials 51 476 236 0,05% 0,05% Australian Agricultural Co Ltd Consumer Goods 911 156 0,03% 0,03% McMillan Shakespeare Ltd Financials 3 019 680 0,06% 0,06% Australian Infrastructure Fund Ltd Industrials 10 223 0,06% 0,06% Medusa Mining Ltd Basic Materials 1 276 219 0,06% 0,06% Australian Pharmaceutical Industries Ltd Consumer Services 65 132 0,00% 0,00% Mermaid Marine Australia Ltd Industrials 3 779 292 0,09% 0,09% Automotive Holdings Group Ltd Consumer Services 3 960 981 0,07% 0,07% Mesoblast Ltd Health Care 3 972 631 0,04% 0,04% Aveo Group Financials 2 990 368 0,05% 0,05% Metcash Ltd Consumer Services 8 330 322 0,06% 0,06% AWE Ltd Oil & Gas 1 590 292 0,04% 0,04% Mincor Resources NL Basic Materials 252 794 0,04% 0,04% Bank of Queensland Ltd Financials 14 737 280 0,07% 0,07% Mineral Deposits Ltd Basic Materials 263 070 0,02% 0,02% Beach Energy Ltd Oil & Gas 6 722 387 0,07% 0,07% Mineral Resources Ltd Basic Materials 6 714 184 0,06% 0,06% Bendigo and Adelaide Bank Ltd Financials 16 625 906 0,06% 0,06% Mirabela Nickel Ltd Basic Materials 27 015 0,04% 0,04% BHP Billiton Ltd Basic Materials 309 020 979 0,05% 0,03% Mirvac Group Financials 18 861 562 0,06% 0,06% Billabong International Ltd Consumer Goods 812 825 0,06% 0,06% Monadelphous Group Ltd Industrials 6 774 407 0,07% 0,07% BlueScope Steel Ltd Basic Materials 10 574 662 0,06% 0,06% Mount Gibson Iron Ltd Basic Materials 6 652 068 0,11% 0,11% Boart Longyear Ltd Oil & Gas 459 879 0,05% 0,05% Myer Holdings Ltd Consumer Services 5 185 942 0,06% 0,06% Boral Ltd Industrials 12 511 215 0,06% 0,06% National Australia Bank Ltd Financials 224 458 584 0,05% 0,05% Bradken Ltd Industrials 3 426 276 0,06% 0,06% Navitas Ltd Consumer Services 5 758 526 0,04% 0,04% Brambles Ltd Industrials 35 764 639 0,05% 0,05% New Hope Corp Ltd Basic Materials 1 883 953 0,01% 0,01% BWP Trust Financials 5 900 809 0,08% 0,08% Newcrest Mining Ltd Basic Materials 16 915 057 0,05% 0,05% Cabcharge Australia Ltd Industrials 760 881 0,03% 0,03% Nexus Energy Ltd Oil & Gas 132 409 0,03% 0,03% Caltex Australia Ltd Oil & Gas 10 681 552 0,04% 0,04% Nine Entertainment Co Holdings Ltd Consumer Services 6 811 176 0,07% 0,07% Cardno Ltd Industrials 4 102 028 0,07% 0,07% NRW Holdings Ltd Industrials 1 779 358 0,09% 0,09% Carnarvon Petroleum Ltd Oil & Gas 93 032 0,03% 0,03% Nufarm Ltd/Australia Basic Materials 2 056 825 0,03% 0,03% carsales.com Ltd Consumer Services 8 296 251 0,06% 0,06% Oakton Ltd Technology 293 279 0,04% 0,04% CFS Retail Property Trust Group Financials 13 006 332 0,04% 0,04% Oil Search Ltd Oil & Gas 28 964 0,00% 0,00% Challenger Diversified Property Group Financials 788 239 0,03% 0,03% OM Holdings Ltd Basic Materials 270 295 0,02% 0,02% Challenger Ltd/Australia Financials 12 835 969 0,07% 0,07% Orica Ltd Basic Materials 26 573 280 0,06% 0,06% Charter Hall Group Financials 4 085 947 0,07% 0,07% Origin Energy Ltd Utilities 44 104 415 0,05% 0,05% Charter Hall Retail REIT Financials 2 978 315 0,04% 0,04% Orora Ltd Industrials 4 414 482 0,06% 0,06% Coalspur Mines Ltd Basic Materials 366 613 0,05% 0,05% OZ Minerals Ltd Basic Materials 29 022 425 0,56% 0,56% Coca-Cola Amatil Ltd Consumer Goods 20 783 761 0,04% 0,04% Pacific Brands Ltd Consumer Goods 1 224 550 0,04% 0,04% Cochlear Ltd Health Care 10 196 839 0,06% 0,06% PanAust Ltd Basic Materials 3 942 122 0,06% 0,06% Coffey International Ltd Industrials 112 298 0,03% 0,03% Panoramic Resources Ltd Basic Materials 100 786 0,02% 0,02% Collins Foods Ltd Consumer Services 234 362 0,03% 0,03% PaperlinX Ltd Basic Materials 67 478 0,04% 0,04% Commonwealth Bank of Australia Financials 361 935 822 0,05% 0,05% Perpetual Ltd Financials 5 098 685 0,04% 0,04% Commonwealth Property Office Fund Financials 9 246 815 0,06% 0,06% Pharmaxis Ltd Health Care 82 632 0,05% 0,05% Compass Resources Ltd Basic Materials 21 0,00% 0,00% Platinum Asset Management Ltd Financials 3 390 254 0,02% 0,02% Computershare Ltd Industrials 6 457 649 0,02% 0,02% Platinum Australia Ltd Basic Materials 600 0,22% 0,22% Crowe Horwath Australasia Ltd Financials 219 837 0,04% 0,04% Premier Investments Ltd Financials 2 934 849 0,00% 0,04% CSL Ltd Health Care 102 681 762 0,06% 0,06% Primary Health Care Ltd Health Care 9 008 583 0,07% 0,07% CSR Ltd Industrials 3 388 548 0,05% 0,05% Programmed Maintenance Services Ltd Industrials 885 848 0,04% 0,04% Cudeco Ltd Basic Materials 1 105 823 0,05% 0,05% Qantas Airways Ltd Consumer Services 4 509 105 0,03% 0,03% Dart Energy Ltd Basic Materials 127 183 0,02% 0,02% QBE Insurance Group Ltd Financials 25 676 866 0,03% 0,03% David Jones Ltd Consumer Services 5 517 242 0,06% 0,06% Qube Holdings Ltd Industrials 4 907 749 0,05% 0,05% Dexus Property Group Financials 13 451 557 0,05% 0,05% Ramsay Health Care Ltd Health Care 16 814 920 0,04% 0,04% Discovery Metals Ltd Basic Materials 110 174 0,07% 0,07% REA Group Ltd Financials 8 304 378 0,03% 0,03% Downer EDI Ltd Industrials 34 225 649 0,30% 0,30% Recall Holdings Ltd Technology 3 173 850 0,05% 0,05% DUET Group Utilities 9 860 093 0,07% 0,07% Regis Resources Ltd Basic Materials 4 129 290 0,05% 0,05% DuluxGroup Ltd Industrials 4 931 763 0,04% 0,04% Reject Shop Ltd/The Consumer Services 1 530 129 0,06% 0,06% Echo Entertainment Group Ltd Consumer Services 6 240 266 0,06% 0,06% RiverCity Motorway Group Industrials 163 0,03% 0,03% Elders Ltd Consumer Goods 19 727 0,01% 0,01% Roc Oil Co Ltd Oil & Gas 981 097 0,05% 0,05% Emeco Holdings Ltd Industrials 308 793 0,04% 0,04% SAI Global Ltd Industrials 2 320 568 0,05% 0,05% Energy Developments Ltd Utilities 7 282 0,00% 0,00% Sandfire Resources NL Basic Materials 2 761 842 0,05% 0,05% Energy Resources of Australia Ltd Basic Materials 341 357 0,01% 0,01% Santos Ltd Oil & Gas 23 468 765 0,03% 0,03% Energy World Corp Ltd Utilities 2 179 577 0,06% 0,06% Seek Ltd Industrials 17 192 021 0,07% 0,07% Envestra Ltd Utilities 3 229 091 0,03% 0,03% Senex Energy Ltd Oil & Gas 2 044 444 0,04% 0,04% Fairfax Media Ltd Consumer Services 1 580 538 0,02% 0,02% Seven Group Holdings Ltd Consumer Services 1 958 295 0,01% 0,01% Federation Centres Ltd Financials 8 743 242 0,05% 0,05% Seven West Media Ltd Consumer Services 3 367 949 0,03% 0,03% Fleetwood Corp Ltd Consumer Goods 521 997 0,05% 0,05% Shopping Centres Australasia Property Group Financials 2 133 978 0,04% 0,04% FlexiGroup Ltd/Australia Financials 3 620 548 0,05% 0,05% Sigma Pharmaceuticals Ltd Consumer Services 1 985 285 0,05% 0,05% Flight Centre Travel Group Ltd Consumer Services 8 423 717 0,03% 0,03% Silex Systems Ltd Industrials 2 304 958 0,11% 0,11% Flinders Mines Ltd Basic Materials 274 189 0,09% 0,09% Sims Metal Management Ltd Basic Materials 7 038 963 0,06% 0,06% Fortescue Metals Group Ltd Basic Materials 28 105 530 0,03% 0,03% Sonic Healthcare Ltd Health Care 20 193 887 0,06% 0,06% Geodynamics Ltd Utilities 105 308 0,06% 0,06% Southern Cross Media Group Ltd Consumer Services 3 136 583 0,05% 0,05% Gindalbie Metals Ltd Basic Materials 373 669 0,05% 0,05% SP AusNet Utilities 6 355 303 0,03% 0,03% Goodman Fielder Ltd Consumer Goods 3 655 692 0,05% 0,05% Spark Infrastructure Group Utilities 7 056 020 0,06% 0,06% Goodman Group Financials 24 390 276 0,06% 0,06% St Barbara Ltd Basic Materials 502 161 0,07% 0,07% GPT Group Financials 16 071 444 0,31% 0,31% Stockland Financials 24 371 340 0,05% 0,05%

Foreign exchange reserves Holdings 2013 1 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

STW Communications Group Ltd Consumer Services 1 398 334 0,04% 0,04% Wereldhave Belgium NV Financials 1 079 732 0,02% 0,02% Suncorp Group Ltd Financials 50 654 180 0,06% 0,06% Canada Sundance Resources Ltd Basic Materials 2 026 793 0,13% 0,13% Advantage Oil & Gas Ltd Oil & Gas 2 316 660 0,05% 0,05% Sunland Group Ltd Financials 747 265 0,05% 0,05% Aecon Group Inc Industrials 2 188 427 0,04% 0,04% Super Retail Group Ltd Consumer Services 2 572 307 0,02% 0,02% AGF Management Ltd Financials 4 202 130 0,00% 0,06% Sydney Airport Industrials 7 883 233 0,02% 0,02% Agnico Eagle Mines Ltd Basic Materials 16 200 326 0,06% 0,06% Tabcorp Holdings Ltd Consumer Services 9 159 196 0,06% 0,06% Agrium Inc Basic Materials 50 297 767 0,06% 0,06% Tap Oil Ltd Oil & Gas 171 504 0,03% 0,03% Aimia Inc Consumer Services 11 374 665 0,06% 0,06% Tatts Group Ltd Consumer Services 13 222 830 0,06% 0,06% Alamos Gold Inc Basic Materials 4 549 899 0,05% 0,05% Telstra Corp Ltd Telecommunications 66 101 411 0,02% 0,02% Algonquin Power & Utilities Corp Utilities 2 773 978 0,03% 0,03% Ten Network Holdings Ltd Consumer Services 1 796 377 0,05% 0,05% Alimentation Couche Tard Inc Consumer Services 24 551 190 0,01% 0,03% Toll Holdings Ltd Industrials 13 599 455 0,06% 0,06% Allied Properties Real Estate Investment Trust Financials 6 151 055 0,05% 0,05% Tox Free Solutions Ltd Industrials 189 427 0,01% 0,01% AltaGas Ltd Oil & Gas 15 759 806 0,06% 0,06% Transfield Services Ltd Industrials 1 193 546 0,05% 0,05% Alvopetro Energy Ltd/CA Oil & Gas 449 700 0,08% 0,08% Transurban Group Industrials 18 416 707 0,03% 0,03% ARC Resources Ltd Oil & Gas 16 574 065 0,03% 0,03% UGL Ltd Industrials 3 198 961 0,05% 0,05% Argonaut Gold Inc Basic Materials 1 935 354 0,04% 0,04% Videlli Ltd Industrials 186 0,00% 0,00% Artis Real Estate Investment Trust Financials 3 524 170 0,03% 0,03% Virgin Australia Holdings Ltd Consumer Services 2 615 191 0,04% 0,04% Atco Ltd/Canada Utilities 15 148 535 0,00% 0,05% Wesfarmers Ltd Consumer Services 151 000 861 0,06% 0,06% Athabasca Oil Corp Oil & Gas 8 510 075 0,06% 0,06% Western Areas Ltd Basic Materials 1 284 862 0,05% 0,05% Atlantic Power Corp Utilities 1 681 968 0,07% 0,07% Westfield Group Financials 62 867 859 0,06% 0,06% Atrium Innovations Inc Consumer Goods 945 043 0,02% 0,02% Westfield Retail Trust Financials 23 848 278 0,05% 0,05% ATS Automation Tooling Systems Inc Industrials 2 830 705 0,04% 0,04% Westpac Banking Corp Financials 288 167 293 0,05% 0,05% AuRico Gold Inc Basic Materials 4 199 092 0,08% 0,08% White Energy Co Ltd Basic Materials 1 256 0,00% 0,00% B2Gold Corp Basic Materials 4 008 138 0,05% 0,05% Woodside Petroleum Ltd Oil & Gas 72 242 282 0,04% 0,04% Bank of Montreal Financials 143 541 844 0,06% 0,06% Woolworths Ltd Consumer Services 115 953 246 0,05% 0,05% Bank of Nova Scotia Financials 249 846 752 0,05% 0,05% WorleyParsons Ltd Oil & Gas 10 024 159 0,05% 0,05% Bankers Petroleum Ltd Oil & Gas 4 440 240 0,07% 0,07% Wotif.com Holdings Ltd Consumer Services 613 087 0,02% 0,02% Banro Corp Basic Materials 268 092 0,03% 0,03% Yancoal Australia Ltd Basic Materials 1 161 754 0,01% 0,01% Baytex Energy Corp Oil & Gas 18 199 125 0,06% 0,06% Austria BCE Inc Telecommunications 36 418 184 0,02% 0,02% Andritz AG Industrials 5 904 754 0,01% 0,01% Bell Aliant Inc Telecommunications 329 828 0,00% 0,00% Atrium European Real Estate Ltd Financials 4 733 623 0,04% 0,04% Birchcliff Energy Ltd Oil & Gas 2 874 590 0,05% 0,05% CA Immobilien Anlagen AG Financials 6 033 214 0,06% 0,06% BlackBerry Ltd Technology 8 790 264 0,04% 0,04% Conwert Immobilien Invest SE Financials 4 842 788 0,07% 0,07% BlackPearl Resources Inc Oil & Gas 1 836 380 0,05% 0,05% Erste Group Bank AG Financials 34 780 617 0,04% 0,04% Boardwalk Real Estate Investment Trust Financials 5 665 400 0,03% 0,03% Flughafen Wien AG Industrials 3 894 989 0,04% 0,04% Bombardier Inc Industrials 15 194 078 0,01% 0,03% Immoeast AG Financials 407 0,00% 0,00% Bonavista Energy Corp Oil & Gas 7 709 759 0,05% 0,05% IMMOFINANZ AG Financials 12 820 685 0,09% 0,09% Bonterra Energy Corp Oil & Gas 2 627 232 0,03% 0,03% Mayr Melnhof Karton AG Industrials 2 327 122 0,02% 0,02% Brookfield Asset Management Inc Financials 71 129 962 0,05% 0,05% Oesterreichische Post AG Industrials 7 028 115 0,04% 0,04% Brookfield Office Properties Inc Financials 18 443 433 0,03% 0,03% OMV AG Oil & Gas 39 254 986 0,04% 0,04% CAE Inc Industrials 14 493 629 0,07% 0,07% Palfinger AG Industrials 1 954 528 0,02% 0,02% Calfrac Well Services Ltd Oil & Gas 4 497 098 0,05% 0,05% Raiffeisen Bank International AG Financials 7 219 100 0,02% 0,02% Calloway Real Estate Investment Trust Financials 11 458 562 0,06% 0,06% RHI AG Industrials 3 849 175 0,05% 0,05% Cameco Corp Basic Materials 14 240 191 0,03% 0,03% S IMMO AG Financials 2 914 103 0,10% 0,10% Canaccord Genuity Group Inc Financials 2 287 406 0,05% 0,06% Schoeller-Bleckmann Oilfield Equipment AG Oil & Gas 5 254 388 0,05% 0,05% Canadian Apartment Properties REIT Financials 6 553 897 0,05% 0,05% Semperit AG Holding Industrials 660 200 0,01% 0,01% Canadian Imperial Bank of Commerce/Canada Financials 121 240 022 0,06% 0,06% Strabag SE Industrials 661 773 0,00% 0,00% Canadian National Railway Co Industrials 134 673 778 0,05% 0,05% Telekom Austria AG Telecommunications 11 973 538 0,06% 0,06% Canadian Natural Resources Ltd Oil & Gas 125 879 834 0,06% 0,06% Verbund AG Utilities 2 915 713 0,01% 0,01% Canadian Oil Sands Ltd Oil & Gas 31 913 432 0,06% 0,06% Vienna Insurance Group AG Wiener Canadian Pacific Railway Ltd Industrials 54 690 804 0,03% 0,03% Versicherung Gruppe Financials 7 020 003 0,02% 0,02% Canadian Real Estate Investment Trust Financials 8 218 732 0,05% 0,05% Voestalpine AG Basic Materials 27 458 423 0,05% 0,05% Canadian Tire Corp Ltd Consumer Services 24 193 060 0,00% 0,05% Wienerberger AG Industrials 6 290 295 0,06% 0,06% Canadian Utilities Ltd Utilities 21 677 930 0,00% 0,04% Zumtobel AG Industrials 3 931 989 0,10% 0,10% Canadian Western Bank Financials 9 305 177 0,05% 0,05% Belgium Canexus Corp Basic Materials 2 466 865 0,04% 0,04% Ackermans & van Haaren NV Financials 9 785 367 0,04% 0,04% Canfor Corp Basic Materials 10 464 608 0,05% 0,05% Ageas Financials 50 393 552 0,08% 0,08% Capital Power Corp Utilities 3 055 036 0,00% 0,03% AGFA-Gevaert NV Industrials 1 814 670 0,07% 0,07% Capstone Mining Corp Basic Materials 5 237 767 0,08% 0,08% Anheuser-Busch InBev NV Consumer Goods 277 795 305 0,03% 0,03% Cascades Inc Basic Materials 887 833 0,02% 0,02% Banque Nationale de Belgique Financials 1 714 908 0,02% 0,02% Catamaran Corp Technology 26 516 176 0,04% 0,04% Barco NV Industrials 6 462 063 0,11% 0,11% CCL Industries Inc Industrials 10 165 534 0,00% 0,07% Befimmo SA Financials 1 370 275 0,01% 0,01% Celestica Inc Industrials 7 909 522 0,02% 0,07% Belgacom SA Telecommunications 18 191 540 0,03% 0,03% Cenovus Energy Inc Oil & Gas 64 660 294 0,05% 0,05% bpost SA Industrials 475 172 0,00% 0,00% CGI Group Inc Technology 28 042 033 0,02% 0,04% Cie d’Entreprises CFE Industrials 3 865 465 0,05% 0,05% Chartwell Retirement Residences Financials 5 468 281 0,06% 0,06% Cofinimmo Financials 13 337 967 0,10% 0,10% China Gold International Resources Corp Ltd Basic Materials 3 098 604 0,05% 0,05% Colruyt SA Consumer Services 8 195 392 0,01% 0,01% Chinook Energy Inc Oil & Gas 83 126 0,01% 0,01% Delhaize Group SA Consumer Services 28 320 194 0,08% 0,08% CI Financial Corp Financials 16 068 285 0,03% 0,03% Dexia SA Financials 120 564 0,02% 0,02% Cineplex Inc Consumer Services 8 504 715 0,05% 0,05% D’ieteren SA/NV Consumer Services 6 206 846 0,04% 0,04% Coastal Energy Co Oil & Gas 2 835 697 0,02% 0,02% Elia System Operator SA/NV Utilities 56 0,00% 0,00% Cogeco Cable Inc Consumer Services 6 541 454 0,01% 0,05% EVS Broadcast Equipment SA Industrials 2 973 706 0,06% 0,06% Cominar Real Estate Investment Trust Financials 9 734 558 0,07% 0,07% Gimv NV Financials 1 695 292 0,02% 0,02% Constellation Software Inc/Canada Technology 10 140 039 0,04% 0,03% Groupe Bruxelles Lambert SA Financials 23 864 845 0,03% 0,03% Corus Entertainment Inc Consumer Services 8 909 151 0,00% 0,07% Intervest Offices & Warehouses Financials 885 574 0,04% 0,04% Cott Corp Consumer Goods 3 017 192 0,07% 0,07% Ion Beam Applications Health Care 914 066 0,05% 0,05% Crescent Point Energy Corp Oil & Gas 35 732 305 0,04% 0,04% KBC Ancora Financials 4 347 007 0,03% 0,03% Crew Energy Inc Oil & Gas 1 979 369 0,04% 0,04% KBC Groep NV Financials 38 840 980 0,03% 0,03% Davis + Henderson Corp Industrials 5 866 586 0,04% 0,04% Melexis NV Technology 4 571 864 0,06% 0,06% Denison Mines Corp Basic Materials 1 479 590 0,04% 0,04% Mobistar SA Telecommunications 1 401 921 0,02% 0,02% Detour Gold Corp Basic Materials 1 398 286 0,04% 0,04% NV Bekaert SA Industrials 5 353 860 0,04% 0,04% Dollarama Inc Consumer Services 18 224 042 0,05% 0,05% Nyrstar NV Basic Materials 2 351 889 0,07% 0,07% Dominion Diamond Corp Basic Materials 5 032 891 0,07% 0,07% Recticel SA Basic Materials 1 244 795 0,09% 0,09% Dorel Industries Inc Consumer Goods 5 683 231 0,04% 0,08% RHJ International Financials 1 746 906 0,07% 0,07% Dream Unlimited Corp Financials 3 387 390 0,01% 0,05% Sofina SA Financials 8 826 468 0,04% 0,04% Dundee Corp Financials 3 746 173 0,02% 0,07% Solvay SA Basic Materials 26 534 056 0,03% 0,03% Dundee Precious Metals Inc Basic Materials 1 251 896 0,05% 0,05% Telenet Group Holding NV Consumer Services 9 912 588 0,02% 0,02% Dundee Real Estate Investment Trust Financials 10 658 814 0,06% 0,06% Tessenderlo Chemie NV Basic Materials 2 611 962 0,05% 0,05% Eldorado Gold Corp Basic Materials 8 244 782 0,03% 0,03% ThromboGenics NV Health Care 3 242 163 0,05% 0,05% Emera Inc Utilities 10 651 633 0,04% 0,04% UCB SA Health Care 20 855 375 0,03% 0,03% Empire Co Ltd Consumer Services 8 986 088 0,00% 0,02% Umicore SA Basic Materials 13 726 500 0,04% 0,04% Enbridge Inc Oil & Gas 114 501 998 0,05% 0,05% Viohalco SA Industrials 2 250 287 0,03% 0,03% Encana Corp Oil & Gas 32 590 830 0,04% 0,04% Warehouses De Pauw SCA Financials 3 105 083 0,04% 0,04% Endeavour Mining Corp Basic Materials 376 889 0,03% 0,03%

Foreign exchange reserves Holdings 2013 2 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Endeavour Silver Corp Basic Materials 1 850 295 0,08% 0,08% Progressive Waste Solutions Ltd Industrials 11 402 782 0,07% 0,07% Enerflex Ltd Oil & Gas 4 266 723 0,06% 0,06% Quebecor Inc Industrials 8 690 841 0,01% 0,05% Enerplus Corp Oil & Gas 13 643 296 0,06% 0,06% Reitmans Canada Ltd Consumer Services 675 604 0,00% 0,03% Ensign Energy Services Inc Oil & Gas 8 278 257 0,06% 0,06% Rio Alto Mining Ltd Basic Materials 3 921 383 0,22% 0,22% Extendicare Inc/US Financials 3 215 912 0,09% 0,09% RioCan Real Estate Investment Trust Financials 13 545 337 0,03% 0,03% Fairfax Financial Holdings Ltd Financials 19 721 984 0,02% 0,04% Ritchie Bros Auctioneers Inc Industrials 8 198 122 0,06% 0,06% Finning International Inc Industrials 8 014 372 0,03% 0,03% Rogers Communications Inc Telecommunications 40 044 776 0,00% 0,03% First Capital Realty Inc Financials 4 513 554 0,02% 0,02% RONA Inc Consumer Services 5 066 024 0,06% 0,06% First Majestic Silver Corp Basic Materials 3 616 659 0,05% 0,05% Royal Bank of Canada Financials 315 292 647 0,05% 0,05% First National Financial Corp Financials 3 884 011 0,05% 0,05% Rubicon Minerals Corp Basic Materials 634 399 0,04% 0,04% First Quantum Minerals Ltd Basic Materials 22 887 292 0,04% 0,04% Russel Metals Inc Basic Materials 7 050 792 0,06% 0,06% FirstService Corp/Canada Financials 4 585 395 0,03% 0,05% Saputo Inc Consumer Goods 19 604 446 0,04% 0,04% Fortis Inc/Canada Utilities 19 115 482 0,05% 0,05% Savanna Energy Services Corp Oil & Gas 4 251 454 0,10% 0,10% Franco-Nevada Corp Financials 21 504 343 0,06% 0,06% Seabridge Gold Inc Basic Materials 776 191 0,04% 0,04% Gabriel Resources Ltd Basic Materials 341 605 0,02% 0,02% SEMAFO Inc Basic Materials 2 580 779 0,06% 0,06% Genivar Inc Industrials 3 849 120 0,04% 0,04% Shaw Communications Inc Consumer Services 28 034 808 0,00% 0,04% Genworth MI Canada Inc Financials 7 534 024 0,04% 0,04% ShawCor Ltd Oil & Gas 8 392 569 0,06% 0,06% George Weston Ltd Consumer Services 7 835 315 0,01% 0,01% Sherritt International Corp Basic Materials 4 123 213 0,07% 0,07% Gibson Energy Inc Oil & Gas 12 054 105 0,06% 0,06% Shoppers Drug Mart Corp Consumer Services 43 562 739 0,07% 0,07% Gildan Activewear Inc Consumer Goods 22 203 800 0,06% 0,06% Silver Standard Resources Inc Basic Materials 1 709 056 0,05% 0,05% GMP Capital Inc Financials 1 704 133 0,06% 0,06% Silver Wheaton Corp Basic Materials 16 438 518 0,04% 0,04% Goldcorp Inc Basic Materials 58 003 202 0,05% 0,05% Silvercorp Metals Inc Basic Materials 1 196 426 0,05% 0,05% Granite Real Estate Investment Trust Financials 3 310 995 0,03% 0,03% SNC-Lavalin Group Inc Industrials 15 977 384 0,04% 0,04% Great Canadian Gaming Corp Consumer Services 1 046 932 0,02% 0,02% SouthGobi Resources Ltd Basic Materials 230 226 0,03% 0,03% Great-West Lifeco Inc Financials 30 470 810 0,02% 0,02% Stantec Inc Industrials 12 408 068 0,07% 0,07% H&R Real Estate Investment Trust Financials 13 931 158 0,04% 0,04% Sun Life Financial Inc Financials 71 726 346 0,06% 0,06% Home Capital Group Inc Financials 9 714 443 0,06% 0,06% Suncor Energy Inc Oil & Gas 191 010 469 0,06% 0,06% HudBay Minerals Inc Basic Materials 5 059 139 0,06% 0,06% Superior Plus Corp Consumer Services 7 046 603 0,08% 0,08% Husky Energy Inc Oil & Gas 23 962 836 0,01% 0,01% Tahoe Resources Inc Basic Materials 6 109 714 0,04% 0,04% IAMGOLD Corp Basic Materials 7 652 570 0,10% 0,10% Talisman Energy Inc Oil & Gas 33 110 767 0,05% 0,05% IGM Financial Inc Financials 17 015 762 0,02% 0,02% Taseko Mines Ltd Basic Materials 1 857 029 0,07% 0,07% Imax Corp Consumer Services 6 571 864 0,05% 0,05% Teck Resources Ltd Basic Materials 45 954 221 0,02% 0,05% Imperial Metals Corp Basic Materials 3 767 142 0,06% 0,06% TELUS Corp Telecommunications 24 296 988 0,00% 0,00% Imperial Oil Ltd Oil & Gas 41 081 150 0,02% 0,02% Thompson Creek Metals Co Inc Basic Materials 1 066 541 0,05% 0,05% Industrial Alliance Insurance & Financial Services Inc Financials 14 319 138 0,05% Thomson Reuters Corp Consumer Services 46 587 520 0,02% 0,02% 0,05% Tim Hortons Inc Consumer Services 25 843 902 0,05% 0,05% Innergex Renewable Energy Inc Utilities 521 187 0,01% 0,01% TMX Group Ltd Financials 950 482 0,01% 0,01% InnVest Real Estate Investment Trust Financials 666 640 0,03% 0,03% Torex Gold Resources Inc Basic Materials 2 058 658 0,06% 0,06% Intact Financial Corp Financials 21 813 286 0,04% 0,04% Toromont Industries Ltd Industrials 6 363 177 0,05% 0,05% Jean Coutu Group PJC Inc/The Consumer Services 4 520 189 0,00% 0,02% Toronto-Dominion Bank/The Financials 282 771 508 0,05% 0,05% Just Energy Group Inc Utilities 4 238 860 0,07% 0,07% Torstar Corp Consumer Services 851 786 0,00% 0,03% Katanga Mining Ltd Basic Materials 1 073 086 0,02% 0,02% Tourmaline Oil Corp Oil & Gas 23 241 275 0,05% 0,05% Kelt Exploration Ltd Oil & Gas 1 607 422 0,03% 0,03% TransAlta Corp Utilities 11 949 975 0,06% 0,06% Keyera Corp Oil & Gas 17 392 638 0,06% 0,06% Transat AT Inc Consumer Services 2 905 458 0,11% 0,10% Kinross Gold Corp Basic Materials 18 431 710 0,06% 0,06% TransCanada Corp Oil & Gas 93 548 360 0,05% 0,05% Kirkland Lake Gold Inc Basic Materials 721 978 0,07% 0,07% Transcontinental Inc Industrials 1 744 729 0,01% 0,03% Lake Shore Gold Corp Basic Materials 705 043 0,06% 0,06% TransForce Inc Industrials 10 458 985 0,08% 0,08% Laurentian Bank of Canada Financials 4 652 829 0,06% 0,06% Trican Well Service Ltd Oil & Gas 5 721 494 0,05% 0,05% Legacy Oil + Gas Inc Oil & Gas 2 660 864 0,05% 0,05% Trilogy Energy Corp Oil & Gas 8 054 226 0,05% 0,04% Lightstream Resources Ltd Oil & Gas 4 223 055 0,06% 0,06% Trinidad Drilling Ltd Oil & Gas 7 215 168 0,09% 0,09% Linamar Corp Consumer Goods 10 979 873 0,07% 0,07% Valeant Pharmaceuticals International Inc Health Care 113 532 470 0,05% 0,05% Loblaw Cos Ltd Consumer Services 15 994 008 0,02% 0,02% Veresen Inc Oil & Gas 9 162 091 0,06% 0,06% Lundin Mining Corp Basic Materials 6 960 120 0,05% 0,05% Vermilion Energy Inc Oil & Gas 18 620 047 0,05% 0,05% MacDonald Dettwiler & Associates Ltd Industrials 11 335 677 0,07% 0,07% West Fraser Timber Co Ltd Basic Materials 10 806 500 0,04% 0,04% Magna International Inc Consumer Goods 69 663 261 0,06% 0,06% Westport Innovations Inc Industrials 3 832 684 0,05% 0,05% Major Drilling Group International Inc Oil & Gas 2 305 919 0,07% 0,07% Westshore Terminals Investment Corp Industrials 3 475 583 0,02% 0,02% Manitoba Telecom Services Inc Telecommunications 1 216 202 0,01% 0,01% Wi-Lan Inc Technology 1 828 067 0,08% 0,08% Manulife Financial Corp Financials 113 010 400 0,05% 0,05% Yamana Gold Inc Basic Materials 20 919 209 0,05% 0,05% Maple Leaf Foods Inc Consumer Goods 6 979 277 0,05% 0,05% China Martinrea International Inc Consumer Goods 943 578 0,03% 0,03% FerroChina Ltd Basic Materials 116 0,03% 0,03% Methanex Corp Basic Materials 17 752 457 0,05% 0,05% Kingboard Chemical Holdings Ltd Basic Materials 1 170 903 0,01% 0,01% Metro Inc Consumer Services 28 020 474 0,08% 0,08% Li Ning Co Ltd Consumer Goods 906 231 0,01% 0,01% Molson Coors Canada Inc Consumer Goods 4 054 504 0,00% 0,06% Cyprus Morguard Real Estate Investment Trust Financials 1 258 650 0,02% 0,02% Bank of Cyprus PLC Financials 404 0,03% 0,03% Mullen Group Ltd Industrials 5 594 286 0,04% 0,04% Cyprus Popular Bank PCL Financials 876 0,00% 0,00% National Bank of Canada Financials 49 981 928 0,06% 0,06% TCS Group Holding PLC Financials 3 463 654 0,00% 0,02% Nevsun Resources Ltd Basic Materials 1 759 537 0,04% 0,04% Denmark New Gold Inc Basic Materials 8 476 797 0,05% 0,05% ALK-Abello A/S Health Care 3 453 895 0,03% 0,05% Niko Resources Ltd Oil & Gas 441 279 0,04% 0,04% Alm Brand A/S Financials 1 755 365 0,04% 0,04% Norbord Inc Industrials 3 630 922 0,04% 0,04% AP Moeller - Maersk A/S Industrials 112 563 314 0,08% 0,04% Nordion Inc Health Care 2 263 497 0,07% 0,07% Auriga Industries Basic Materials 1 361 514 0,01% 0,03% North West Co Inc/The Consumer Services 4 116 029 0,06% 0,06% Bang & Olufsen A/S Consumer Goods 923 794 0,05% 0,05% Northern Dynasty Minerals Ltd Basic Materials 394 446 0,05% 0,05% Bavarian Nordic A/S Health Care 1 278 941 0,05% 0,05% Northland Power Inc Utilities 4 094 245 0,04% 0,04% Brodrene Hartmann A/S Industrials 522 853 0,04% 0,04% Novagold Resources Inc Basic Materials 2 639 148 0,05% 0,05% Carlsberg A/S Consumer Goods 37 600 553 0,01% 0,04% NuVista Energy Ltd Oil & Gas 3 037 104 0,06% 0,06% Coloplast A/S Health Care 17 930 548 0,01% 0,02% OceanaGold Corp Basic Materials 1 784 903 0,06% 0,06% Danske Bank A/S Financials 59 115 319 0,04% 0,04% Onex Corp Industrials 20 006 606 0,05% 0,05% DSV A/S Industrials 11 324 001 0,03% 0,03% Open Text Corp Technology 20 608 515 0,06% 0,06% East Asiatic Co Ltd A/S Consumer Goods 962 830 0,09% 0,09% Osisko Mining Corp Basic Materials 5 981 196 0,05% 0,05% FLSmidth & Co A/S Industrials 9 820 594 0,06% 0,06% Pacific Rubiales Energy Corp Oil & Gas 23 809 359 0,07% 0,07% Fluegger A/S Industrials 417 099 0,01% 0,03% Paladin Labs Inc Health Care 9 085 547 0,06% 0,06% Genmab A/S Health Care 3 109 182 0,03% 0,03% Pan American Silver Corp Basic Materials 6 566 033 0,06% 0,06% GN Store Nord A/S Health Care 14 832 338 0,06% 0,06% Paramount Resources Ltd Oil & Gas 6 280 490 0,03% 0,03% H Lundbeck A/S Health Care 14 572 330 0,05% 0,05% Parkland Fuel Corp Consumer Services 3 233 820 0,04% 0,04% Jyske Bank A/S Financials 14 785 489 0,06% 0,06% Pason Systems Inc Oil & Gas 6 881 453 0,06% 0,06% NKT Holding A/S Industrials 3 885 027 0,05% 0,05% Pembina Pipeline Corp Utilities 29 033 970 0,04% 0,04% Novo Nordisk A/S Health Care 233 086 914 0,01% 0,01% Pengrowth Energy Corp Oil & Gas 12 779 555 0,07% 0,07% Novozymes A/S Health Care 21 907 433 0,01% 0,03% Penn West Petroleum Ltd Oil & Gas 9 446 466 0,04% 0,04% Pandora A/S Consumer Goods 15 877 653 0,04% 0,04% Peyto Exploration & Development Corp Oil & Gas 14 816 722 0,05% 0,05% Rockwool International A/S Industrials 3 485 405 0,00% 0,01% Power Corp of Canada Financials 35 480 810 0,02% 0,04% Roskilde Bank Financials 1 0,07% 0,07% Power Financial Corp Financials 29 768 049 0,02% 0,02% Schouw & Co Industrials 3 043 269 0,05% 0,05% Precision Drilling Corp Oil & Gas 9 577 772 0,06% 0,06% SimCorp A/S Technology 1 277 545 0,01% 0,01% Pretium Resources Inc Basic Materials 1 319 434 0,04% 0,04% Sydbank A/S Financials 5 864 678 0,05% 0,05%

Foreign exchange reserves Holdings 2013 3 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

TDC A/S Telecommunications 11 038 544 0,02% 0,02% Derichebourg SA Industrials 2 020 022 0,06% 0,06% Topdanmark A/S Financials 14 863 947 0,07% 0,07% Edenred Industrials 15 794 789 0,03% 0,03% Tryg A/S Financials 15 994 654 0,04% 0,04% Eiffage SA Industrials 13 851 940 0,04% 0,04% Vestas Wind Systems A/S Oil & Gas 20 410 976 0,06% 0,06% Electricite de France Utilities 25 752 453 0,01% 0,01% William Demant Holding A/S Health Care 6 050 649 0,02% 0,02% Eramet Basic Materials 72 864 0,00% 0,00% Finland Essilor International SA Health Care 61 406 727 0,04% 0,04% Afarak Group OYJ Basic Materials 535 028 0,08% 0,08% Esso SA Francaise Oil & Gas 640 947 0,01% 0,01% Ahlstrom OYJ Basic Materials 211 559 0,01% 0,01% Etablissements Maurel et Prom Oil & Gas 7 910 921 0,06% 0,06% Amer Sports Oyj Consumer Goods 10 666 931 0,07% 0,07% Euler Hermes SA Financials 7 410 020 0,02% 0,02% Cargotec Oyj Industrials 4 665 002 0,01% 0,03% Eurazeo SA Industrials 6 799 787 0,02% 0,02% Caverion Corp Industrials 5 262 553 0,06% 0,06% Eurofins Scientific SE Health Care 4 193 823 0,02% 0,02% Citycon OYJ Financials 4 109 316 0,04% 0,04% Eutelsat Communications SA Consumer Services 13 785 649 0,03% 0,03% Cramo OYJ Industrials 2 744 438 0,05% 0,05% Faiveley Transport SA Industrials 1 597 756 0,02% 0,02% Elisa OYJ Telecommunications 14 905 828 0,06% 0,06% Faurecia Consumer Goods 8 106 305 0,03% 0,03% Etteplan OYJ Industrials 628 617 0,12% 0,12% Fonciere Des Regions Financials 5 543 745 0,02% 0,02% Finnair OYJ Consumer Services 1 074 563 0,04% 0,04% GameLoft SE Consumer Goods 2 643 164 0,05% 0,05% Fortum OYJ Utilities 30 661 130 0,02% 0,02% GDF Suez Utilities 96 016 935 0,03% 0,03% F-Secure OYJ Technology 704 057 0,03% 0,03% Gecina SA Financials 9 159 067 0,02% 0,02% HKScan OYJ Consumer Goods 817 067 0,02% 0,05% GL Events Industrials 1 043 310 0,03% 0,03% Huhtamaki OYJ Industrials 11 390 358 0,07% 0,07% Groupe Eurotunnel SA Industrials 3 232 601 0,01% 0,01% Kemira OYJ Basic Materials 5 631 809 0,04% 0,04% Groupe Steria SCA Technology 1 768 303 0,04% 0,04% Kesko OYJ Consumer Services 1 797 049 0,00% 0,01% Guerbet Health Care 785 931 0,03% 0,03% Kone OYJ Industrials 49 688 138 0,01% 0,03% Haulotte Group SA Industrials 908 802 0,03% 0,03% Konecranes OYJ Industrials 7 403 250 0,05% 0,05% Havas SA Consumer Services 9 143 445 0,05% 0,05% Lassila & Tikanoja OYJ Industrials 2 665 953 0,05% 0,05% Hermes International Consumer Goods 7 487 356 0,00% 0,00% Metsa Board OYJ Basic Materials 4 185 144 0,02% 0,05% ICADE Financials 8 756 040 0,02% 0,02% Metso OYJ Industrials 21 785 080 0,06% 0,06% Iliad SA Technology 1 127 768 0,00% 0,00% Neste Oil OYJ Oil & Gas 6 017 580 0,02% 0,02% Imerys SA Basic Materials 12 258 908 0,03% 0,03% Nokia OYJ Technology 98 850 253 0,05% 0,05% Ingenico Technology 6 265 034 0,02% 0,02% Nokian Renkaat OYJ Consumer Goods 23 624 584 0,06% 0,06% Interparfums SA Consumer Goods 701 327 0,01% 0,01% Oriola-KD OYJ Health Care 1 349 719 0,01% 0,04% Ipsen SA Health Care 3 364 108 0,01% 0,01% Orion OYJ Health Care 8 306 795 0,01% 0,03% IPSOS Consumer Services 6 433 174 0,05% 0,05% Outokumpu OYJ Basic Materials 2 338 895 0,03% 0,03% Jacquet Metal Service Basic Materials 1 425 219 0,05% 0,05% Outotec OYJ Industrials 6 420 858 0,06% 0,06% JCDecaux SA Consumer Services 6 110 510 0,01% 0,01% Pohjola Bank PLC Financials 12 852 831 0,02% 0,03% Kering Consumer Services 45 581 260 0,03% 0,03% Poyry OYJ Industrials 1 080 569 0,05% 0,05% Klepierre Financials 13 067 385 0,02% 0,02% Ramirent OYJ Industrials 4 389 818 0,05% 0,05% Lafarge SA Industrials 37 490 176 0,00% 0,00% Rautaruukki OYJ Basic Materials 3 704 525 0,05% 0,05% Lagardere SCA Consumer Services 10 283 514 0,03% 0,03% Saga Furs Oyj Consumer Goods 802 115 0,02% 0,08% Laurent-Perrier Consumer Goods 1 166 307 0,04% 0,04% Sampo Financials 80 689 611 0,05% 0,05% Lectra Technology 2 549 029 0,13% 0,13% Sanoma OYJ Consumer Services 1 921 641 0,02% 0,02% Legrand SA Industrials 42 097 209 0,05% 0,05% Sponda OYJ Financials 4 331 614 0,05% 0,05% L’Oreal SA Consumer Goods 131 700 256 0,02% 0,02% Stockmann OYJ Abp Consumer Services 1 328 641 0,00% 0,02% LVMH Moet Hennessy Louis Vuitton SA Consumer Goods 141 172 277 0,03% 0,03% Stora Enso OYJ Basic Materials 25 152 960 0,02% 0,05% Maisons France Confort Consumer Goods 602 306 0,04% 0,04% Tieto OYJ Technology 5 226 255 0,05% 0,05% Manitou BF SA Industrials 1 269 251 0,03% 0,03% Tikkurila Oyj Industrials 3 714 327 0,05% 0,05% Medica SA Health Care 5 320 975 0,07% 0,07% UPM-Kymmene OYJ Basic Materials 34 693 556 0,06% 0,06% Mercialys SA Financials 3 026 546 0,03% 0,03% Uponor OYJ Industrials 6 332 199 0,07% 0,07% Mersen Industrials 2 929 431 0,07% 0,07% Vaisala OYJ Industrials 438 123 0,00% 0,01% Metropole Television SA Consumer Services 7 503 366 0,04% 0,04% Valmet Corp Industrials 3 862 603 0,06% 0,06% MPI Oil & Gas 2 011 086 0,07% 0,07% Wartsila OYJ Abp Industrials 18 746 827 0,03% 0,03% Natixis Financials 17 271 311 0,02% 0,02% YIT OYJ Industrials 6 007 589 0,06% 0,06% Neopost SA Technology 9 296 090 0,06% 0,06% France NetGem SA Technology 1 213 339 0,13% 0,13% Accor SA Consumer Services 28 520 188 0,04% 0,04% Nexans SA Industrials 6 546 743 0,05% 0,05% Aeroports de Paris Industrials 13 232 983 0,02% 0,02% Nexity SA Financials 4 238 221 0,03% 0,03% Air France-KLM Consumer Services 2 773 567 0,01% 0,01% Orange SA Telecommunications 69 392 776 0,03% 0,03% Air Liquide SA Basic Materials 138 936 573 0,06% 0,06% Orpea Health Care 8 020 030 0,04% 0,04% ALBIOMA Utilities 1 417 644 0,03% 0,03% Parrot SA Technology 1 502 465 0,07% 0,07% Alcatel-Lucent Technology 29 826 369 0,04% 0,04% Pernod Ricard SA Consumer Goods 71 210 315 0,04% 0,04% Alstom SA Industrials 19 647 563 0,03% 0,03% Peugeot SA Consumer Goods 7 016 651 0,03% 0,03% Alten SA Technology 2 706 323 0,03% 0,03% Pierre & Vacances SA Consumer Services 818 988 0,04% 0,04% Altran Technologies SA Technology 2 684 788 0,03% 0,03% Plastic Omnium SA Consumer Goods 10 395 065 0,04% 0,04% April Financials 1 452 521 0,03% 0,03% Publicis Groupe SA Consumer Services 42 642 735 0,04% 0,04% Arkema SA Basic Materials 16 838 937 0,04% 0,04% Rallye SA Consumer Services 2 569 819 0,02% 0,02% Assystem Industrials 1 994 341 0,06% 0,06% Remy Cointreau SA Consumer Goods 459 898 0,00% 0,00% AtoS Technology 24 127 612 0,05% 0,05% Renault SA Consumer Goods 62 611 742 0,04% 0,04% Audika Groupe Health Care 404 182 0,05% 0,05% Rexel SA Industrials 17 399 380 0,04% 0,04% AXA SA Financials 200 266 943 0,05% 0,05% Rodriguez Group Consumer Goods 100 688 0,04% 0,04% Axway Software SA Technology 962 219 0,03% 0,03% Rubis SCA Utilities 6 475 002 0,05% 0,05% Belvedere SA Consumer Goods 2 893 218 0,13% 0,13% Saft Groupe SA Industrials 2 370 426 0,04% 0,04% Beneteau SA Consumer Goods 2 876 793 0,03% 0,03% Sanofi Health Care 391 792 242 0,05% 0,05% BioMerieux Health Care 10 978 889 0,04% 0,04% Schneider Electric SA Industrials 157 006 613 0,05% 0,05% BNP Paribas SA Financials 249 094 067 0,04% 0,04% SCOR SE Financials 37 839 735 0,09% 0,09% Boiron SA Health Care 4 043 261 0,05% 0,05% SEB SA Consumer Goods 10 928 776 0,04% 0,04% Bollore SA Industrials 2 004 277 0,00% 0,00% Seche Environnement SA Industrials 1 106 271 0,05% 0,05% Bonduelle S.C.A. Consumer Goods 1 873 184 0,04% 0,04% Sequana SA Basic Materials 340 514 0,03% 0,03% Bourbon SA Oil & Gas 6 814 086 0,05% 0,05% SES SA Consumer Services 28 253 934 0,03% 0,03% Boursorama Financials 1 274 555 0,02% 0,02% Societe BIC SA Consumer Goods 16 074 299 0,04% 0,04% Bouygues SA Industrials 13 896 836 0,02% 0,02% Societe de la Tour Eiffel Financials 2 056 980 0,08% 0,08% Bull Technology 1 804 153 0,06% 0,06% Societe d’Edition de Canal + Consumer Services 4 692 921 0,07% 0,07% Bureau Veritas SA Industrials 11 799 851 0,02% 0,02% Societe Generale SA Financials 124 316 553 0,04% 0,04% Cap Gemini SA Technology 29 148 229 0,04% 0,04% Societe Television Francaise 1 Consumer Services 10 970 023 0,04% 0,04% Carrefour SA Consumer Services 107 271 255 0,06% 0,06% Sodexo Consumer Services 31 973 292 0,03% 0,03% Casino Guichard Perrachon SA Consumer Services 12 786 110 0,02% 0,02% Solocal Group Consumer Services 535 131 0,02% 0,02% CGG SA Oil & Gas 5 932 757 0,03% 0,03% Sopra Group SA Technology 2 561 627 0,04% 0,04% Christian Dior SA Consumer Goods 37 076 047 0,02% 0,02% STMicroelectronics NV Technology 11 896 488 0,03% 0,03% Cie de St-Gobain Industrials 95 096 634 0,05% 0,05% Suez Environnement Co Utilities 23 074 378 0,04% 0,04% Cie Generale des Etablissements Michelin Consumer Goods 83 187 538 0,07% 0,07% Technicolor SA Consumer Services 3 427 444 0,03% 0,03% Ciments Francais SA Industrials 3 875 204 0,02% 0,02% Technip SA Oil & Gas 31 069 107 0,05% 0,05% Club Mediterranee SA Consumer Services 1 393 224 0,03% 0,03% Teleperformance Industrials 10 919 719 0,05% 0,05% CNP Assurances Financials 17 510 697 0,02% 0,02% Thales SA Industrials 24 507 626 0,03% 0,03% Credit Agricole SA Financials 31 124 414 0,02% 0,02% Total SA Oil & Gas 421 545 334 0,05% 0,05% Danone Consumer Goods 136 770 905 0,05% 0,05% Trigano SA Consumer Goods 1 019 346 0,04% 0,04% Dassault Systemes Technology 22 229 404 0,02% 0,02% UBISOFT Entertainment Consumer Goods 7 777 471 0,09% 0,09%

Foreign exchange reserves Holdings 2013 4 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Valeo SA Consumer Goods 35 769 943 0,07% 0,07% KWS Saat AG Consumer Goods 1 586 275 0,01% 0,01% Vallourec SA Industrials 13 839 160 0,03% 0,03% LANXESS AG Basic Materials 22 311 413 0,07% 0,07% Veolia Environnement SA Utilities 35 076 848 0,06% 0,06% Leoni AG Industrials 9 813 203 0,07% 0,07% Vicat Industrials 4 744 079 0,02% 0,02% Linde AG Basic Materials 106 607 997 0,05% 0,05% Vilmorin & Cie SA Consumer Goods 3 364 057 0,02% 0,02% MAN SE Industrials 1 745 160 0,00% 0,00% Vinci SA Industrials 117 646 575 0,05% 0,05% MBB Industries AG Financials 418 877 0,04% 0,04% Virbac SA Health Care 1 073 677 0,01% 0,01% Merck KGaA Health Care 39 201 355 0,02% 0,02% Vivendi SA Consumer Services 125 945 795 0,06% 0,06% Metro AG Consumer Services 22 034 308 0,02% 0,02% Wendel SA Financials 12 157 427 0,03% 0,03% Ming Le Sports AG Consumer Goods 362 031 0,06% 0,06% Zodiac Aerospace Industrials 12 443 408 0,02% 0,02% MLP AG Financials 1 190 228 0,03% 0,03% Germany MorphoSys AG Health Care 9 738 044 0,08% 0,08% Aareal Bank AG Financials 7 858 492 0,05% 0,05% MTU Aero Engines AG Industrials 9 887 903 0,03% 0,03% Adidas AG Consumer Goods 86 468 491 0,05% 0,05% Muenchener Rueckversicherungs AG Financials 142 920 857 0,06% 0,06% Adler Modemaerkte AG Consumer Services 614 400 0,04% 0,04% Nordex SE Oil & Gas 2 431 247 0,04% 0,04% Air Berlin PLC Consumer Services 777 873 0,05% 0,05% OSRAM Licht AG Consumer Goods 9 340 690 0,03% 0,03% Aixtron SE Technology 4 726 130 0,05% 0,05% Patrizia Immobilien AG Financials 1 470 077 0,04% 0,04% Allianz SE Financials 269 259 918 0,05% 0,05% Pfeiffer Vacuum Technology AG Industrials 5 317 018 0,07% 0,07% Alstria Office REIT-AG Financials 2 494 807 0,04% 0,04% Porsche Automobil Holding SE Consumer Goods 46 041 208 0,00% 0,02% Asian Bamboo AG Basic Materials 50 420 0,03% 0,03% ProSiebenSat.1 Media AG Consumer Services 18 974 207 0,03% 0,03% Aurubis AG Basic Materials 10 783 556 0,06% 0,06% Pulsion Medical Systems SE Health Care 574 307 0,05% 0,05% Axel Springer SE Consumer Services 10 694 320 0,03% 0,03% Puma SE Consumer Goods 4 041 093 0,01% 0,01% BASF SE Basic Materials 366 037 359 0,06% 0,06% QIAGEN NV Health Care 10 991 199 0,03% 0,03% Basler AG Industrials 405 351 0,05% 0,05% QSC AG Technology 2 648 419 0,06% 0,06% Bauer AG Industrials 1 463 434 0,05% 0,05% Rational AG Industrials 5 716 104 0,02% 0,02% BAVARIA Industries Group AG Financials 888 596 0,05% 0,05% Rheinmetall AG Consumer Goods 2 879 576 0,02% 0,02% Bayer AG Basic Materials 388 480 927 0,06% 0,06% Rhoen Klinikum AG Health Care 6 145 691 0,03% 0,03% Bayerische Motoren Werke AG Consumer Goods 122 412 990 0,01% 0,03% RWE AG Utilities 70 314 034 0,04% 0,05% BayWa AG Consumer Goods 3 717 606 0,03% 0,03% Salzgitter AG Basic Materials 3 392 071 0,02% 0,02% Bechtle AG Technology 4 783 166 0,06% 0,06% SAP AG Technology 250 571 716 0,04% 0,04% Beiersdorf AG Consumer Goods 22 209 609 0,01% 0,01% SGL Carbon SE Industrials 3 956 868 0,02% 0,02% Bilfinger SE Industrials 7 228 111 0,02% 0,02% Siemens AG Industrials 387 777 629 0,05% 0,05% Borussia Dortmund GmbH & Co KGaA Consumer Services 2 075 595 0,11% 0,11% Sixt SE Consumer Services 4 316 203 0,04% 0,05% Brenntag AG Basic Materials 36 080 194 0,06% 0,06% Sky Deutschland AG Consumer Services 24 567 560 0,04% 0,04% Carl Zeiss Meditec AG Health Care 2 394 782 0,01% 0,01% SMA Solar Technology AG Oil & Gas 821 509 0,01% 0,01% CAT Oil AG Oil & Gas 2 400 463 0,03% 0,03% Software AG Technology 14 076 823 0,08% 0,08% Celesio AG Consumer Services 5 161 451 0,02% 0,02% Solarworld AG Oil & Gas 144 138 0,03% 0,03% CENTROTEC Sustainable AG Oil & Gas 1 241 608 0,05% 0,05% Stada Arzneimittel AG Health Care 14 292 232 0,08% 0,08% Cewe Stiftung & Co KGAA Consumer Services 3 222 157 0,12% 0,12% Suedzucker AG Consumer Goods 6 626 063 0,02% 0,02% Comdirect Bank AG Financials 1 433 420 0,01% 0,01% Symrise AG Basic Materials 18 433 703 0,06% 0,06% Commerzbank AG Financials 46 055 146 0,04% 0,04% Telefonica Deutschland Holding AG Telecommunications 9 644 302 0,02% 0,02% Constantin Medien AG Consumer Services 600 509 0,05% 0,05% Telegate AG Industrials 558 701 0,06% 0,06% Continental AG Consumer Goods 98 414 492 0,04% 0,04% ThyssenKrupp AG Industrials 18 834 504 0,02% 0,02% CropEnergies AG Oil & Gas 514 815 0,01% 0,01% TUI AG Consumer Services 8 705 761 0,03% 0,03% CTS Eventim AG Industrials 4 298 300 0,03% 0,03% United Internet AG Technology 23 919 732 0,05% 0,05% DAB Bank AG Financials 510 158 0,02% 0,02% Uzin Utz AG Industrials 148 220 0,02% 0,02% Daimler AG Consumer Goods 274 550 780 0,05% 0,05% Volkswagen AG Consumer Goods 145 895 663 0,01% 0,02% Delticom AG Consumer Goods 980 974 0,03% 0,03% Vossloh AG Industrials 4 381 400 0,05% 0,05% Deutsche Bank AG Financials 153 895 207 0,05% 0,05% Wacker Chemie AG Basic Materials 1 302 262 0,00% 0,00% Deutsche Beteiligungs AG Financials 1 810 467 0,08% 0,08% Wincor Nixdorf AG Technology 7 743 312 0,06% 0,06% Deutsche Boerse AG Financials 44 076 598 0,05% 0,05% Wirecard AG Industrials 12 929 447 0,05% 0,05% Deutsche Euroshop AG Financials 9 594 868 0,07% 0,07% Greece Deutsche Lufthansa AG Consumer Services 11 780 806 0,02% 0,02% Alpha Bank AE Financials 3 051 254 0,01% 0,01% Deutsche Post AG Industrials 92 882 588 0,03% 0,03% Athens Water Supply & Sewage Co SA/The Utilities 1 505 881 0,02% 0,02% Deutsche Telekom AG Telecommunications 163 228 268 0,04% 0,04% Ellaktor SA Industrials 906 894 0,02% 0,02% Deutsche Wohnen AG Financials 11 683 723 0,03% 0,03% Frigoglass SA Industrials 776 882 0,04% 0,04% Deutz AG Industrials 4 429 940 0,07% 0,07% Hellenic Exchanges - Athens Stock Dialog Semiconductor PLC Technology 6 058 472 0,07% 0,07% Exchange SA Holding Financials 3 416 824 0,08% 0,08% DIC Asset AG Financials 1 740 453 0,05% 0,05% Hellenic Petroleum SA Oil & Gas 1 260 504 0,01% 0,01% DMG MORI SEIKI AG Industrials 9 108 090 0,06% 0,06% Hellenic Telecommunications Organization SA Telecommunications 16 388 414 0,04% 0,04% Draegerwerk AG & Co KGaA Health Care 3 650 957 0,00% 0,03% Intralot SA-Integrated Lottery Systems & Duerr AG Industrials 4 959 634 0,03% 0,03% Services Consumer Services 441 865 0,02% 0,02% E.ON SE Utilities 139 153 258 0,06% 0,06% JUMBO SA Consumer Goods 5 878 750 0,05% 0,05% ElringKlinger AG Consumer Goods 5 277 220 0,03% 0,03% Marfin Investment Group Holdings SA Financials 373 531 0,02% 0,02% Fielmann AG Consumer Services 2 937 882 0,01% 0,01% Metka SA Industrials 1 810 303 0,04% 0,04% Fraport AG Frankfurt Airport Services Michaniki SA Industrials 30 531 0,05% 0,05% Worldwide Industrials 2 488 521 0,01% 0,01% Motor Oil Hellas Corinth Refineries SA Oil & Gas 2 215 183 0,03% 0,03% Freenet AG Telecommunications 12 295 646 0,05% 0,05% Mytilineos Holdings SA Basic Materials 1 433 440 0,03% 0,03% Fresenius Medical Care AG & Co KGaA Health Care 56 979 179 0,04% 0,04% National Bank of Greece SA Financials 2 864 909 0,00% 0,00% Fresenius SE & Co KGaA Health Care 58 258 404 0,03% 0,03% OPAP SA Consumer Services 10 789 557 0,04% 0,04% Fuchs Petrolub SE Basic Materials 15 226 950 0,05% 0,04% Piraeus Bank SA Financials 3 272 237 0,01% 0,01% GAGFAH SA Financials 5 464 950 0,03% 0,03% Plastika Kritis SA Basic Materials 329 386 0,03% 0,03% GEA Group AG Industrials 20 589 078 0,04% 0,04% Public Power Corp SA Utilities 4 677 447 0,02% 0,02% Generali Deutschland Holding AG Financials 6 433 738 0,01% 0,01% Sidenor Steel Products Manufacturing Co SA Basic Materials 453 030 0,03% 0,03% Gerry Weber International AG Consumer Goods 5 888 147 0,05% 0,05% Titan Cement Co SA Industrials 4 755 680 0,04% 0,03% GFK SE Consumer Services 2 572 218 0,02% 0,02% TT Hellenic Postbank SA Financials 77 0,03% 0,03% H&R AG Basic Materials 111 543 0,01% 0,01% Guernsey C. I. Hamburger Hafen und Logistik AG Industrials 1 709 480 0,02% 0,02% Tetragon Financial Group Ltd Financials 1 585 274 0,00% 0,02% Hannover Rueck SE Financials 38 874 645 0,06% 0,06% Hong Kong HeidelbergCement AG Industrials 29 125 062 0,03% 0,03% AAC Technologies Holdings Inc Industrials 5 066 930 0,01% 0,01% Heidelberger Druckmaschinen AG Industrials 2 809 212 0,06% 0,06% AIA Group Ltd Financials 196 062 627 0,05% 0,05% Henkel AG & Co KGaA Consumer Goods 113 861 531 0,07% 0,04% AMVIG Holdings Ltd Industrials 744 899 0,03% 0,03% Hochtief AG Industrials 18 102 325 0,05% 0,05% Apac Resources Ltd Basic Materials 163 327 0,02% 0,02% Hugo Boss AG Consumer Goods 18 729 006 0,03% 0,03% Asia Standard International Group Ltd Financials 325 193 0,02% 0,02% Indus Holding AG Industrials 1 278 412 0,02% 0,02% ASM Pacific Technology Ltd Technology 2 081 997 0,01% 0,01% Infineon Technologies AG Technology 39 678 156 0,06% 0,06% Bank of East Asia Ltd Financials 19 981 240 0,03% 0,03% IVG Immobilien AG Financials 62 352 0,05% 0,05% BOC Hong Kong Holdings Ltd Financials 37 759 574 0,02% 0,02% Jenoptik AG Industrials 2 931 089 0,05% 0,05% Brightoil Petroleum Holdings Ltd Oil & Gas 1 853 258 0,01% 0,01% Jungheinrich AG Industrials 4 601 799 0,00% 0,03% Cafe de Coral Holdings Ltd Consumer Services 3 716 594 0,03% 0,03% K+S AG Basic Materials 20 960 361 0,06% 0,06% Cathay Pacific Airways Ltd Consumer Services 7 647 889 0,02% 0,02% Kloeckner & Co SE Basic Materials 2 411 878 0,03% 0,03% Champion REIT Financials 3 219 968 0,02% 0,02% Kontron AG Industrials 1 738 671 0,07% 0,07% Chaoda Modern Agriculture Holdings Ltd Consumer Goods 1 283 172 0,05% 0,05% Krones AG Industrials 5 664 739 0,03% 0,03% Cheung Kong Holdings Ltd Financials 100 271 974 0,05% 0,05% KUKA AG Industrials 6 426 298 0,07% 0,07% Cheung Kong Infrastructure Holdings Ltd Utilities 9 307 015 0,01% 0,01% KWG Kommunale Wohnen AG Financials 1 411 020 0,17% 0,17% Chiho-Tiande Group Ltd Industrials 1 302 451 0,06% 0,06%

Foreign exchange reserves Holdings 2013 5 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

China Aerospace International Holdings Ltd Industrials 2 063 954 0,10% 0,10% Shun Tak Holdings Ltd Consumer Services 6 477 020 0,06% 0,06% China High Precision Automation Group Ltd Industrials 172 540 0,07% 0,07% Singamas Container Holdings Ltd Industrials 1 452 523 0,04% 0,04% China Mengniu Dairy Co Ltd Consumer Goods 20 299 643 0,04% 0,04% Sino Land Co Ltd Financials 8 774 792 0,02% 0,02% China Metal Recycling Holdings Ltd Industrials 139 001 0,02% 0,02% SJM Holdings Ltd Consumer Services 20 363 803 0,02% 0,02% China Mining Resources Group Ltd Basic Materials 135 106 0,03% 0,03% SmarTone Telecommunications Holdings Ltd Telecommunications 1 981 142 0,03% 0,03% China New Town Development Co Ltd Financials 184 369 0,00% 0,01% SOCAM Development Ltd Industrials 244 959 0,01% 0,01% China Nickel Resources Holdings Co Ltd Basic Materials 223 0,00% 0,00% Stella International Holdings Ltd Consumer Goods 1 515 181 0,01% 0,01% China Rongsheng Heavy Industries Group Holdings Ltd Industrials 1 119 536 0,02% Sun Art Retail Group Ltd Consumer Services 6 681 003 0,01% 0,01% 0,02% Sun Hung Kai Properties Ltd Financials 62 605 537 0,03% 0,03% China Travel International Inv HK Consumer Services 4 244 459 0,06% 0,06% Sunlight Real Estate Investment Trust Financials 1 530 454 0,04% 0,04% Chow Sang Sang Holdings International Ltd Consumer Services 3 147 133 0,03% 0,03% Swire Pacific Ltd Industrials 23 790 933 0,01% 0,01% Chow Tai Fook Jewellery Group Ltd Consumer Services 7 236 012 0,01% 0,01% Swire Properties Ltd Financials 5 458 792 0,01% 0,01% CLP Holdings Ltd Utilities 37 234 061 0,03% 0,03% TCC International Holdings Ltd Industrials 695 746 0,01% 0,01% CST Mining Group Ltd Financials 912 169 0,06% 0,06% TCL Communication Technology Holdings Ltd Technology 3 172 829 0,04% 0,04% Dah Sing Banking Group Ltd Financials 5 347 826 0,04% 0,04% Techtronic Industries Co Consumer Goods 11 077 014 0,04% 0,04% Dah Sing Financial Holdings Ltd Financials 5 826 260 0,06% 0,06% Television Broadcasts Ltd Consumer Services 9 939 541 0,06% 0,06% Dickson Concepts International Ltd Consumer Services 241 530 0,02% 0,02% Texwinca Holdings Ltd Consumer Goods 1 838 798 0,02% 0,02% EganaGoldpfeil Holdings Ltd Consumer Services 34 0,03% 0,03% Tingyi Cayman Islands Holding Corp Consumer Goods 18 438 060 0,02% 0,02% Esprit Holdings Ltd Consumer Services 6 336 687 0,03% 0,03% Titan Petrochemicals Group Ltd Oil & Gas 51 970 0,01% 0,01% eSun Holdings Ltd Consumer Services 280 059 0,03% 0,03% Towngas China Co Ltd Utilities 4 318 963 0,02% 0,02% FIH Mobile Ltd Technology 1 729 272 0,01% 0,01% TPV Technology Ltd Technology 1 832 789 0,06% 0,06% First Pacific Co Ltd/Hong Kong Consumer Goods 6 303 842 0,02% 0,02% Trinity Ltd Consumer Services 1 570 515 0,04% 0,04% FU JI Food and Catering Services Holdings Ltd Consumer Services 10 522 0,00% 0,00% Truly International Holdings Ltd Industrials 1 363 841 0,01% 0,01% Galaxy Entertainment Group Ltd Consumer Services 60 840 168 0,03% 0,03% Uni-President China Holdings Ltd Consumer Goods 3 412 068 0,02% 0,02% Giordano International Ltd Consumer Services 4 055 891 0,05% 0,05% United Co RUSAL PLC Basic Materials 1 189 545 0,00% 0,00% Great Eagle Holdings Ltd Consumer Services 2 918 698 0,02% 0,02% United Energy Group Ltd Oil & Gas 2 741 172 0,02% 0,02% G-Resources Group Ltd Basic Materials 1 498 836 0,04% 0,04% United Laboratories International Hang Lung Group Ltd Financials 13 685 860 0,03% 0,03% Holdings Ltd/The Health Care 909 159 0,02% 0,02% Hang Lung Properties Ltd Financials 18 560 199 0,02% 0,02% Value Partners Group Ltd Financials 2 422 437 0,03% 0,03% Hang Seng Bank Ltd Financials 40 747 566 0,02% 0,02% Varitronix International Ltd Industrials 836 750 0,04% 0,04% Henderson Investment Ltd Industrials 248 863 0,02% 0,02% Vitasoy International Holdings Ltd Consumer Goods 6 464 901 0,07% 0,07% Henderson Land Development Co Ltd Financials 14 948 032 0,02% 0,02% VTech Holdings Ltd Technology 6 965 194 0,04% 0,04% HKR International Ltd Financials 763 913 0,02% 0,02% Want Want China Holdings Ltd Consumer Goods 29 322 124 0,03% 0,03% Hong Kong & China Gas Co Ltd Utilities 40 303 087 0,03% 0,03% Wharf Holdings Ltd Financials 41 496 293 0,03% 0,03% Hong Kong Exchanges and Clearing Ltd Financials 62 215 858 0,05% 0,05% Wheelock & Co Ltd Financials 4 397 296 0,01% 0,01% Honghua Group Ltd Oil & Gas 1 253 149 0,02% 0,02% Wing Hang Bank Ltd Financials 10 258 505 0,04% 0,04% Hongkong & Shanghai Hotels/The Consumer Services 1 877 0,00% 0,00% Wynn Macau Ltd Consumer Services 16 633 689 0,01% 0,01% Hongkong Chinese Ltd Financials 361 506 0,01% 0,01% Yanchang Petroleum International Ltd Oil & Gas 358 632 0,01% 0,01% Hongkong Land Holdings Ltd Financials 21 369 266 0,03% 0,03% Yingde Gases Group Co Ltd Basic Materials 4 142 429 0,04% 0,04% Hopewell Highway Infrastructure Ltd Industrials 1 076 928 0,01% 0,01% Yue Yuen Industrial Holdings Ltd Consumer Goods 9 420 204 0,03% 0,03% Hopewell Holdings Ltd Financials 7 599 456 0,04% 0,04% Yuexiu Real Estate Investment Trust Financials 890 245 0,01% 0,01% Hutchison Harbour Ring Ltd Financials 434 661 0,01% 0,01% Ireland Hutchison Telecommunications Aer Lingus Group plc Consumer Services 1 643 142 0,03% 0,03% Hong Kong Holdings Ltd Telecommunications 1 239 903 0,01% 0,01% Bank of Ireland Financials 23 151 347 0,03% 0,03% Hutchison Whampoa Ltd Industrials 82 551 725 0,02% 0,02% C&C Group PLC Consumer Goods 8 919 042 0,07% 0,07% Hysan Development Co Ltd Financials 9 076 459 0,03% 0,03% FBD Holdings PLC Financials 3 004 373 0,06% 0,06% Jardine Matheson Holdings Ltd Industrials 48 839 644 0,02% 0,02% Fyffes PLC Consumer Goods 1 787 758 0,09% 0,09% Jardine Strategic Holdings Ltd Industrials 16 165 000 0,01% 0,01% Glanbia PLC Consumer Goods 10 015 312 0,04% 0,04% Johnson Electric Holdings Ltd Industrials 4 509 793 0,02% 0,02% Independent News & Media PLC Consumer Services 181 299 0,01% 0,01% Ju Teng International Holdings Ltd Technology 2 183 573 0,05% 0,05% Irish Bank Resolution Corp Ltd/Old Financials 468 0,07% 0,07% K Wah International Holdings Ltd Financials 1 577 856 0,02% 0,02% Kerry Group PLC Consumer Goods 31 027 436 0,04% 0,04% Kerry Logistics Network Ltd Industrials 1 130 177 0,01% 0,01% Kingspan Group PLC Industrials 7 881 952 0,04% 0,04% Kerry Properties Ltd Financials 5 517 559 0,02% 0,02% Paddy Power PLC Consumer Services 12 572 093 0,05% 0,05% Kowloon Development Co Ltd Financials 1 726 103 0,02% 0,02% Prothena Corp PLC Health Care 1 373 542 0,04% 0,04% Langham Hospitality Investments Ltd Financials 27 261 0,00% 0,00% Ryanair Holdings PLC Consumer Services 21 735 836 0,03% 0,03% Li & Fung Ltd Consumer Goods 22 374 676 0,03% 0,03% Smurfit Kappa Group PLC Industrials 11 798 560 0,03% 0,03% Lifestyle International Holdings Ltd Consumer Services 2 915 703 0,02% 0,02% Isle of Man Lifestyle Properties Development Ltd Financials 16 243 0,00% 0,00% Unitech Corporate Parks PLC Financials 718 607 0,05% 0,05% Link REIT/The Financials 34 791 646 0,05% 0,05% Israel L’Occitane International SA Consumer Services 3 356 671 0,02% 0,02% Allot Communications Ltd Technology 1 886 601 0,06% 0,06% Luk Fook Holdings International Ltd Consumer Services 5 724 337 0,04% 0,04% Alony Hetz Properties & Investments Ltd Financials 4 071 775 0,07% 0,07% MGM China Holdings Ltd Consumer Services 12 286 385 0,01% 0,01% Azrieli Group Financials 3 655 885 0,01% 0,01% Midland Holdings Ltd Financials 647 908 0,03% 0,03% Bank Hapoalim BM Financials 29 983 856 0,07% 0,07% Mingyuan Medicare Development Co Ltd Health Care 67 603 0,01% 0,01% Bank Leumi Le-Israel BM Financials 16 916 001 0,05% 0,05% Minth Group Ltd Consumer Goods 4 182 302 0,03% 0,03% Bezeq The Israeli Telecommunication Corp Ltd Telecommunications 26 746 289 0,10% 0,10% Mongolia Energy Corp Ltd Basic Materials 424 947 0,03% 0,03% Cellcom Israel Ltd Telecommunications 6 844 886 0,08% 0,08% MTR Corp Ltd Consumer Services 18 593 823 0,01% 0,01% Clal Insurance Enterprises Holdings Ltd Financials 1 011 516 0,02% 0,02% New World China Land Ltd Financials 3 031 135 0,01% 0,01% Delek Group Ltd Financials 5 203 176 0,02% 0,02% New World Department Store China Ltd Consumer Services 716 781 0,01% 0,01% Discount Investment Corp Financials 1 258 099 0,03% 0,03% New World Development Co Ltd Financials 16 413 270 0,03% 0,03% EZchip Semiconductor Ltd Technology 2 221 062 0,05% 0,05% NWS Holdings Ltd Industrials 8 255 851 0,02% 0,02% First International Bank Of Israel Ltd Financials 7 059 179 0,07% 0,07% Orient Overseas International Ltd Industrials 1 904 754 0,01% 0,01% Gazit-Globe Ltd Financials 4 728 705 0,03% 0,03% Pacific Basin Shipping Ltd Industrials 4 173 187 0,05% 0,05% Harel Insurance Investments & Financial Parkson Retail Group Ltd Consumer Services 1 891 539 0,04% 0,04% Services Ltd Financials 3 192 467 0,04% 0,04% PCCW Ltd Telecommunications 6 217 509 0,03% 0,03% Israel Chemicals Ltd Basic Materials 16 018 848 0,02% 0,02% Peace Mark Holdings Ltd Consumer Goods 24 0,02% 0,02% Israel Corp Ltd/The Basic Materials 4 113 041 0,02% 0,02% Polytec Asset Holdings Ltd Financials 2 044 987 0,06% 0,06% Israel Discount Bank Ltd Financials 12 040 759 0,10% 0,10% Ports Design Ltd Consumer Services 1 687 725 0,06% 0,06% Ituran Location and Control Ltd Technology 4 188 411 0,15% 0,15% Power Assets Holdings Ltd Utilities 31 692 019 0,03% 0,03% Jerusalem Economy Ltd Financials 2 297 129 0,05% 0,05% Prada SpA Consumer Goods 14 258 340 0,01% 0,01% Kardan Yazamut Industrials 26 740 0,02% 0,02% Prosperity REIT Financials 887 695 0,04% 0,04% Koor Industries Ltd Basic Materials 2 472 294 0,04% 0,04% Qualipak International Holdings Ltd Financials 37 648 0,05% 0,05% Migdal Insurance & Financial Holding Ltd Financials 3 224 030 0,03% 0,03% Regal Hotels International Holdings Ltd Consumer Services 800 711 0,02% 0,02% Mizrahi Tefahot Bank Ltd Financials 6 056 331 0,03% 0,03% Regent Pacific Group Ltd Financials 116 192 0,04% 0,04% NICE Systems Ltd Technology 9 411 972 0,06% 0,06% REXLot Holdings Ltd Consumer Services 1 828 998 0,03% 0,03% Oil Refineries Ltd Oil & Gas 2 681 030 0,04% 0,04% Road King Infrastructure Ltd Industrials 516 708 0,01% 0,01% Ormat Industries Utilities 3 542 269 0,07% 0,07% SA SA International Holdings Ltd Consumer Services 2 332 863 0,01% 0,01% Osem Investments Ltd Consumer Goods 5 465 435 0,03% 0,03% Samsonite International SA Consumer Goods 11 607 477 0,04% 0,04% Partner Communications Co Ltd Telecommunications 27 049 894 0,31% 0,31% Sands China Ltd Consumer Services 70 366 196 0,02% 0,02% Paz Oil Co Ltd Oil & Gas 3 738 202 0,04% 0,04% Semiconductor Manufacturing Shufersal Ltd Consumer Services 5 408 317 0,11% 0,11% International Corp Technology 6 445 786 0,04% 0,04% Strauss Group Ltd Consumer Goods 3 973 993 0,03% 0,03% Shangri-La Asia Ltd Consumer Services 10 874 197 0,03% 0,03% Teva Pharmaceutical Industries Ltd Health Care 123 805 055 0,05% 0,06% Shougang Fushan Resources Group Ltd Basic Materials 28 680 147 0,25% 0,25% Tower Semiconductor Ltd Technology 1 056 634 0,06% 0,06% Shui On Land Ltd Financials 4 424 780 0,03% 0,03%

Foreign exchange reserves Holdings 2013 6 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Italy ADEKA Corp Basic Materials 2 072 097 0,03% 0,03% A2A SpA Utilities 7 035 880 0,03% 0,03% Aderans Co Ltd Consumer Goods 1 121 079 0,04% 0,04% ACEA SpA Utilities 4 209 311 0,03% 0,03% Advan Co Ltd Industrials 378 401 0,02% 0,02% Amplifon SpA Health Care 1 461 540 0,02% 0,02% Advantest Corp Technology 6 691 740 0,04% 0,04% Ansaldo STS SpA Industrials 6 444 856 0,05% 0,05% Aeon Co Ltd Consumer Services 28 541 988 0,04% 0,04% Arnoldo Mondadori Editore SpA Consumer Services 1 106 910 0,04% 0,04% Aeon Delight Co Ltd Industrials 814 974 0,01% 0,01% Ascopiave SpA Utilities 2 089 298 0,06% 0,06% Aeon Fantasy Co Ltd Consumer Services 204 451 0,01% 0,01% Assicurazioni Generali SpA Financials 89 494 776 0,04% 0,04% AEON Financial Service Co Ltd Financials 5 420 424 0,02% 0,02% Astaldi SpA Industrials 2 290 999 0,04% 0,04% Aeon Mall Co Ltd Financials 11 054 703 0,03% 0,03% ASTM SpA Industrials 1 540 321 0,02% 0,02% Ai Holdings Corp Technology 1 285 465 0,03% 0,03% Atlantia SpA Industrials 19 426 812 0,02% 0,02% Aica Kogyo Co Ltd Industrials 2 688 081 0,03% 0,03% Autogrill SpA Consumer Services 7 762 577 0,06% 0,06% Aichi Bank Ltd/The Financials 638 749 0,02% 0,02% Azimut Holding SpA Financials 8 767 019 0,04% 0,04% Aichi Corp Industrials 351 872 0,02% 0,02% Banca Carige SpA Financials 2 074 795 0,03% 0,03% Aichi Steel Corp Basic Materials 1 004 359 0,02% 0,02% Banca Generali SpA Financials 6 071 046 0,03% 0,03% Aida Engineering Ltd Industrials 1 577 883 0,03% 0,03% Banca Monte dei Paschi di Siena SpA Financials 3 766 887 0,02% 0,02% Aiful Corp Financials 4 028 058 0,03% 0,03% Banca Piccolo Credito Valtellinese Scarl Financials 1 354 765 0,03% 0,03% Aigan Co Ltd Consumer Services 101 094 0,03% 0,03% Banca Popolare dell’Emilia Romagna SC Financials 11 965 625 0,06% 0,06% Ain Pharmaciez Inc Consumer Services 4 386 799 0,09% 0,09% Banca Popolare di Milano Scarl Financials 7 185 055 0,06% 0,06% Aiphone Co Ltd Industrials 638 091 0,03% 0,03% Banca Popolare di Sondrio SCARL Financials 5 937 535 0,06% 0,06% Air Water Inc Basic Materials 8 548 368 0,05% 0,05% Banco Popolare SC Financials 11 552 116 0,06% 0,06% Airport Facilities Co Ltd Financials 441 410 0,02% 0,02% Brembo SpA Consumer Goods 3 976 241 0,04% 0,04% Aisan Industry Co Ltd Consumer Goods 385 154 0,01% 0,01% Buzzi Unicem SpA Industrials 1 441 751 0,01% 0,01% Aisin Seiki Co Ltd Consumer Goods 26 939 400 0,04% 0,04% Cementir Holding SpA Industrials 2 013 747 0,04% 0,04% Ajinomoto Co Inc Consumer Goods 29 637 069 0,05% 0,05% CIR-Compagnie Industriali Riunite SpA Industrials 2 398 497 0,03% 0,03% Akebono Brake Industry Co Ltd Consumer Goods 1 380 405 0,04% 0,04% CNH Industrial NV Industrials 38 112 108 0,00% 0,04% Akita Bank Ltd/The Financials 970 592 0,03% 0,03% Cofide SpA Industrials 1 805 917 0,05% 0,05% Alfresa Holdings Corp Health Care 7 713 480 0,04% 0,04% Credito Emiliano SpA Financials 2 986 207 0,02% 0,02% Alpen Co Ltd Consumer Services 709 112 0,02% 0,02% Danieli & C Officine Meccaniche SpA Industrials 1 899 005 0,00% 0,02% Alpha Systems Inc Technology 258 536 0,02% 0,02% Davide Campari-Milano SpA Consumer Goods 7 682 909 0,03% 0,03% Alpine Electronics Inc Consumer Goods 1 190 339 0,02% 0,02% DiaSorin SpA Health Care 5 674 074 0,04% 0,04% Alps Electric Co Ltd Industrials 6 828 778 0,05% 0,05% Ei Towers SpA Technology 1 717 244 0,02% 0,02% Amada Co Ltd Industrials 7 758 676 0,04% 0,04% Enel Green Power SpA Utilities 9 513 573 0,01% 0,01% Amano Corp Industrials 1 425 959 0,03% 0,03% Enel SpA Utilities 99 001 455 0,04% 0,04% ANA Holdings Inc Consumer Services 9 223 212 0,02% 0,02% Eni SpA Oil & Gas 209 581 681 0,04% 0,04% Anritsu Corp Technology 2 911 788 0,03% 0,03% ERG SpA Oil & Gas 3 734 257 0,03% 0,03% AOKI Holdings Inc Consumer Services 2 063 578 0,02% 0,02% Esprinet SpA Technology 684 561 0,03% 0,03% Aomori Bank Ltd/The Financials 835 177 0,03% 0,03% Exor SpA Financials 21 581 261 0,04% 0,04% Aoyama Trading Co Ltd Consumer Services 3 200 010 0,03% 0,03% Falck Renewables SpA Utilities 288 041 0,01% 0,01% Aozora Bank Ltd Financials 9 732 690 0,03% 0,03% Fiat SpA Consumer Goods 20 152 987 0,03% 0,03% Apamanshop Holdings Co Ltd Financials 6 979 302 1,55% 1,55% Fiera Milano SpA Industrials 530 035 0,02% 0,02% Aplus Financial Co Ltd Financials 239 690 0,00% 0,00% Finmeccanica SpA Industrials 2 213 554 0,01% 0,01% Arakawa Chemical Industries Ltd Basic Materials 323 473 0,03% 0,03% Fondiaria-Sai SpA Financials 15 131 327 0,07% 0,06% Arcland Sakamoto Co Ltd Consumer Services 13 523 924 0,62% 0,62% Geox SpA Consumer Goods 1 245 074 0,02% 0,02% Arcs Co Ltd Consumer Services 3 477 652 0,05% 0,05% Gruppo Editoriale L’Espresso SpA Consumer Services 1 780 815 0,04% 0,04% Ariake Japan Co Ltd Consumer Goods 1 479 473 0,03% 0,03% Gtech Spa Consumer Services 6 528 890 0,02% 0,02% Arisawa Manufacturing Co Ltd Basic Materials 377 501 0,03% 0,03% Hera SpA Utilities 6 348 576 0,03% 0,03% As One Corp Health Care 472 014 0,02% 0,02% IMMSI SpA Consumer Goods 486 309 0,04% 0,04% Asahi Co Ltd Consumer Services 2 948 799 0,13% 0,13% Indesit Co SpA Consumer Goods 2 619 739 0,03% 0,03% Asahi Diamond Industrial Co Ltd Industrials 1 372 740 0,04% 0,04% Industria Macchine Automatiche SpA Industrials 1 941 417 0,02% 0,02% Asahi Glass Co Ltd Industrials 18 724 029 0,04% 0,04% Interpump Group SpA Industrials 1 632 323 0,02% 0,02% Asahi Group Holdings Ltd Consumer Goods 36 304 751 0,04% 0,04% Intesa Sanpaolo SpA Financials 88 490 872 0,04% 0,04% Asahi Holdings Inc Basic Materials 743 087 0,02% 0,02% Iren SpA Utilities 2 368 622 0,02% 0,02% Asahi Kasei Corp Basic Materials 30 059 667 0,05% 0,05% Italcementi SpA Industrials 3 954 430 0,02% 0,04% Asahi Organic Chemicals Industry Co Ltd Basic Materials 379 232 0,03% 0,03% Juventus Football Club SpA Consumer Services 433 138 0,02% 0,02% Asatsu-DK Inc Consumer Services 4 553 096 0,08% 0,08% Luxottica Group SpA Consumer Goods 25 362 139 0,02% 0,02% Ashikaga Holdings Co Ltd Financials 1 578 576 0,02% 0,02% Maire Tecnimont SpA Oil & Gas 1 142 623 0,03% 0,03% Asics Corp Consumer Goods 10 671 895 0,05% 0,05% Mariella Burani SpA Consumer Goods 4 0,02% 0,02% ASKA Pharmaceutical Co Ltd Health Care 402 090 0,03% 0,03% Mediaset SpA Consumer Services 7 819 249 0,02% 0,02% ASKUL Corp Industrials 1 780 718 0,02% 0,02% Mediobanca SpA Financials 4 910 689 0,01% 0,01% Astellas Pharma Inc Health Care 82 745 531 0,05% 0,05% Mediolanum SpA Financials 11 396 420 0,03% 0,03% Asunaro Aoki Construction Co Ltd Industrials 206 759 0,00% 0,01% Piaggio & C SpA Consumer Goods 1 333 296 0,02% 0,02% Atsugi Co Ltd Consumer Goods 433 029 0,03% 0,03% Pirelli & C. SpA Consumer Goods 14 792 402 0,03% 0,03% Autobacs Seven Co Ltd Consumer Services 3 377 435 0,04% 0,04% Prysmian SpA Industrials 18 131 923 0,05% 0,05% Avex Group Holdings Inc Consumer Services 1 200 152 0,02% 0,02% Recordati SpA Health Care 6 558 888 0,04% 0,04% Awa Bank Ltd/The Financials 2 281 454 0,03% 0,03% Sabaf SpA Industrials 299 380 0,02% 0,02% Axell Corp Technology 1 627 928 0,13% 0,13% SAES Getters SpA Industrials 324 375 0,04% 0,03% Azbil Corp Industrials 7 073 807 0,07% 0,07% Safilo Group SpA Consumer Goods 3 976 856 0,04% 0,04% Bando Chemical Industries Ltd Basic Materials 740 802 0,03% 0,03% Saipem SpA Oil & Gas 14 684 198 0,03% 0,03% Bank of Kyoto Ltd/The Financials 8 666 236 0,05% 0,05% Saras SpA Oil & Gas 703 315 0,01% 0,01% Bank of Nagoya Ltd/The Financials 1 335 682 0,03% 0,03% Snam SpA Utilities 37 721 525 0,03% 0,03% Bank of Okinawa Ltd/The Financials 4 747 474 0,09% 0,09% Societa Iniziative Autostradali e Servizi SpA Industrials 3 992 924 0,03% 0,03% Bank of Saga Ltd/The Financials 678 347 0,03% 0,03% Sogefi SpA Consumer Goods 1 201 183 0,03% 0,03% Bank of the Ryukyus Ltd Financials 1 517 021 0,05% 0,05% Sorin SpA Health Care 2 959 987 0,04% 0,04% Bank of Yokohama Ltd/The Financials 19 618 486 0,04% 0,04% Telecom Italia Media SpA Consumer Services 429 794 0,03% 0,03% Belluna Co Ltd Consumer Services 666 935 0,02% 0,02% Telecom Italia SpA Telecommunications 50 928 284 0,04% 0,05% Benesse Holdings Inc Consumer Services 10 974 358 0,04% 0,04% Tenaris SA Basic Materials 35 999 267 0,02% 0,02% Best Denki Co Ltd Consumer Services 217 784 0,01% 0,01% Terna Rete Elettrica Nazionale SpA Utilities 4 781 724 0,01% 0,01% Bic Camera Inc Consumer Services 1 149 628 0,02% 0,02% Tod’s SpA Consumer Goods 8 294 628 0,03% 0,03% BML Inc Health Care 534 273 0,01% 0,01% Trevi Finanziaria Industriale SpA Industrials 1 197 426 0,03% 0,03% Bridgestone Corp Consumer Goods 85 276 805 0,05% 0,05% UniCredit SpA Financials 96 447 341 0,04% 0,04% Brother Industries Ltd Technology 13 553 414 0,06% 0,06% Unione di Banche Italiane SCPA Financials 20 331 912 0,05% 0,05% Bunka Shutter Co Ltd Industrials 812 723 0,03% 0,03% Unipol Gruppo Finanziario SpA Financials 11 515 554 0,05% 0,05% CAC Corp Technology 360 323 0,03% 0,03% World Duty Free SpA Consumer Services 11 555 367 0,06% 0,06% Calbee Inc Consumer Goods 2 241 684 0,01% 0,01% Yoox SpA Consumer Services 9 583 517 0,06% 0,06% Calsonic Kansei Corp Consumer Goods 877 602 0,01% 0,01% Zignago Vetro SpA Industrials 694 706 0,02% 0,02% Canon Electronics Inc Technology 738 308 0,02% 0,02% Japan Canon Inc Technology 120 443 541 0,05% 0,05% 77 Bank Ltd/The Financials 3 584 408 0,03% 0,03% Canon Marketing Japan Inc Technology 53 685 778 0,42% 0,42% ABC-Mart Inc Consumer Goods 2 811 456 0,01% 0,01% Capcom Co Ltd Technology 2 603 213 0,04% 0,04% Accordia Golf Co Ltd Consumer Services 2 410 982 0,03% 0,03% Casio Computer Co Ltd Consumer Goods 13 044 966 0,06% 0,06% Achilles Corp/Japan Basic Materials 504 027 0,03% 0,03% Cawachi Ltd Consumer Services 445 503 0,02% 0,02% Acom Co Ltd Financials 4 193 460 0,01% 0,01% Central Glass Co Ltd Industrials 1 575 805 0,04% 0,04% Activia Properties Inc Financials 2 631 826 0,02% 0,02% Central Japan Railway Co Consumer Services 71 816 889 0,05% 0,05% Adastria Holdings Co Ltd Consumer Services 683 054 0,01% 0,01% Century Tokyo Leasing Corp Industrials 5 196 645 0,02% 0,02%

Foreign exchange reserves Holdings 2013 7 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Chiba Bank Ltd/The Financials 18 129 668 0,05% 0,05% Ehime Bank Ltd/The Financials 676 095 0,03% 0,03% Chiba Kogyo Bank Ltd/The Financials 452 983 0,02% 0,02% Eighteenth Bank Ltd/The Financials 744 958 0,03% 0,03% Chiyoda Co Ltd Consumer Services 970 638 0,02% 0,02% Eiken Chemical Co Ltd Health Care 549 973 0,02% 0,02% Chiyoda Corp Industrials 8 632 180 0,04% 0,04% Eisai Co Ltd Health Care 35 894 014 0,05% 0,05% Chiyoda Integre Co Ltd Industrials 422 558 0,03% 0,03% Eizo Corp Technology 418 610 0,01% 0,01% Chofu Seisakusho Co Ltd Consumer Goods 1 032 343 0,02% 0,02% Electric Power Development Co Ltd Utilities 14 365 687 0,05% 0,05% Chori Co Ltd Consumer Goods 150 100 0,01% 0,01% Enplas Corp Industrials 2 625 534 0,03% 0,03% Chubu Electric Power Co Inc Utilities 30 773 553 0,05% 0,05% EPS Corp/Japan Health Care 446 074 0,02% 0,02% Chudenko Corp Industrials 1 146 586 0,02% 0,02% ESPEC Corp Industrials 336 056 0,03% 0,03% Chuetsu Pulp & Paper Co Ltd Basic Materials 265 520 0,02% 0,02% Exedy Corp Consumer Goods 1 721 697 0,02% 0,02% Chugai Pharmaceutical Co Ltd Health Care 16 480 152 0,02% 0,02% Ezaki Glico Co Ltd Consumer Goods 5 975 938 0,06% 0,06% Chugai Ro Co Ltd Industrials 420 215 0,03% 0,03% FamilyMart Co Ltd Consumer Services 9 596 423 0,04% 0,04% Chugoku Bank Ltd/The Financials 9 562 425 0,06% 0,06% Fancl Corp Consumer Goods 1 384 786 0,03% 0,03% Chugoku Electric Power Co Inc/The Utilities 16 289 670 0,05% 0,05% FANUC Corp Industrials 117 114 650 0,04% 0,04% Chugoku Marine Paints Ltd Basic Materials 676 384 0,03% 0,03% Fast Retailing Co Ltd Consumer Services 64 882 769 0,02% 0,02% Chukyo Bank Ltd/The Financials 273 140 0,01% 0,01% FCC Co Ltd Consumer Goods 1 016 273 0,02% 0,02% Chuo Spring Co Ltd Consumer Goods 177 783 0,02% 0,02% FDK Corp Industrials 86 583 0,01% 0,01% Citizen Holdings Co Ltd Consumer Goods 10 008 395 0,06% 0,06% FIDEA Holdings Co Ltd Financials 565 674 0,03% 0,03% CKD Corp Industrials 1 343 556 0,03% 0,03% Foster Electric Co Ltd Industrials 805 843 0,03% 0,03% Clarion Co Ltd Consumer Goods 310 082 0,01% 0,01% FP Corp Industrials 2 987 103 0,03% 0,03% Cleanup Corp Consumer Goods 324 212 0,01% 0,01% France Bed Holdings Co Ltd Consumer Goods 565 212 0,02% 0,02% CMIC Holdings Co Ltd Health Care 94 271 0,01% 0,01% Fudo Tetra Corp Industrials 384 496 0,02% 0,02% CMK Corp/Japan Industrials 216 734 0,02% 0,02% Fuji Co Ltd/Ehime Consumer Services 580 220 0,02% 0,02% Coca-Cola East Japan Co Ltd Consumer Goods 2 488 141 0,02% 0,02% Fuji Electric Co Ltd Industrials 11 700 440 0,06% 0,06% Coca-Cola West Co Ltd Consumer Goods 52 138 441 0,36% 0,36% Fuji Electronics Co Ltd Technology 265 532 0,02% 0,02% Cocokara fine Inc Consumer Services 1 715 252 0,04% 0,04% Fuji Heavy Industries Ltd Consumer Goods 57 778 369 0,04% 0,04% Colowide Co Ltd Consumer Services 1 921 876 0,04% 0,04% Fuji Media Holdings Inc Consumer Services 2 308 295 0,01% 0,01% Computer Engineering & Consulting Ltd Technology 216 572 0,03% 0,03% Fuji Oil Co Ltd Oil & Gas 302 555 0,02% 0,02% COMSYS Holdings Corp Industrials 8 648 827 0,06% 0,06% Fuji Oil Co Ltd/Osaka Consumer Goods 2 324 567 0,03% 0,03% Corona Corp Consumer Goods 229 098 0,01% 0,01% Fuji Seal International Inc Industrials 1 129 038 0,02% 0,02% Cosel Co Ltd Industrials 577 922 0,02% 0,02% Fuji Soft Inc Technology 2 118 852 0,05% 0,05% Cosmo Oil Co Ltd Oil & Gas 11 428 051 0,12% 0,12% Fujibo Holdings Inc Consumer Goods 10 534 691 0,69% 0,69% Cosmos Pharmaceutical Corp Consumer Services 2 107 538 0,02% 0,02% Fujicco Co Ltd Consumer Goods 481 631 0,02% 0,02% CREATE SD HOLDINGS Co Ltd Consumer Services 987 505 0,02% 0,02% FUJIFILM Holdings Corp Technology 37 390 527 0,04% 0,04% Credit Saison Co Ltd Financials 14 098 325 0,05% 0,05% Fujikura Kasei Co Ltd Basic Materials 286 069 0,03% 0,03% Cybozu Inc Technology 247 280 0,02% 0,02% Fujikura Ltd Industrials 7 512 608 0,07% 0,07% Dai Nippon Printing Co Ltd Consumer Services 19 969 435 0,04% 0,04% Fujimi Inc Basic Materials 723 808 0,03% 0,03% Dai Nippon Toryo Co Ltd Basic Materials 297 844 0,02% 0,02% Fujimori Kogyo Co Ltd Basic Materials 785 501 0,03% 0,03% Daibiru Corp Financials 1 738 338 0,02% 0,02% Fujita Kanko Inc Consumer Services 348 062 0,01% 0,01% Daicel Corp Basic Materials 9 190 234 0,05% 0,05% Fujitec Co Ltd Industrials 2 209 360 0,03% 0,03% Dai-Dan Co Ltd Industrials 471 125 0,03% 0,03% Fujitsu Frontech Ltd Technology 276 441 0,02% 0,02% Daido Metal Co Ltd Industrials 18 459 894 0,68% 0,68% Fujitsu General Ltd Consumer Goods 1 100 986 0,02% 0,02% Daido Steel Co Ltd Basic Materials 6 960 210 0,05% 0,05% Fujitsu Ltd Technology 27 403 356 0,04% 0,04% Daidoh Ltd Consumer Goods 289 619 0,02% 0,02% Fujiya Co Ltd Consumer Goods 666 225 0,02% 0,02% Daiei Inc/The Consumer Services 780 387 0,02% 0,02% Fukui Bank Ltd/The Financials 1 028 141 0,03% 0,03% Daifuku Co Ltd Industrials 2 637 655 0,03% 0,03% Fukuoka Financial Group Inc Financials 12 559 802 0,05% 0,05% Daihatsu Motor Co Ltd Consumer Goods 17 157 090 0,04% 0,04% Fukuyama Transporting Co Ltd Industrials 1 401 254 0,02% 0,02% Daihen Corp Industrials 1 154 898 0,03% 0,03% FULLCAST Holdings Co Ltd Industrials 10 390 051 1,71% 1,76% Daiichi Chuo KK Industrials 1 767 903 0,09% 0,09% Funai Electric Co Ltd Consumer Goods 363 497 0,01% 0,01% Daiichi Jitsugyo Co Ltd Industrials 13 131 306 0,87% 0,87% Furukawa Co Ltd Industrials 1 452 742 0,03% 0,03% Dai-ichi Life Insurance Co Ltd/The Financials 31 510 326 0,03% 0,03% Furukawa Electric Co Ltd Industrials 12 160 367 0,11% 0,11% Daiichi Sankyo Co Ltd Health Care 40 004 049 0,05% 0,05% Furuno Electric Co Ltd Industrials 272 262 0,02% 0,02% Daiken Corp Industrials 341 829 0,02% 0,02% Fuso Pharmaceutical Industries Ltd Health Care 375 076 0,02% 0,02% Daikin Industries Ltd Industrials 53 876 087 0,05% 0,05% Futaba Corp/Chiba Industrials 3 423 688 0,09% 0,09% Daikoku Denki Co Ltd Consumer Services 223 799 0,01% 0,01% Futaba Industrial Co Ltd Consumer Goods 489 712 0,03% 0,03% Daikyo Inc Financials 12 414 343 0,17% 0,17% Future Architect Inc Technology 304 887 0,02% 0,02% Dainichiseika Color & Chemicals Fuyo General Lease Co Ltd Financials 2 161 479 0,03% 0,03% Manufacturing Co Ltd Basic Materials 415 597 0,02% 0,02% Gakken Holdings Co Ltd Consumer Services 568 906 0,03% 0,03% Dainippon Sumitomo Pharma Co Ltd Health Care 11 745 607 0,03% 0,03% Gecoss Corp Industrials 207 752 0,01% 0,01% Daio Paper Corp Basic Materials 2 309 680 0,03% 0,03% Geo Holdings Corp Consumer Services 947 111 0,03% 0,03% Daisan Bank Ltd/The Financials 380 156 0,02% 0,02% Glory Ltd Industrials 3 507 610 0,03% 0,03% Daiseki Co Ltd Industrials 4 493 762 0,08% 0,08% GMO internet Inc Technology 3 114 553 0,03% 0,03% Daishi Bank Ltd/The Financials 2 807 704 0,04% 0,04% Godo Steel Ltd Basic Materials 540 276 0,03% 0,03% Daiso Co Ltd Basic Materials 449 537 0,02% 0,02% Goldcrest Co Ltd Financials 904 259 0,02% 0,02% Daisyo Corp Consumer Services 320 737 0,02% 0,02% Gourmet Kineya Co Ltd Consumer Services 204 335 0,02% 0,02% Daito Trust Construction Co Ltd Industrials 24 057 985 0,05% 0,05% Gree Inc Consumer Services 31 377 849 0,22% 0,22% Daiwa House Industry Co Ltd Consumer Goods 32 654 955 0,04% 0,04% Gulliver International Co Ltd Consumer Services 1 213 001 0,03% 0,03% Daiwa House REIT Investment Corp Financials 2 508 012 0,04% 0,04% Gun-Ei Chemical Industry Co Ltd Basic Materials 743 399 0,03% 0,03% Daiwa Industries Ltd Industrials 657 567 0,03% 0,03% Gunma Bank Ltd/The Financials 8 436 792 0,05% 0,05% Daiwa Securities Group Inc Financials 58 729 047 0,06% 0,06% Gunze Ltd Consumer Goods 1 066 699 0,03% 0,03% Daiwabo Holdings Co Ltd Industrials 15 564 915 0,68% 0,68% Gurunavi Inc Consumer Services 3 607 613 0,08% 0,08% DCM Holdings Co Ltd Consumer Services 1 074 491 0,02% 0,02% H2O Retailing Corp Consumer Services 2 330 114 0,02% 0,02% Dena Co Ltd Consumer Services 25 702 110 0,13% 0,13% Hachijuni Bank Ltd/The Financials 9 518 152 0,05% 0,05% Denki Kagaku Kogyo KK Basic Materials 6 112 508 0,05% 0,05% Hakuhodo DY Holdings Inc Consumer Services 5 833 365 0,03% 0,03% Denki Kogyo Co Ltd Technology 883 663 0,03% 0,03% Hakuto Co Ltd Industrials 290 918 0,02% 0,02% Denso Corp Consumer Goods 84 670 091 0,03% 0,03% Hamakyorex Co Ltd Industrials 418 194 0,03% 0,03% Dentsu Inc Consumer Services 26 433 699 0,04% 0,04% Hamamatsu Photonics KK Industrials 10 291 336 0,05% 0,05% Denyo Co Ltd Industrials 697 580 0,03% 0,03% Hankyu Hanshin Holdings Inc Consumer Services 14 524 191 0,03% 0,03% Descente Ltd Consumer Goods 946 580 0,03% 0,03% Hanwa Co Ltd Industrials 6 239 496 0,09% 0,09% DIC Corp Basic Materials 8 995 366 0,05% 0,05% Haseko Corp Industrials 6 843 497 0,05% 0,05% DMG Mori Seiki Co Ltd Industrials 7 906 779 0,06% 0,06% Hazama Ando Corp Industrials 298 277 0,01% 0,01% Doshisha Co Ltd Industrials 667 241 0,02% 0,02% Heiwa Corp Consumer Services 13 272 563 0,14% 0,14% Doutor Nichires Holdings Co Ltd Consumer Services 1 589 526 0,03% 0,03% Heiwa Real Estate Co Ltd Financials 1 233 180 0,03% 0,03% Dowa Holdings Co Ltd Basic Materials 7 832 618 0,04% 0,04% Heiwado Co Ltd Consumer Services 816 590 0,02% 0,02% Dr Ci:Labo Co Ltd Consumer Goods 2 950 652 0,06% 0,06% Hibiya Engineering Ltd Industrials 820 342 0,03% 0,03% DTS Corp Technology 808 936 0,03% 0,03% Higashi-Nippon Bank Ltd/The Financials 525 384 0,02% 0,02% Duskin Co Ltd Consumer Services 3 671 603 0,05% 0,05% Higo Bank Ltd/The Financials 2 531 216 0,03% 0,03% Dwango Co Ltd Technology 1 254 641 0,02% 0,02% Hikari Tsushin Inc Telecommunications 3 524 551 0,02% 0,02% Dydo Drinco Inc Consumer Goods 815 494 0,02% 0,02% Hino Motors Ltd Industrials 16 878 086 0,03% 0,03% Eagle Industry Co Ltd Industrials 807 643 0,02% 0,02% Hioki EE Corp Industrials 136 397 0,01% 0,01% Earth Chemical Co Ltd Basic Materials 1 281 424 0,03% 0,03% Hirose Electric Co Ltd Industrials 15 650 574 0,05% 0,05% East Japan Railway Co Consumer Services 90 550 269 0,05% 0,05% Hiroshima Bank Ltd/The Financials 8 285 965 0,05% 0,05% Ebara Corp Industrials 9 013 606 0,05% 0,05% HIS Co Ltd Consumer Services 2 090 972 0,02% 0,02% EDION Corp Consumer Services 1 128 865 0,03% 0,03% Hisaka Works Ltd Industrials 572 600 0,03% 0,03%

Foreign exchange reserves Holdings 2013 8 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Hisamitsu Pharmaceutical Co Inc Health Care 13 705 465 0,05% 0,05% Joyo Bank Ltd/The Financials 9 298 982 0,04% 0,04% Hitachi Capital Corp Financials 3 326 046 0,02% 0,02% JSP Corp Basic Materials 462 352 0,02% 0,02% Hitachi Chemical Co Ltd Basic Materials 6 785 642 0,03% 0,03% JSR Corp Basic Materials 11 998 954 0,04% 0,04% Hitachi Construction Machinery Co Ltd Industrials 5 585 133 0,02% 0,02% JTEKT Corp Consumer Goods 12 925 585 0,04% 0,04% Hitachi High-Technologies Corp Technology 2 591 536 0,01% 0,01% Juki Corp Industrials 515 513 0,03% 0,03% Hitachi Koki Co Ltd Industrials 1 054 733 0,02% 0,02% Juroku Bank Ltd/The Financials 18 582 033 0,22% 0,22% Hitachi Kokusai Electric Inc Technology 4 356 842 0,05% 0,05% Justsystems Corp Technology 29 647 384 0,74% 0,74% Hitachi Ltd Industrials 99 428 344 0,04% 0,04% JVC Kenwood Corp Consumer Goods 1 498 354 0,09% 0,09% Hitachi Metals Ltd Basic Materials 5 026 391 0,01% 0,01% JX Holdings Inc Oil & Gas 35 847 603 0,05% 0,05% Hitachi Transport System Ltd Industrials 1 214 351 0,01% 0,01% kabu.com Securities Co Ltd Financials 1 147 856 0,02% 0,02% Hitachi Zosen Corp Industrials 6 310 090 0,09% 0,09% Kadokawa Corp Consumer Services 1 689 748 0,03% 0,03% Hodogaya Chemical Co Ltd Basic Materials 214 898 0,02% 0,02% Kaga Electronics Co Ltd Technology 590 229 0,03% 0,03% Hogy Medical Co Ltd Health Care 1 566 916 0,03% 0,03% Kagoshima Bank Ltd/The Financials 5 513 817 0,07% 0,07% Hokkaido Gas Co Ltd Utilities 329 707 0,03% 0,03% Kajima Corp Industrials 12 517 261 0,05% 0,05% Hokkan Holdings Ltd Industrials 255 130 0,02% 0,02% Kakaku.com Inc Consumer Services 4 946 805 0,02% 0,02% Hokkoku Bank Ltd/The Financials 4 961 535 0,07% 0,07% Kaken Pharmaceutical Co Ltd Health Care 14 227 270 0,15% 0,15% Hokuetsu Bank Ltd/The Financials 627 032 0,02% 0,02% Kamei Corp Consumer Services 382 349 0,02% 0,02% Hokuetsu Kishu Paper Co Ltd Basic Materials 1 228 609 0,02% 0,02% Kamigumi Co Ltd Industrials 8 068 353 0,05% 0,05% Hokuhoku Financial Group Inc Financials 8 485 105 0,05% 0,05% Kanaden Corp Industrials 288 494 0,02% 0,02% Hokuriku Electric Industry Co Ltd Industrials 358 799 0,04% 0,04% Kanamoto Co Ltd Industrials 1 542 904 0,03% 0,03% Hokuriku Electric Power Co Utilities 7 454 396 0,04% 0,04% Kandenko Co Ltd Industrials 1 437 619 0,02% 0,02% Hokuto Corp Consumer Goods 1 140 006 0,03% 0,03% Kaneka Corp Basic Materials 2 947 275 0,02% 0,02% Honda Motor Co Ltd Consumer Goods 235 514 130 0,05% 0,05% Kanematsu Corp Industrials 1 258 220 0,03% 0,03% Honeys Co Ltd Consumer Goods 264 209 0,02% 0,02% Kanematsu Electronics Ltd Technology 352 611 0,02% 0,02% Horiba Ltd Industrials 2 569 544 0,03% 0,03% Kanematsu-NNK Corp Industrials 6 285 904 1,59% 1,59% Hoshizaki Electric Co Ltd Industrials 7 987 543 0,05% 0,05% Kansai Electric Power Co Inc/The Utilities 30 266 040 0,05% 0,05% Hosiden Corp Industrials 950 794 0,04% 0,04% Kansai Paint Co Ltd Basic Materials 12 745 551 0,05% 0,05% Hosokawa Micron Corp Industrials 520 016 0,03% 0,03% Kansai Urban Banking Corp Financials 1 168 982 0,02% 0,02% House Foods Group Inc Consumer Goods 2 155 419 0,02% 0,02% Kanto Denka Kogyo Co Ltd Basic Materials 252 187 0,03% 0,03% Hoya Corp Industrials 42 486 236 0,06% 0,06% Kanto Natural Gas Development Ltd Oil & Gas 490 404 0,02% 0,02% Hulic Co Ltd Financials 14 684 311 0,03% 0,03% Kao Corp Consumer Goods 55 674 641 0,06% 0,06% Hyakugo Bank Ltd/The Financials 2 308 583 0,04% 0,04% Kappa Create Holdings Co Ltd Consumer Services 799 124 0,03% 0,03% Hyakujushi Bank Ltd/The Financials 2 049 239 0,03% 0,03% Kasumi Co Ltd Consumer Services 487 749 0,02% 0,02% Ibiden Co Ltd Industrials 7 433 010 0,04% 0,04% Katakura Industries Co Ltd Industrials 483 247 0,02% 0,02% IBJ Leasing Co Ltd Financials 1 957 375 0,03% 0,03% Kato Sangyo Co Ltd Consumer Goods 842 277 0,02% 0,02% Ichibanya Co Ltd Consumer Services 423 332 0,01% 0,01% Kato Works Co Ltd Industrials 741 379 0,03% 0,03% Ichikoh Industries Ltd Consumer Goods 182 055 0,02% 0,02% Kawasaki Heavy Industries Ltd Industrials 11 327 615 0,03% 0,03% Ichiyoshi Securities Co Ltd Financials 1 450 266 0,03% 0,03% Kawasaki Kisen Kaisha Ltd Industrials 5 266 422 0,04% 0,04% Icom Inc Technology 352 149 0,02% 0,02% KDDI Corp Telecommunications 113 158 398 0,03% 0,03% Idec Corp/Japan Industrials 615 343 0,03% 0,03% Keihan Electric Railway Co Ltd Consumer Services 8 473 561 0,06% 0,06% Idemitsu Kosan Co Ltd Oil & Gas 7 735 183 0,04% 0,04% Keihanshin Building Co Ltd Financials 227 482 0,01% 0,01% IHI Corp Industrials 19 103 954 0,05% 0,05% Keihin Corp Consumer Goods 1 392 481 0,02% 0,02% Iida Group Holdings Co Ltd Financials 1 338 526 0,00% 0,00% Keisei Electric Railway Co Ltd Consumer Services 10 772 678 0,06% 0,06% Iino Kaiun Kaisha Ltd Industrials 832 926 0,02% 0,02% Keiyo Bank Ltd/The Financials 4 293 463 0,05% 0,05% Inaba Denki Sangyo Co Ltd Industrials 1 931 141 0,04% 0,04% Keiyo Co Ltd Consumer Services 257 179 0,02% 0,02% Inaba Seisakusho Co Ltd Consumer Goods 156 974 0,01% 0,01% Kenedix Inc Financials 3 050 926 0,04% 0,04% Inabata & Co Ltd Basic Materials 1 296 663 0,03% 0,03% Kewpie Corp Consumer Goods 4 182 845 0,03% 0,03% Ines Corp Technology 621 317 0,03% 0,03% KEY Coffee Inc Consumer Goods 411 181 0,02% 0,02% Information Services International-Dentsu Ltd Technology 343 375 0,02% 0,02% Keyence Corp Industrials 62 183 697 0,04% 0,04% Inpex Corp Oil & Gas 39 682 584 0,03% 0,03% Kikkoman Corp Consumer Goods 11 260 645 0,05% 0,05% Internet Initiative Japan Inc Technology 1 106 873 0,01% 0,01% Kinden Corp Industrials 5 904 940 0,04% 0,04% Inui Steamship Co Ltd Industrials 202 673 0,03% 0,03% Kinki Sharyo Co Ltd/The Industrials 208 260 0,02% 0,02% Iseki & Co Ltd Industrials 1 232 476 0,03% 0,03% Kintetsu World Express Inc Industrials 1 049 902 0,01% 0,01% Isetan Mitsukoshi Holdings Ltd Consumer Services 5 890 349 0,02% 0,02% Kinugawa Rubber Industrial Co Ltd Consumer Goods 783 400 0,04% 0,04% Ishihara Sangyo Kaisha Ltd Basic Materials 763 371 0,03% 0,03% Kirin Holdings Co Ltd Consumer Goods 37 970 679 0,05% 0,05% Isuzu Motors Ltd Industrials 26 613 791 0,04% 0,04% Kisoji Co Ltd Consumer Services 547 255 0,02% 0,02% IT Holdings Corp Technology 2 630 061 0,03% 0,03% Kissei Pharmaceutical Co Ltd Health Care 2 688 912 0,03% 0,03% Ito En Ltd Consumer Goods 4 192 508 0,04% 0,04% Kitagawa Iron Works Co Ltd Industrials 454 732 0,04% 0,04% ITOCHU Corp Industrials 59 737 061 0,05% 0,05% Kita-Nippon Bank Ltd/The Financials 398 304 0,03% 0,03% Itochu Enex Co Ltd Consumer Services 645 024 0,02% 0,02% Kitano Construction Corp Industrials 338 019 0,04% 0,04% Itochu Techno-Solutions Corp Technology 3 397 332 0,02% 0,02% Kitz Corp Industrials 1 097 176 0,03% 0,03% Itochu-Shokuhin Co Ltd Consumer Services 316 777 0,01% 0,01% Kiyo Bank Ltd/The Financials 2 923 511 0,05% 0,05% Itoham Foods Inc Consumer Goods 1 110 337 0,02% 0,02% Koa Corp Industrials 815 892 0,03% 0,03% Iwasaki Electric Co Ltd Consumer Goods 285 434 0,03% 0,03% Koatsu Gas Kogyo Co Ltd Basic Materials 387 948 0,02% 0,02% Iwatani Corp Utilities 2 311 758 0,03% 0,03% Kobayashi Pharmaceutical Co Ltd Health Care 6 302 182 0,04% 0,04% Iyo Bank Ltd/The Financials 1 011 690 0,01% 0,01% Kobe Steel Ltd Basic Materials 6 556 042 0,02% 0,02% Izumi Co Ltd Consumer Services 3 942 976 0,03% 0,03% Kohnan Shoji Co Ltd Consumer Services 11 091 446 0,51% 0,51% Izumiya Co Ltd Consumer Services 696 356 0,03% 0,03% Koito Manufacturing Co Ltd Consumer Goods 4 170 516 0,02% 0,02% Izutsuya Co Ltd Consumer Services 10 890 488 1,87% 1,87% Kojima Co Ltd Consumer Services 128 766 0,01% 0,01% J Front Retailing Co Ltd Consumer Services 2 085 974 0,01% 0,01% Kokuyo Co Ltd Consumer Goods 7 467 689 0,13% 0,13% Jaccs Co Ltd Financials 1 277 499 0,03% 0,03% Komatsu Ltd Industrials 62 600 882 0,05% 0,05% Jafco Co Ltd Financials 5 084 598 0,03% 0,03% Komatsu Seiren Co Ltd Consumer Goods 420 215 0,03% 0,03% Jalux Inc Industrials 100 782 0,01% 0,01% Komeri Co Ltd Consumer Services 2 686 200 0,03% 0,03% Janome Sewing Machine Co Ltd Consumer Goods 292 880 0,03% 0,03% Komori Corp Industrials 2 178 877 0,03% 0,03% Japan Airlines Co Ltd Consumer Services 11 923 131 0,02% 0,02% Konami Corp Consumer Goods 8 174 025 0,04% 0,04% Japan Airport Terminal Co Ltd Industrials 4 200 231 0,04% 0,04% Konica Minolta Inc Technology 35 149 374 0,11% 0,11% Japan Aviation Electronics Industry Ltd Industrials 1 404 718 0,02% 0,02% Konishi Co Ltd Basic Materials 683 311 0,03% 0,03% Japan Cash Machine Co Ltd Industrials 705 297 0,02% 0,02% Kose Corp Consumer Goods 1 773 676 0,02% 0,02% Japan Digital Laboratory Co Ltd Technology 578 557 0,02% 0,02% Kourakuen Corp Consumer Services 194 499 0,02% 0,02% Japan Petroleum Exploration Co Oil & Gas 2 783 259 0,02% 0,02% Krosaki Harima Corp Industrials 1 825 510 0,14% 0,14% Japan Pulp & Paper Co Ltd Basic Materials 457 157 0,02% 0,02% K’s Holdings Corp Consumer Services 4 246 478 0,04% 0,04% Japan Pure Chemical Co Ltd Basic Materials 236 342 0,03% 0,03% Kubota Corp Industrials 36 537 670 0,03% 0,03% Japan Radio Co Ltd Technology 129 181 0,00% 0,00% Kumagai Gumi Co Ltd Industrials 549 338 0,01% 0,01% Japan Securities Finance Co Ltd Financials 1 410 045 0,03% 0,03% Kumiai Chemical Industry Co Ltd Basic Materials 701 609 0,02% 0,02% Japan Steel Works Ltd/The Industrials 5 294 705 0,04% 0,04% Kurabo Industries Ltd Consumer Goods 794 483 0,03% 0,03% Japan Transcity Corp Industrials 391 354 0,03% 0,03% Kuraray Co Ltd Basic Materials 13 951 573 0,05% 0,05% Japan Vilene Co Ltd Consumer Goods 684 581 0,04% 0,04% Kureha Corp Basic Materials 1 739 042 0,03% 0,03% Japan Wool Textile Co Ltd/The Consumer Goods 1 190 685 0,03% 0,03% Kurimoto Ltd Basic Materials 388 064 0,02% 0,02% JBCC Holdings Inc Technology 301 279 0,04% 0,04% Kurita Water Industries Ltd Industrials 8 363 012 0,06% 0,06% Jeol Ltd Industrials 689 891 0,03% 0,03% Kuroda Electric Co Ltd Industrials 883 525 0,03% 0,03% JFE Holdings Inc Basic Materials 20 017 183 0,02% 0,02% KYB Co Ltd Consumer Goods 2 138 650 0,03% 0,03% JGC Corp Industrials 29 286 599 0,05% 0,05% Kyocera Corp Industrials 54 304 671 0,05% 0,05% J-Oil Mills Inc Consumer Goods 441 052 0,02% 0,02% Kyodo Printing Co Ltd Industrials 451 962 0,03% 0,03% Joshin Denki Co Ltd Consumer Services 792 867 0,03% 0,03% Kyoei Steel Ltd Basic Materials 1 030 161 0,02% 0,02%

Foreign exchange reserves Holdings 2013 9 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Kyokuto Kaihatsu Kogyo Co Ltd Industrials 1 002 605 0,03% 0,03% Mitsumi Electric Co Ltd Industrials 1 837 579 0,04% 0,04% Kyokuto Securities Co Ltd Financials 1 205 451 0,03% 0,03% Mitsuuroko Group Holdings Co Ltd Utilities 268 372 0,01% 0,01% Kyokuyo Co Ltd Consumer Goods 506 682 0,03% 0,03% Miura Co Ltd Industrials 1 895 440 0,03% 0,03% KYORIN Holdings Inc Health Care 31 783 541 0,33% 0,33% Miyazaki Bank Ltd/The Financials 3 326 161 0,11% 0,11% Kyoritsu Maintenance Co Ltd Financials 523 652 0,02% 0,02% Mizuho Financial Group Inc Financials 174 365 193 0,05% 0,05% Kyosan Electric Manufacturing Co Ltd Industrials 380 560 0,03% 0,03% Mizuno Corp Consumer Goods 1 232 938 0,03% 0,03% Kyoto Kimono Yuzen Co Ltd Consumer Services 187 884 0,02% 0,02% Mochida Pharmaceutical Co Ltd Health Care 21 357 067 0,26% 0,26% Kyowa Exeo Corp Industrials 2 928 516 0,03% 0,03% Modec Inc Oil & Gas 784 439 0,01% 0,01% Kyowa Hakko Kirin Co Ltd Health Care 10 302 534 0,03% 0,03% Monex Group Inc Financials 2 063 491 0,03% 0,03% Kyudenko Corp Industrials 1 030 334 0,04% 0,04% Morinaga & Co Ltd/Japan Consumer Goods 1 009 901 0,03% 0,03% Kyushu Electric Power Co Inc Utilities 13 393 294 0,04% 0,04% Morinaga Milk Industry Co Ltd Consumer Goods 1 368 699 0,03% 0,03% Lawson Inc Consumer Services 16 535 449 0,04% 0,04% Morita Holdings Corp Industrials 714 365 0,03% 0,03% Leopalace21 Corp Consumer Goods 1 537 270 0,02% 0,02% Mory Industries Inc Basic Materials 335 364 0,03% 0,03% Lintec Corp Industrials 1 855 294 0,02% 0,02% MOS Food Services Inc Consumer Services 1 474 723 0,04% 0,04% Lion Corp Consumer Goods 3 659 331 0,04% 0,04% Moshi Moshi Hotline Inc Consumer Services 910 735 0,02% 0,02% LIXIL Group Corp Industrials 25 444 388 0,05% 0,05% Mr Max Corp Consumer Services 150 025 0,02% 0,02% Look Inc Consumer Goods 9 826 560 1,59% 1,59% MS&AD Insurance Group Holdings Financials 49 020 558 0,05% 0,05% M3 Inc Consumer Services 3 650 327 0,02% 0,02% Murata Manufacturing Co Ltd Industrials 59 842 501 0,05% 0,05% Mabuchi Motor Co Ltd Industrials 5 339 267 0,04% 0,04% Musashi Seimitsu Industry Co Ltd Consumer Goods 1 233 838 0,03% 0,03% Macnica Inc Industrials 583 914 0,02% 0,02% Musashino Bank Ltd/The Financials 24 945 343 0,36% 0,36% Macromill Inc Consumer Services 469 440 0,02% 0,02% Nabtesco Corp Industrials 2 799 507 0,02% 0,02% Maeda Corp Industrials 2 249 765 0,03% 0,03% Nachi-Fujikoshi Corp Industrials 6 024 309 0,07% 0,07% Maeda Road Construction Co Ltd Industrials 2 791 195 0,03% 0,03% Nagaileben Co Ltd Consumer Goods 1 043 633 0,03% 0,03% Maezawa Kasei Industries Co Ltd Industrials 291 368 0,03% 0,03% Nagano Bank Ltd/The Financials 388 699 0,04% 0,04% Maezawa Kyuso Industries Co Ltd Industrials 363 232 0,04% 0,04% Nagase & Co Ltd Basic Materials 10 229 077 0,10% 0,10% Makino Milling Machine Co Ltd Industrials 4 811 228 0,08% 0,08% Nagatanien Co Ltd Consumer Goods 422 985 0,02% 0,02% Makita Corp Consumer Goods 19 149 323 0,04% 0,04% Nagoya Railroad Co Ltd Consumer Services 7 852 878 0,05% 0,05% Mandom Corp Consumer Goods 1 383 938 0,03% 0,03% Nakamuraya Co Ltd Consumer Goods 411 441 0,03% 0,03% Mars Engineering Corp Consumer Services 504 950 0,02% 0,02% Nakayama Steel Works Ltd Basic Materials 219 343 0,01% 0,01% Marubeni Corp Industrials 38 488 436 0,05% 0,05% Namco Bandai Holdings Inc Consumer Goods 38 247 771 0,13% 0,13% Marudai Food Co Ltd Consumer Goods 711 133 0,03% 0,03% Nanto Bank Ltd/The Financials 4 695 726 0,08% 0,08% Maruetsu Inc/The Consumer Services 300 442 0,01% 0,01% NDS Co Ltd Industrials 218 362 0,02% 0,02% Maruha Nichiro Holdings Inc Consumer Goods 1 968 379 0,04% 0,04% NEC Capital Solutions Ltd Technology 564 427 0,02% 0,02% Marui Group Co Ltd Consumer Services 2 206 958 0,01% 0,01% NEC Corp Technology 46 156 546 0,13% 0,13% Maruichi Steel Tube Ltd Basic Materials 7 665 455 0,05% 0,05% NEC Fielding Ltd Technology 445 347 0,01% 0,01% Marusan Securities Co Ltd Financials 1 277 118 0,03% 0,03% NEC Networks & System Integration Corp Technology 1 174 292 0,02% 0,02% Maruzen Showa Unyu Co Ltd Industrials 336 172 0,02% 0,02% NET One Systems Co Ltd Technology 1 497 534 0,04% 0,04% Matsuda Sangyo Co Ltd Basic Materials 259 443 0,01% 0,01% Neturen Co Ltd Basic Materials 444 371 0,02% 0,02% Matsui Securities Co Ltd Financials 3 470 281 0,02% 0,02% NHK Spring Co Ltd Consumer Goods 8 146 509 0,05% 0,05% Matsumotokiyoshi Holdings Co Ltd Consumer Services 50 571 225 0,44% 0,44% Nice Holdings Inc Industrials 503 046 0,04% 0,04% Matsuya Co Ltd Consumer Services 550 983 0,02% 0,02% Nichias Corp Industrials 1 579 269 0,03% 0,03% Matsuya Foods Co Ltd Consumer Services 309 741 0,02% 0,02% Nichicon Corp Industrials 1 527 781 0,03% 0,03% Max Co Ltd Industrials 1 066 699 0,03% 0,03% Nichiden Corp Industrials 616 192 0,03% 0,03% Mazda Motor Corp Consumer Goods 16 245 571 0,02% 0,02% Nichiha Corp Industrials 499 755 0,02% 0,02% Medipal Holdings Corp Health Care 9 582 096 0,05% 0,05% Nichii Gakkan Co Industrials 564 450 0,02% 0,02% Megachips Corp Technology 14 154 540 0,63% 0,63% Nichi-iko Pharmaceutical Co Ltd Health Care 880 615 0,02% 0,02% Megmilk Snow Brand Co Ltd Consumer Goods 3 716 995 0,07% 0,07% Nichirei Corp Consumer Goods 4 114 872 0,04% 0,04% Meidensha Corp Industrials 4 095 477 0,08% 0,08% Nidec Copal Electronics Corp Industrials 376 900 0,02% 0,02% MEIJI Holdings Co Ltd Consumer Goods 13 761 162 0,05% 0,05% Nidec Corp Industrials 36 038 307 0,04% 0,04% Meisei Industrial Co Ltd Industrials 272 389 0,02% 0,02% Nifco Inc/Japan Consumer Goods 6 062 648 0,07% 0,07% Meitec Corp Industrials 2 054 896 0,04% 0,04% Nihon Dempa Kogyo Co Ltd Industrials 322 446 0,03% 0,03% Meiwa Estate Co Ltd Financials 123 883 0,02% 0,02% Nihon Kohden Corp Health Care 3 283 505 0,03% 0,03% Melco Holdings Inc Technology 290 029 0,02% 0,02% Nihon Nohyaku Co Ltd Basic Materials 1 821 873 0,03% 0,03% Michinoku Bank Ltd/The Financials 558 862 0,03% 0,03% Nihon Parkerizing Co Ltd Basic Materials 2 280 588 0,03% 0,03% Mie Bank Ltd/The Financials 353 777 0,02% 0,02% Nihon Unisys Ltd Technology 1 172 099 0,02% 0,02% Milbon Co Ltd Consumer Goods 1 192 874 0,03% 0,03% Nihon Yamamura Glass Co Ltd Industrials 354 296 0,03% 0,03% Mimasu Semiconductor Industry Co Ltd Technology 217 704 0,01% 0,01% Nikkiso Co Ltd Health Care 2 063 439 0,03% 0,03% Minato Bank Ltd/The Financials 666 687 0,02% 0,02% Nikon Corp Consumer Goods 20 803 780 0,04% 0,04% Minebea Co Ltd Industrials 11 762 837 0,07% 0,07% Nintendo Co Ltd Consumer Goods 22 157 899 0,02% 0,02% Ministop Co Ltd Consumer Services 559 538 0,02% 0,02% Nippo Corp Industrials 2 420 160 0,02% 0,02% Miraca Holdings Inc Health Care 8 875 304 0,05% 0,05% Nippon Beet Sugar Manufacturing Co Ltd Consumer Goods 493 868 0,03% 0,03% Mirait Holdings Corp Industrials 938 536 0,02% 0,02% Nippon Carbon Co Ltd Industrials 537 159 0,04% 0,04% Misawa Homes Co Ltd Consumer Goods 1 213 370 0,03% 0,03% Nippon Ceramic Co Ltd Industrials 502 942 0,02% 0,02% MISUMI Group Inc Industrials 3 395 716 0,02% 0,02% Nippon Chemical Industrial Co Ltd Basic Materials 222 864 0,03% 0,03% Mitsuba Corp Consumer Goods 1 381 052 0,03% 0,03% Nippon Chemi-Con Corp Industrials 886 145 0,02% 0,02% Mitsubishi Chemical Holdings Corp Basic Materials 19 005 769 0,04% 0,04% Nippon Chemiphar Co Ltd Health Care 324 858 0,03% 0,03% Mitsubishi Corp Industrials 89 914 931 0,05% 0,05% Nippon Coke & Engineering Co Ltd Basic Materials 3 128 666 0,13% 0,13% Mitsubishi Electric Corp Industrials 80 611 960 0,05% 0,05% Nippon Denko Co Ltd Basic Materials 1 390 634 0,07% 0,07% Mitsubishi Estate Co Ltd Financials 111 899 305 0,04% 0,04% Nippon Densetsu Kogyo Co Ltd Industrials 1 653 152 0,03% 0,03% Mitsubishi Gas Chemical Co Inc Basic Materials 11 035 139 0,05% 0,05% Nippon Electric Glass Co Ltd Industrials 7 280 566 0,05% 0,05% Mitsubishi Heavy Industries Ltd Industrials 63 504 949 0,05% 0,05% Nippon Express Co Ltd Industrials 13 103 657 0,04% 0,04% Mitsubishi Kakoki Kaisha Ltd Industrials 286 069 0,04% 0,04% Nippon Flour Mills Co Ltd Consumer Goods 1 554 794 0,03% 0,03% Mitsubishi Logistics Corp Industrials 9 491 715 0,06% 0,06% Nippon Gas Co Ltd Utilities 464 637 0,01% 0,01% Mitsubishi Materials Corp Industrials 13 701 013 0,05% 0,05% Nippon Kanzai Co Ltd Financials 15 983 028 0,68% 0,68% Mitsubishi Motors Corp Consumer Goods 13 646 096 0,03% 0,03% Nippon Kasei Chemical Co Ltd Basic Materials 108 806 0,01% 0,01% Mitsubishi Paper Mills Ltd Basic Materials 520 420 0,03% 0,03% Nippon Kayaku Co Ltd Basic Materials 9 313 528 0,06% 0,06% Mitsubishi Pencil Co Ltd Consumer Goods 917 684 0,02% 0,02% Nippon Koei Co Ltd Industrials 11 174 421 0,50% 0,50% Mitsubishi Shokuhin Co Ltd Consumer Goods 9 785 525 0,11% 0,11% Nippon Konpo Unyu Soko Co Ltd Industrials 1 637 279 0,02% 0,02% Mitsubishi Steel Manufacturing Co Ltd Basic Materials 724 351 0,03% 0,03% Nippon Light Metal Holdings Co Ltd Basic Materials 1 377 011 0,03% 0,03% Mitsubishi Tanabe Pharma Corp Health Care 12 134 531 0,03% 0,03% Nippon Meat Packers Inc Consumer Goods 12 300 978 0,05% 0,05% Mitsubishi UFJ Financial Group Inc Financials 313 070 157 0,06% 0,06% Nippon Paint Co Ltd Basic Materials 15 042 359 0,06% 0,06% Mitsubishi UFJ Lease & Finance Co Ltd Financials 12 278 639 0,04% 0,04% Nippon Paper Industries Co Ltd Basic Materials 6 274 532 0,05% 0,05% Mitsuboshi Belting Co Ltd Industrials 833 965 0,03% 0,03% Nippon Parking Development Co Ltd Industrials 320 986 0,02% 0,02% Mitsui & Co Ltd Industrials 78 254 082 0,05% 0,05% Nippon Prologis REIT Inc Financials 1 045 226 0,01% 0,01% Mitsui Chemicals Inc Basic Materials 5 893 858 0,04% 0,04% Nippon Road Co Ltd/The Industrials 684 581 0,02% 0,02% Mitsui Engineering & Shipbuilding Co Ltd Industrials 5 974 726 0,06% 0,06% Nippon Seiki Co Ltd Consumer Goods 1 174 061 0,02% 0,02% Mitsui Fudosan Co Ltd Financials 102 465 723 0,05% 0,05% Nippon Sharyo Ltd Industrials 1 747 585 0,04% 0,04% Mitsui High-Tec Inc Technology 385 709 0,02% 0,02% Nippon Sheet Glass Co Ltd Industrials 4 752 640 0,07% 0,07% Mitsui Home Co Ltd Consumer Goods 327 629 0,02% 0,02% Nippon Shinyaku Co Ltd Health Care 1 655 808 0,02% 0,02% Mitsui Knowledge Industry Co Ltd Technology 215 487 0,02% 0,02% Nippon Shokubai Co Ltd Basic Materials 6 304 837 0,05% 0,05% Mitsui Mining & Smelting Co Ltd Basic Materials 7 644 098 0,07% 0,07% Nippon Signal Co Ltd/The Industrials 964 716 0,03% 0,03% Mitsui OSK Lines Ltd Industrials 16 115 119 0,05% 0,05% Nippon Soda Co Ltd Basic Materials 1 778 986 0,03% 0,03% Mitsui Sugar Co Ltd Consumer Goods 1 002 743 0,03% 0,03% Nippon Steel & Sumikin Bussan Corp Basic Materials 1 126 067 0,02% 0,02% Mitsui-Soko Co Ltd Industrials 1 183 066 0,03% 0,03% NIPPON STEEL & SUMIKIN TEXENG CO LTD Industrials 529 713 0,02% 0,02%

Foreign exchange reserves Holdings 2013 10 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Nippon Steel & Sumitomo Metal Corp Basic Materials 65 109 168 0,03% 0,03% OSG Corp Industrials 3 061 807 0,03% 0,03% Nippon Suisan Kaisha Ltd Consumer Goods 3 206 077 0,08% 0,08% Otsuka Corp Technology 8 591 948 0,04% 0,04% Nippon Synthetic Chemical Otsuka Holdings Co Ltd Health Care 43 921 212 0,04% 0,04% Industry Co Ltd/The Basic Materials 1 088 633 0,02% 0,02% Oyo Corp Industrials 890 486 0,03% 0,03% Nippon Telegraph & Telephone Corp Telecommunications 84 714 710 0,02% 0,02% Pacific Industrial Co Ltd Consumer Goods 464 776 0,02% 0,02% Nippon Television Holdings Inc Consumer Services 2 214 197 0,01% 0,01% Pacific Metals Co Ltd Basic Materials 1 307 745 0,03% 0,03% Nippon Thompson Co Ltd Industrials 740 340 0,03% 0,03% Pack Corp/The Industrials 334 076 0,02% 0,02% Nippon Valqua Industries Ltd Basic Materials 441 052 0,03% 0,03% Pal Co Ltd Consumer Services 415 366 0,01% 0,01% Nippon Yakin Kogyo Co Ltd Basic Materials 756 040 0,02% 0,02% Paltac Corp Consumer Goods 3 195 785 0,06% 0,06% Nippon Yusen KK Industrials 10 531 227 0,03% 0,03% PanaHome Corp Consumer Goods 1 073 626 0,01% 0,01% Nipro Corp Health Care 4 040 157 0,04% 0,04% Panasonic Corp Consumer Goods 83 222 010 0,05% 0,05% Nishimatsu Construction Co Ltd Industrials 1 831 513 0,03% 0,03% Panasonic Industrial Devices SUNX Co Ltd Industrials 158 712 0,01% 0,01% Nishimatsuya Chain Co Ltd Consumer Services 395 250 0,01% 0,01% Panasonic Information Systems Technology 157 407 0,01% 0,01% Nishi-Nippon City Bank Ltd/The Financials 7 138 513 0,05% 0,05% Paramount Bed Holdings Co Ltd Health Care 1 037 694 0,02% 0,02% Nishi-Nippon Railroad Co Ltd Consumer Services 5 388 907 0,06% 0,06% Parco Co Ltd Consumer Services 143 006 0,00% 0,00% Nishio Rent All Co Ltd Industrials 829 116 0,02% 0,02% Paris Miki Holdings Inc Consumer Services 312 252 0,02% 0,02% Nissan Chemical Industries Ltd Basic Materials 8 092 366 0,05% 0,05% Park24 Co Ltd Consumer Services 5 585 762 0,03% 0,03% Nissan Motor Co Ltd Consumer Goods 68 267 783 0,03% 0,03% Pasona Group Inc Industrials 222 113 0,01% 0,01% Nissan Shatai Co Ltd Consumer Goods 1 676 876 0,01% 0,01% Penta-Ocean Construction Co Ltd Industrials 1 576 152 0,03% 0,03% Nissen Holdings Co Ltd Consumer Services 443 073 0,03% 0,03% Pigeon Corp Consumer Goods 2 413 926 0,02% 0,02% Nissha Printing Co Ltd Industrials 1 524 871 0,04% 0,04% Pilot Corp Consumer Goods 1 460 650 0,03% 0,03% Nisshin Oillio Group Ltd/The Consumer Goods 1 026 525 0,03% 0,03% Piolax Inc Consumer Goods 503 046 0,02% 0,02% Nisshin Seifun Group Inc Consumer Goods 7 833 476 0,05% 0,05% Pioneer Corp Consumer Goods 2 384 834 0,05% 0,05% Nisshin Steel Holdings Co Ltd Basic Materials 2 519 312 0,03% 0,03% Plenus Co Ltd Consumer Services 461 590 0,01% 0,01% Nisshinbo Holdings Inc Consumer Goods 6 769 382 0,06% 0,06% Pocket Card Co Ltd Financials 238 276 0,01% 0,01% Nissin Corp Industrials 341 713 0,02% 0,02% Pola Orbis Holdings Inc Consumer Goods 4 053 138 0,03% 0,03% Nissin Electric Co Ltd Industrials 445 381 0,01% 0,01% Press Kogyo Co Ltd Consumer Goods 855 668 0,03% 0,03% Nissin Foods Holdings Co Ltd Consumer Goods 11 174 017 0,04% 0,04% Prima Meat Packers Ltd Consumer Goods 750 268 0,03% 0,03% Nissin Kogyo Co Ltd Consumer Goods 2 520 642 0,03% 0,03% Pronexus Inc Industrials 455 858 0,03% 0,03% Nitori Holdings Co Ltd Consumer Services 11 452 179 0,03% 0,03% Qol Co Ltd Consumer Services 12 767 416 1,10% 1,10% Nitta Corp Industrials 1 203 153 0,03% 0,03% Raito Kogyo Co Ltd Industrials 776 370 0,03% 0,03% Nittetsu Mining Co Ltd Basic Materials 509 279 0,02% 0,02% Rengo Co Ltd Industrials 5 444 147 0,05% 0,05% Nitto Boseki Co Ltd Industrials 2 370 634 0,03% 0,03% Resona Holdings Inc Financials 32 312 572 0,04% 0,04% Nitto Denko Corp Basic Materials 20 274 898 0,05% 0,05% Resorttrust Inc Consumer Services 3 389 505 0,03% 0,03% Nitto Kogyo Corp Industrials 925 742 0,02% 0,02% Rhythm Watch Co Ltd Consumer Goods 349 967 0,03% 0,03% Nitto Kohki Co Ltd Industrials 741 841 0,03% 0,03% Ricoh Co Ltd Technology 20 908 684 0,04% 0,04% Nittoc Construction Co Ltd Industrials 14 450 191 1,43% 1,43% Ricoh Leasing Co Ltd Financials 13 880 824 0,25% 0,25% NKSJ Holdings Inc Financials 33 743 051 0,05% 0,05% Right On Co Ltd Consumer Services 201 842 0,02% 0,02% NOF Corp Basic Materials 2 763 258 0,03% 0,03% Riken Corp Consumer Goods 845 971 0,03% 0,03% Nohmi Bosai Ltd Industrials 600 884 0,02% 0,02% Riken Technos Corp Basic Materials 443 477 0,02% 0,02% Nomura Co Ltd Industrials 910 157 0,03% 0,03% Ringer Hut Co Ltd Consumer Services 377 154 0,02% 0,02% Nomura Holdings Inc Financials 90 750 829 0,05% 0,05% Rinnai Corp Consumer Goods 8 792 993 0,04% 0,04% Nomura Real Estate Holdings Inc Financials 6 588 228 0,03% 0,03% Riso Kagaku Corp Technology 1 161 126 0,04% 0,04% Nomura Research Institute Ltd Technology 10 485 858 0,02% 0,02% Rock Field Co Ltd Consumer Goods 434 530 0,03% 0,03% Noritake Co Ltd/Nagoya Japan Consumer Goods 476 551 0,02% 0,02% Rohm Co Ltd Technology 15 574 728 0,05% 0,05% Noritsu Koki Co Ltd Consumer Goods 221 963 0,02% 0,02% Rohto Pharmaceutical Co Ltd Health Care 3 891 027 0,04% 0,04% Noritz Corp Industrials 5 833 937 0,09% 0,09% Roland Corp Consumer Goods 634 241 0,03% 0,03% North Pacific Bank Ltd Financials 3 169 643 0,03% 0,03% Roland DG Corp Technology 601 779 0,02% 0,02% NS Solutions Corp Technology 899 935 0,01% 0,01% Royal Holdings Co Ltd Consumer Services 773 241 0,02% 0,02% NS United Kaiun Kaisha Ltd Industrials 463 737 0,01% 0,01% Ryobi Ltd Consumer Goods 1 245 232 0,03% 0,03% NSD Co Ltd Technology 1 107 589 0,03% 0,03% Ryoden Trading Co Ltd Technology 579 411 0,03% 0,03% NSK Ltd Consumer Goods 18 724 029 0,04% 0,04% Ryohin Keikaku Co Ltd Consumer Services 8 663 119 0,05% 0,05% NTN Corp Industrials 7 020 991 0,05% 0,05% Ryosan Co Ltd Technology 4 508 431 0,11% 0,11% NTT Data Corp Technology 15 520 469 0,02% 0,02% Ryoyo Electro Corp Technology 805 669 0,04% 0,04% NTT DOCOMO Inc Telecommunications 69 559 678 0,02% 0,02% Sagami Chain Co Ltd Consumer Services 364 051 0,03% 0,03% NTT Urban Development Corp Financials 3 907 997 0,02% 0,02% Saibu Gas Co Ltd Utilities 1 055 039 0,02% 0,02% Obara Group Inc Industrials 1 177 409 0,03% 0,03% Saizeriya Co Ltd Consumer Services 1 167 227 0,03% 0,03% Obayashi Corp Industrials 11 409 869 0,05% 0,05% Sakai Chemical Industry Co Ltd Basic Materials 600 307 0,03% 0,03% OBIC Business Consultants Ltd Technology 871 137 0,01% 0,01% Sakata INX Corp Basic Materials 751 134 0,02% 0,02% Obic Co Ltd Technology 4 498 578 0,03% 0,03% Sakata Seed Corp Consumer Goods 1 178 114 0,03% 0,03% Odakyu Electric Railway Co Ltd Consumer Services 18 718 661 0,05% 0,05% Sala Corp Utilities 189 097 0,02% 0,02% Oenon Holdings Inc Consumer Goods 281 682 0,03% 0,03% San-A Co Ltd Consumer Services 1 062 451 0,02% 0,02% Ogaki Kyoritsu Bank Ltd/The Financials 1 868 339 0,03% 0,03% San-Ai Oil Co Ltd Oil & Gas 342 868 0,02% 0,02% Ohara Inc Industrials 152 409 0,02% 0,02% Sanden Corp Consumer Goods 1 209 734 0,03% 0,03% Ohashi Technica Inc Consumer Goods 205 455 0,02% 0,02% Sangetsu Co Ltd Consumer Goods 1 891 832 0,03% 0,03% Ohsho Food Service Corp Consumer Services 613 352 0,01% 0,01% San-In Godo Bank Ltd/The Financials 2 263 156 0,03% 0,03% Oiles Corp Industrials 1 309 996 0,03% 0,03% Sanken Electric Co Ltd Technology 2 236 720 0,04% 0,04% Oita Bank Ltd/The Financials 967 995 0,03% 0,03% Sanki Engineering Co Ltd Industrials 877 545 0,03% 0,03% Oji Holdings Corp Basic Materials 18 324 998 0,06% 0,06% Sankyo Co Ltd Consumer Services 6 158 916 0,02% 0,02% Okabe Co Ltd Industrials 1 925 368 0,05% 0,05% Sankyo Seiko Co Ltd Consumer Goods 368 842 0,03% 0,03% Okamoto Industries Inc Basic Materials 700 512 0,03% 0,03% Sankyo Tateyama Inc Industrials 1 169 074 0,03% 0,03% Okamura Corp Consumer Goods 1 135 272 0,02% 0,02% Sankyu Inc Industrials 2 887 245 0,04% 0,04% Okasan Securities Group Inc Financials 2 784 500 0,02% 0,02% Sanoh Industrial Co Ltd Consumer Goods 313 095 0,02% 0,02% Oki Electric Industry Co Ltd Technology 4 351 762 0,04% 0,04% Sanrio Co Ltd Consumer Goods 5 798 011 0,03% 0,03% Okinawa Electric Power Co Inc/The Utilities 1 082 976 0,03% 0,03% Sanshin Electronics Co Ltd Industrials 403 406 0,03% 0,03% OKUMA Corp Industrials 3 411 878 0,03% 0,03% Santen Pharmaceutical Co Ltd Health Care 12 146 081 0,05% 0,05% Okumura Corp Industrials 6 424 090 0,10% 0,10% Sanwa Holdings Corp Industrials 3 333 607 0,03% 0,03% Okura Industrial Co Ltd Basic Materials 398 107 0,03% 0,03% Sanyo Chemical Industries Ltd Basic Materials 998 818 0,02% 0,02% Okuwa Co Ltd Consumer Services 369 304 0,02% 0,02% Sanyo Denki Co Ltd Industrials 718 348 0,03% 0,03% Olympic Group Corp Consumer Services 161 246 0,02% 0,02% Sanyo Shokai Ltd Consumer Goods 444 169 0,02% 0,02% Olympus Corp Health Care 26 679 248 0,04% 0,04% Sanyo Special Steel Co Ltd Basic Materials 1 480 564 0,03% 0,03% Omron Corp Industrials 30 887 167 0,05% 0,05% Sapporo Holdings Ltd Consumer Goods 3 520 799 0,04% 0,04% Onoken Co Ltd Industrials 474 900 0,03% 0,03% Sasebo Heavy Industries Co Ltd Industrials 333 747 0,03% 0,03% Onward Holdings Co Ltd Consumer Goods 2 944 274 0,04% 0,04% Sato Holdings Corp Technology 881 066 0,02% 0,02% Optex Co Ltd Industrials 266 657 0,02% 0,02% Sawai Pharmaceutical Co Ltd Health Care 8 085 670 0,05% 0,05% Oracle Corp Japan Technology 4 816 105 0,02% 0,02% SBI Holdings Inc/Japan Financials 12 431 285 0,06% 0,06% Organo Corp Industrials 10 925 121 0,69% 0,69% SCSK Corp Technology 3 906 226 0,02% 0,02% Orient Corp Financials 2 179 633 0,02% 0,02% Secom Co Ltd Industrials 36 815 196 0,04% 0,04% Oriental Land Co Ltd/Japan Consumer Services 23 554 709 0,03% 0,03% Sega Sammy Holdings Inc Consumer Goods 11 295 504 0,03% 0,03% Origin Electric Co Ltd Industrials 185 287 0,03% 0,03% Seika Corp Industrials 373 691 0,04% 0,04% ORIX Corp Financials 72 187 099 0,05% 0,05% Seikagaku Corp Health Care 1 306 452 0,03% 0,03% Osaka Gas Co Ltd Utilities 26 366 049 0,05% 0,05% Seiko Epson Corp Technology 14 789 913 0,05% 0,05% Osaka Steel Co Ltd Basic Materials 537 540 0,01% 0,01% Seiko Holdings Corp Consumer Goods 2 272 392 0,04% 0,04% Osaki Electric Co Ltd Industrials 379 579 0,03% 0,03% Seino Holdings Co Ltd Industrials 4 202 032 0,03% 0,03%

Foreign exchange reserves Holdings 2013 11 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Seiren Co Ltd Consumer Goods 931 330 0,03% 0,03% Sysmex Corp Health Care 13 477 810 0,04% 0,04% Sekisui Chemical Co Ltd Consumer Goods 18 540 820 0,05% 0,05% T Hasegawa Co Ltd Basic Materials 409 831 0,01% 0,01% Sekisui House Ltd Consumer Goods 24 012 847 0,04% 0,04% T RAD Co Ltd Consumer Goods 363 186 0,03% 0,03% Sekisui Jushi Corp Industrials 1 208 117 0,03% 0,03% T&D Holdings Inc Financials 25 480 395 0,04% 0,04% Sekisui Plastics Co Ltd Basic Materials 260 441 0,02% 0,02% Tachi-S Co Ltd Consumer Goods 881 845 0,03% 0,03% Senko Co Ltd Industrials 692 084 0,02% 0,02% Tadano Ltd Industrials 3 743 836 0,04% 0,04% Senshu Ikeda Holdings Inc Financials 2 805 741 0,04% 0,04% Taihei Dengyo Kaisha Ltd Industrials 493 002 0,03% 0,03% Senshukai Co Ltd Consumer Services 727 197 0,03% 0,03% Taiheiyo Cement Corp Industrials 13 665 290 0,05% 0,05% Seven & I Holdings Co Ltd Consumer Services 94 794 890 0,04% 0,04% Taiho Kogyo Co Ltd Consumer Goods 311 628 0,02% 0,02% SFCG Co Ltd Financials 0 0,02% 0,02% Taikisha Ltd Industrials 1 537 813 0,03% 0,03% Sharp Corp/Japan Consumer Goods 4 357 073 0,01% 0,01% Taiko Pharmaceutical Co Ltd Health Care 1 381 283 0,07% 0,07% Shibaura Mechatronics Corp Industrials 140 264 0,02% 0,02% Taisei Corp Industrials 16 645 663 0,05% 0,05% Shibusawa Warehouse Co Ltd/The Industrials 552 282 0,03% 0,03% Taisei Lamick Co Ltd Industrials 147 826 0,02% 0,02% Shiga Bank Ltd/The Financials 2 708 307 0,03% 0,03% Taisho Pharmaceutical Holdings Co Ltd Health Care 10 850 544 0,03% 0,03% Shikoku Bank Ltd/The Financials 939 942 0,03% 0,03% Taiyo Holdings Co Ltd Basic Materials 878 872 0,02% 0,02% Shikoku Chemicals Corp Basic Materials 414 038 0,02% 0,02% Taiyo Nippon Sanso Corp Basic Materials 8 592 006 0,05% 0,05% Shima Seiki Manufacturing Ltd Industrials 1 300 922 0,03% 0,03% Taiyo Yuden Co Ltd Industrials 6 805 747 0,07% 0,07% Shimachu Co Ltd Consumer Services 3 433 703 0,05% 0,05% Takamatsu Construction Group Co Ltd Industrials 338 371 0,01% 0,01% Shimadzu Corp Industrials 7 975 133 0,05% 0,05% Takaoka Toko Holdings Co Ltd Industrials 1 425 498 0,08% 0,08% Shimamura Co Ltd Consumer Services 7 512 608 0,04% 0,04% Takara Holdings Inc Consumer Goods 3 903 148 0,03% 0,03% Shimano Inc Consumer Goods 20 640 624 0,04% 0,04% Takara Standard Co Ltd Consumer Goods 1 373 202 0,02% 0,02% Shimizu Bank Ltd/The Financials 472 049 0,03% 0,03% Takasago International Corp Basic Materials 683 426 0,02% 0,02% Shimizu Corp Industrials 11 555 154 0,05% 0,05% Takasago Thermal Engineering Co Ltd Industrials 1 334 182 0,03% 0,03% Shimojima Co Ltd Industrials 163 878 0,01% 0,01% Takashimaya Co Ltd Consumer Services 2 779 997 0,01% 0,01% Shindengen Electric Manufacturing Co Ltd Technology 958 990 0,03% 0,03% Takata Corp Consumer Goods 2 836 709 0,02% 0,02% Shin-Etsu Chemical Co Ltd Basic Materials 54 366 780 0,04% 0,04% Takeda Pharmaceutical Co Ltd Health Care 112 907 019 0,05% 0,05% Shin-Etsu Polymer Co Ltd Basic Materials 360 963 0,02% 0,02% Takihyo Co Ltd Consumer Goods 262 230 0,02% 0,02% Shinkawa Ltd Technology 237 583 0,03% 0,03% Takiron Co Ltd Industrials 400 820 0,02% 0,02% Shin-Keisei Electric Railway Co Ltd Consumer Services 193 253 0,02% 0,02% Takuma Co Ltd Industrials 1 382 206 0,03% 0,03% Shinko Electric Industries Co Ltd Technology 1 389 202 0,02% 0,02% Tamron Co Ltd Consumer Goods 3 800 496 0,09% 0,09% Shinko Plantech Co Ltd Industrials 655 506 0,03% 0,03% Tamura Corp Industrials 383 677 0,03% 0,03% Shinko Shoji Co Ltd Technology 348 894 0,03% 0,03% TDK Corp Industrials 17 309 614 0,05% 0,05% Shinmaywa Industries Ltd Industrials 1 897 200 0,04% 0,04% Tecmo Koei Holdings Co Ltd Technology 831 004 0,01% 0,01% Shinsei Bank Ltd Financials 12 431 314 0,03% 0,03% Teijin Ltd Basic Materials 6 267 202 0,05% 0,05% Shinwa Co Ltd/Nagoya Industrials 265 861 0,03% 0,03% Teikoku Electric Manufacturing Co Ltd Industrials 14 795 622 1,02% 1,02% Shionogi & Co Ltd Health Care 25 294 617 0,05% 0,05% Tekken Corp Industrials 876 275 0,03% 0,03% Ship Healthcare Holdings Inc Health Care 2 357 936 0,02% 0,02% Tenma Corp Consumer Goods 598 927 0,02% 0,02% Shiroki Corp Consumer Goods 142 227 0,01% 0,01% T-Gaia Corp Technology 959 221 0,02% 0,02% Shiseido Co Ltd Consumer Goods 18 155 007 0,05% 0,05% THK Co Ltd Industrials 12 586 493 0,06% 0,06% Shizuoka Bank Ltd/The Financials 18 522 464 0,04% 0,04% TKC Corp Industrials 495 392 0,02% 0,02% Shizuoka Gas Co Ltd Utilities 433 606 0,02% 0,02% Toa Corp/Hyogo Industrials 656 528 0,03% 0,03% SHO-BOND Holdings Co Ltd Industrials 2 425 528 0,03% 0,03% Toa Corp/Tokyo Industrials 985 196 0,03% 0,03% Shoko Co Ltd Basic Materials 219 054 0,02% 0,02% Toa Oil Co Ltd Oil & Gas 240 123 0,02% 0,02% Showa Corp Consumer Goods 2 229 401 0,03% 0,03% Toagosei Co Ltd Basic Materials 27 325 501 0,40% 0,40% Showa Denko KK Basic Materials 5 478 549 0,04% 0,04% Tobishima Corp Industrials 338 019 0,02% 0,02% Showa Sangyo Co Ltd Consumer Goods 664 955 0,02% 0,02% Tobu Railway Co Ltd Consumer Services 18 369 386 0,06% 0,06% Showa Shell Sekiyu KK Oil & Gas 2 848 086 0,01% 0,01% TOC Co Ltd Financials 1 985 572 0,03% 0,03% Sinanen Co Ltd Oil & Gas 284 684 0,02% 0,02% Tocalo Co Ltd Basic Materials 444 377 0,03% 0,03% Sinfonia Technology Co Ltd Industrials 282 895 0,02% 0,02% Tochigi Bank Ltd/The Financials 540 334 0,02% 0,02% Sintokogio Ltd Industrials 774 223 0,03% 0,03% Toda Corp Industrials 2 170 051 0,03% 0,03% SKY Perfect JSAT Holdings Inc Consumer Services 1 172 520 0,01% 0,01% Toda Kogyo Corp Basic Materials 251 090 0,02% 0,02% SMC Corp/Japan Industrials 50 630 679 0,05% 0,05% Toei Co Ltd Consumer Services 1 511 157 0,03% 0,03% SMK Corp Industrials 962 800 0,03% 0,03% Toenec Corp Industrials 436 377 0,01% 0,01% Sodick Co Ltd Industrials 574 165 0,04% 0,04% Toho Bank Ltd/The Financials 1 268 494 0,03% 0,03% SoftBank Corp Telecommunications 277 386 922 0,04% 0,04% Toho Co Ltd/Kobe Consumer Services 240 642 0,02% 0,02% Sogo Medical Co Ltd Consumer Services 11 827 832 0,67% 0,67% Toho Co Ltd/Tokyo Consumer Services 9 919 832 0,04% 0,04% Sohgo Security Services Co Ltd Industrials 2 487 533 0,02% 0,02% Toho Gas Co Ltd Utilities 8 068 123 0,05% 0,05% Sojitz Corp Industrials 8 762 551 0,06% 0,06% Toho Holdings Co Ltd Health Care 4 800 670 0,06% 0,06% Sony Corp Consumer Goods 58 201 886 0,05% 0,05% Toho Titanium Co Ltd Basic Materials 1 071 905 0,04% 0,04% Sony Financial Holdings Inc Financials 11 732 926 0,02% 0,02% Toho Zinc Co Ltd Basic Materials 833 041 0,03% 0,03% Sotetsu Holdings Inc Consumer Services 5 610 559 0,06% 0,06% Tohoku Electric Power Co Inc Utilities 17 159 993 0,05% 0,05% Holdings Co Ltd Technology 1 996 713 0,02% 0,02% Tokai Carbon Co Ltd Basic Materials 1 355 770 0,03% 0,03% ST Corp Basic Materials 338 856 0,03% 0,03% TOKAI Holdings Corp Utilities 306 503 0,01% 0,01% St Marc Holdings Co Ltd Consumer Services 667 784 0,02% 0,02% Tokai Rika Co Ltd Consumer Goods 4 431 672 0,04% 0,04% Stanley Electric Co Ltd Consumer Goods 13 371 232 0,05% 0,05% Tokai Rubber Industries Ltd Consumer Goods 860 401 0,01% 0,01% Star Micronics Co Ltd Industrials 1 160 578 0,03% 0,03% Tokai Tokyo Financial Holdings Inc Financials 4 826 512 0,03% 0,03% Starzen Co Ltd Consumer Goods 283 645 0,02% 0,02% Token Corp Consumer Goods 629 629 0,02% 0,02% Stella Chemifa Corp Basic Materials 338 723 0,03% 0,03% Tokio Marine Holdings Inc Financials 72 777 408 0,05% 0,05% Studio Alice Co Ltd Consumer Services 167 884 0,01% 0,01% Toko Inc Industrials 599 268 0,03% 0,03% Sugi Holdings Co Ltd Consumer Services 7 600 230 0,05% 0,05% Tokuyama Corp Basic Materials 2 533 410 0,03% 0,03% Sumida Corp Industrials 116 384 0,02% 0,02% Tokyo Broadcasting System Holdings Inc Consumer Services 1 236 309 0,01% 0,01% Sumitomo Bakelite Co Ltd Basic Materials 18 982 392 0,33% 0,33% Tokyo Dome Corp Consumer Services 2 326 766 0,03% 0,03% Sumitomo Chemical Co Ltd Basic Materials 17 812 255 0,05% 0,05% Tokyo Electric Power Co Inc Utilities 23 208 257 0,05% 0,05% Sumitomo Corp Industrials 47 519 312 0,05% 0,05% Tokyo Electron Device Ltd Technology 189 218 0,02% 0,02% Sumitomo Electric Industries Ltd Consumer Goods 33 714 266 0,04% 0,04% Tokyo Electron Ltd Technology 25 334 792 0,04% 0,04% Sumitomo Forestry Co Ltd Consumer Goods 3 966 787 0,03% 0,03% Tokyo Energy & Systems Inc Industrials 220 209 0,02% 0,02% Sumitomo Heavy Industries Ltd Industrials 10 979 379 0,06% 0,06% Tokyo Gas Co Ltd Utilities 40 334 956 0,05% 0,05% Sumitomo Metal Mining Co Ltd Basic Materials 25 911 432 0,06% 0,06% Tokyo Ohka Kogyo Co Ltd Technology 1 856 374 0,03% 0,03% Sumitomo Mitsui Construction Co Ltd Industrials 377 547 0,01% 0,01% Tokyo Rakutenchi Co Ltd Financials 369 939 0,02% 0,02% Sumitomo Mitsui Financial Group Inc Financials 232 697 252 0,05% 0,05% Tokyo Rope Manufacturing Co Ltd Basic Materials 466 681 0,03% 0,03% Sumitomo Mitsui Trust Holdings Inc Financials 67 720 192 0,05% 0,05% Tokyo Seimitsu Co Ltd Technology 1 558 408 0,03% 0,03% Sumitomo Osaka Cement Co Ltd Industrials 4 220 849 0,04% 0,04% Tokyo Steel Manufacturing Co Ltd Basic Materials 1 554 044 0,03% 0,03% Sumitomo Precision Products Co Ltd Industrials 287 628 0,02% 0,02% Tokyo Tatemono Co Ltd Financials 14 427 680 0,05% 0,05% Sumitomo Real Estate Sales Co Ltd Financials 1 390 264 0,01% 0,01% Tokyo Tekko Co Ltd Basic Materials 330 515 0,03% 0,03% Sumitomo Realty & Development Co Ltd Financials 80 905 187 0,06% 0,06% Tokyo Tomin Bank Ltd/The Financials 749 396 0,03% 0,03% Sumitomo Rubber Industries Ltd Consumer Goods 32 286 898 0,14% 0,14% Tokyotokeiba Co Ltd Consumer Services 1 128 461 0,02% 0,02% Sumitomo Seika Chemicals Co Ltd Basic Materials 696 587 0,02% 0,02% Tokyu Construction Co Ltd Industrials 814 683 0,00% 0,02% Sumitomo Warehouse Co Ltd/The Industrials 2 032 154 0,03% 0,03% Tokyu Corp Consumer Services 30 031 730 0,06% 0,06% Sundrug Co Ltd Consumer Services 2 199 807 0,01% 0,01% Tokyu Fudosan Holdings Corp Financials 17 163 147 0,05% 0,05% Suruga Bank Ltd Financials 12 301 555 0,04% 0,04% Toli Corp Industrials 251 667 0,03% 0,03% Suruga Corp Financials 0 0,02% 0,02% Tomen Electronics Corp Technology 213 894 0,02% 0,02% Suzuken Co Ltd/Aichi Japan Health Care 7 488 278 0,04% 0,04% Tomoku Co Ltd Industrials 397 011 0,02% 0,02% Suzuki Motor Corp Consumer Goods 39 846 214 0,04% 0,04% TOMONY Holdings Inc Financials 1 349 247 0,04% 0,04% SWCC Showa Holdings Co Ltd Industrials 463 217 0,02% 0,02% Tomy Co Ltd Consumer Goods 782 367 0,03% 0,03%

Foreign exchange reserves Holdings 2013 12 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Tonami Holdings Co Ltd Industrials 199 487 0,02% 0,02% Yodogawa Steel Works Ltd Basic Materials 4 863 524 0,10% 0,10% Topcon Corp Health Care 1 372 648 0,01% 0,01% Yokogawa Bridge Holdings Corp Industrials 1 246 098 0,03% 0,03% Toppan Forms Co Ltd Industrials 10 048 558 0,16% 0,16% Yokogawa Electric Corp Industrials 11 344 960 0,05% 0,05% Toppan Printing Co Ltd Industrials 13 932 138 0,04% 0,04% Yokohama Reito Co Ltd Consumer Goods 736 992 0,03% 0,03% Topre Corp Consumer Goods 773 403 0,02% 0,02% Yokohama Rubber Co Ltd/The Consumer Goods 12 998 603 0,06% 0,06% Topy Industries Ltd Industrials 3 387 981 0,13% 0,13% Yokowo Co Ltd Consumer Goods 194 915 0,03% 0,03% Toray Industries Inc Basic Materials 25 422 990 0,04% 0,04% Yomiuri Land Co Ltd Consumer Services 565 789 0,02% 0,02% Torii Pharmaceutical Co Ltd Health Care 820 458 0,02% 0,02% Yorozu Corp Consumer Goods 688 194 0,03% 0,03% Torishima Pump Manufacturing Co Ltd Industrials 364 340 0,02% 0,02% Yoshinoya Holdings Co Ltd Consumer Services 877 279 0,02% 0,02% Toshiba Corp Industrials 48 423 743 0,04% 0,04% Yuasa Trading Co Ltd Industrials 856 303 0,03% 0,03% Toshiba Machine Co Ltd Industrials 947 561 0,02% 0,02% Yurtec Corp Industrials 255 130 0,02% 0,02% Toshiba Plant Systems & Services Corp Industrials 1 449 048 0,02% 0,02% Yusen Logistics Co Ltd Industrials 391 233 0,01% 0,01% Toshiba TEC Corp Industrials 2 272 276 0,02% 0,02% Yushin Precision Equipment Co Ltd Industrials 464 878 0,02% 0,02% Tosho Printing Co Ltd Industrials 306 503 0,02% 0,02% Yushiro Chemical Industry Co Ltd Basic Materials 267 379 0,03% 0,03% Tosoh Corp Basic Materials 25 121 105 0,15% 0,15% Zappallas Inc Consumer Services 1 387 540 0,23% 0,23% TOTO Ltd Industrials 18 667 115 0,05% 0,05% Zenrin Co Ltd Consumer Services 360 906 0,02% 0,02% Towa Bank Ltd/The Financials 396 087 0,02% 0,02% Zensho Holdings Co Ltd Consumer Services 1 550 996 0,02% 0,02% Towa Pharmaceutical Co Ltd Health Care 688 073 0,02% 0,02% Zeon Corp Basic Materials 7 618 701 0,06% 0,06% Toyo Construction Co Ltd Industrials 395 094 0,02% 0,02% ZERIA Pharmaceutical Co Ltd Health Care 1 628 621 0,00% 0,02% Toyo Corp/Chuo-ku Industrials 613 756 0,03% 0,03% Zuken Inc Industrials 413 103 0,04% 0,04% Toyo Denki Seizo - Toyo Electric Malta Manufacturing Co Ltd Industrials 1 009 901 0,11% 0,11% Angler Gaming PLC Consumer Services 12 973 0,03% 0,03% Toyo Engineering Corp Industrials 963 492 0,02% 0,02% Netherlands Toyo Ink SC Holdings Co Ltd Basic Materials 1 827 415 0,02% 0,02% Aalberts Industries NV Industrials 11 451 897 0,05% 0,05% Toyo Kanetsu KK Industrials 715 173 0,03% 0,03% Accell Group Consumer Goods 1 186 644 0,04% 0,04% Toyo Kohan Co Ltd Basic Materials 454 386 0,02% 0,02% Aegon NV Financials 69 990 418 0,06% 0,06% Toyo Securities Co Ltd Financials 593 784 0,03% 0,03% Akzo Nobel NV Basic Materials 63 299 445 0,06% 0,06% Toyo Seikan Group Holdings Ltd Industrials 12 948 080 0,05% 0,05% AMG Advanced Metallurgical Group NV Industrials 1 337 948 0,07% 0,07% Toyo Suisan Kaisha Ltd Consumer Goods 10 579 252 0,05% 0,05% APERAM Basic Materials 3 848 385 0,04% 0,04% Toyo Tanso Co Ltd Basic Materials 900 910 0,04% 0,04% Arcadis NV Industrials 8 637 390 0,05% 0,05% Toyo Tire & Rubber Co Ltd Consumer Goods 2 593 152 0,03% 0,03% ArcelorMittal Basic Materials 55 423 558 0,03% 0,03% Toyo Wharf & Warehouse Co Ltd Industrials 393 951 0,03% 0,03% ASM International NV Technology 5 038 275 0,04% 0,04% Toyobo Co Ltd Consumer Goods 6 405 273 0,06% 0,06% ASML Holding NV Technology 82 941 724 0,03% 0,03% Toyoda Gosei Co Ltd Consumer Goods 2 937 901 0,02% 0,02% Beter Bed Holding NV Consumer Services 1 737 837 0,05% 0,05% Toyota Boshoku Corp Consumer Goods 2 357 029 0,02% 0,02% BinckBank NV Financials 3 421 629 0,07% 0,07% Toyota Industries Corp Consumer Goods 16 570 342 0,02% 0,02% Brunel International NV Industrials 2 451 379 0,03% 0,03% Toyota Motor Corp Consumer Goods 510 628 695 0,04% 0,04% Corbion NV Consumer Goods 4 737 031 0,05% 0,05% Toyota Tsusho Corp Industrials 12 487 866 0,02% 0,02% Corio NV Financials 7 836 037 0,03% 0,03% TPR Co Ltd Consumer Goods 1 102 458 0,03% 0,03% Delta Lloyd NV Financials 11 960 978 0,04% 0,04% Transcosmos Inc Technology 1 708 052 0,03% 0,03% DOCdata NV Technology 274 547 0,03% 0,03% Trend Micro Inc/Japan Technology 13 934 505 0,05% 0,05% Eurocommercial Properties NV Financials 5 028 881 0,05% 0,05% Trusco Nakayama Corp Industrials 943 267 0,02% 0,02% Fugro NV Oil & Gas 12 896 385 0,04% 0,04% TS Tech Co Ltd Consumer Goods 2 782 884 0,02% 0,02% Gemalto NV Technology 28 677 084 0,00% 0,05% TSI Holdings Co Ltd Consumer Goods 3 763 720 0,08% 0,08% Grontmij Industrials 1 162 162 0,06% 0,06% Tsubakimoto Chain Co Industrials 2 684 987 0,03% 0,03% Heijmans NV Industrials 1 208 186 0,07% 0,05% Tsugami Corp Industrials 13 382 223 0,49% 0,49% Heineken Holding NV Consumer Goods 70 429 175 0,06% 0,06% Tsukishima Kikai Co Ltd Industrials 563 134 0,02% 0,02% Heineken NV Consumer Goods 15 046 103 0,01% 0,01% Tsukuba Bank Ltd Financials 471 564 0,03% 0,03% ING Groep NV Financials 204 247 792 0,06% 0,06% Tsumura & Co Health Care 6 614 157 0,06% 0,06% Koninklijke Ahold NV Consumer Services 78 650 071 0,07% 0,07% Tsuruha Holdings Inc Consumer Services 2 121 045 0,02% 0,02% Koninklijke Boskalis Westminster NV Industrials 5 519 000 0,01% 0,01% Tsurumi Manufacturing Co Ltd Industrials 476 551 0,03% 0,03% Koninklijke DSM NV Basic Materials 43 043 509 0,05% 0,05% Tsutsumi Jewelry Co Ltd Consumer Services 564 288 0,02% 0,02% Koninklijke KPN NV Telecommunications 30 412 752 0,04% 0,04% TV Asahi Corp Consumer Services 1 211 465 0,01% 0,01% Koninklijke Philips NV Industrials 127 782 996 0,06% 0,06% Tv Tokyo Holdings Corp Consumer Services 319 248 0,01% 0,01% Koninklijke Ten Cate NV Industrials 2 190 454 0,04% 0,04% UACJ Corp Basic Materials 5 286 289 0,05% 0,05% Koninklijke Vopak NV Industrials 8 481 616 0,02% 0,02% Ube Industries Ltd/Japan Basic Materials 6 493 703 0,05% 0,05% Koninklijke Wessanen NV Consumer Goods 1 273 802 0,07% 0,07% Uchida Yoko Co Ltd Consumer Goods 263 211 0,03% 0,03% Nieuwe Steen Investments NV Financials 1 716 638 0,03% 0,03% UKC Holdings Corp Technology 229 941 0,01% 0,01% Nutreco NV Consumer Goods 11 812 289 0,06% 0,06% Ulvac Inc Industrials 1 001 473 0,03% 0,03% PostNL NV Industrials 8 140 872 0,05% 0,05% Unicharm Corp Consumer Goods 22 753 934 0,03% 0,03% Randstad Holding NV Industrials 23 369 668 0,03% 0,03% Uniden Corp Technology 535 370 0,04% 0,04% Reed Elsevier NV Consumer Services 36 419 331 0,04% 0,04% Union Tool Co Industrials 515 346 0,02% 0,02% Royal Imtech NV Industrials 4 479 853 0,05% 0,05% Unipres Corp Consumer Goods 922 002 0,02% 0,02% SBM Offshore NV Oil & Gas 5 860 248 0,02% 0,02% United Arrows Ltd Consumer Services 1 728 422 0,02% 0,02% Sligro Food Group NV Consumer Services 3 698 764 0,04% 0,04% Unitika Ltd Consumer Goods 528 270 0,02% 0,02% SNS REAAL NV Financials 61 0,03% 0,03% UNY Group Holdings Co Ltd Consumer Services 15 805 892 0,18% 0,18% TKH Group NV Industrials 5 229 068 0,06% 0,06% U-Shin Ltd Consumer Goods 283 714 0,02% 0,02% TNT Express NV Industrials 2 971 053 0,01% 0,01% Ushio Inc Industrials 6 019 299 0,05% 0,05% TomTom NV Technology 694 107 0,01% 0,01% USS Co Ltd Consumer Services 9 468 592 0,04% 0,04% Unibail-Rodamco SE Financials 81 657 690 0,05% 0,05% Valor Co Ltd Consumer Services 1 268 598 0,03% 0,03% Unilever NV Consumer Goods 179 191 259 0,04% 0,02% Vital KSK Holdings Inc Health Care 353 465 0,01% 0,01% Unit4 NV Technology 5 996 302 0,06% 0,06% Wacoal Holdings Corp Consumer Goods 3 029 182 0,03% 0,03% USG People NV Industrials 4 156 240 0,06% 0,06% Wacom Co Ltd/Japan Technology 3 280 099 0,05% 0,05% Vastned Retail NV Financials 3 497 870 0,07% 0,07% Warabeya Nichiyo Co Ltd Consumer Goods 549 800 0,03% 0,03% Wereldhave NV Financials 5 217 569 0,05% 0,05% WATAMI Co Ltd Consumer Services 662 104 0,02% 0,02% Wolters Kluwer NV Consumer Services 39 281 143 0,08% 0,08% West Japan Railway Co Consumer Services 30 374 598 0,06% 0,06% Ziggo NV Telecommunications 16 375 207 0,03% 0,03% Wood One Co Ltd Industrials 271 004 0,03% 0,03% New Zealand Xebio Co Ltd Consumer Services 1 119 341 0,02% 0,02% Air New Zealand Ltd Consumer Services 1 148 931 0,01% 0,01% Yachiyo Bank Ltd/The Financials 1 060 044 0,04% 0,04% Auckland International Airport Ltd Industrials 9 647 717 0,04% 0,04% Yahagi Construction Co Ltd Industrials 474 300 0,02% 0,02% Bathurst Resources Ltd Basic Materials 525 929 0,07% 0,06% Yahoo Japan Corp Technology 24 991 145 0,01% 0,01% Chorus Ltd Telecommunications 2 000 537 0,07% 0,07% Yakult Honsha Co Ltd Consumer Goods 18 512 767 0,03% 0,03% Contact Energy Ltd Utilities 7 448 621 0,04% 0,04% YAMABIKO Corp Industrials 319 561 0,02% 0,02% Fisher & Paykel Healthcare Corp Ltd Health Care 5 865 041 0,06% 0,06% Yamada Denki Co Ltd Consumer Services 11 254 551 0,06% 0,06% Fletcher Building Ltd Industrials 16 127 004 0,06% 0,06% Yamagata Bank Ltd/The Financials 1 324 658 0,03% 0,03% Freightways Ltd Industrials 1 253 371 0,03% 0,03% Yamaguchi Financial Group Inc Financials 7 646 061 0,05% 0,05% Infratil Ltd Industrials 2 029 979 0,03% 0,03% Yamaha Corp Consumer Goods 11 811 000 0,06% 0,06% Mainfreight Ltd Industrials 1 158 403 0,02% 0,02% Yamanashi Chuo Bank Ltd/The Financials 1 533 322 0,03% 0,03% New Zealand Oil & Gas Ltd Oil & Gas 817 362 0,05% 0,05% Yamato Holdings Co Ltd Industrials 26 555 862 0,05% 0,05% Nuplex Industries Ltd Basic Materials 1 927 415 0,06% 0,06% Yamazaki Baking Co Ltd Consumer Goods 3 114 091 0,02% 0,02% Sky Network Television Ltd Consumer Services 2 439 346 0,02% 0,02% Yamazen Corp Industrials 7 044 022 0,20% 0,20% SKYCITY Entertainment Group Ltd Consumer Services 14 215 393 0,13% 0,13% Yaoko Co Ltd Consumer Services 4 373 119 0,09% 0,09% Telecom Corp of New Zealand Ltd Telecommunications 14 380 952 0,07% 0,07% Yaskawa Electric Corp Industrials 8 927 196 0,04% 0,04% Tower Ltd Financials 797 546 0,04% 0,04% Yellow Hat Ltd Consumer Services 541 142 0,02% 0,02% Vector Ltd Utilities 1 816 590 0,01% 0,01%

Foreign exchange reserves Holdings 2013 13 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Warehouse Group Ltd/The Consumer Services 978 571 0,02% 0,02% Swiber Holdings Ltd Oil & Gas 409 005 0,02% 0,02% Portugal Tat Hong Holdings Ltd Industrials 432 454 0,02% 0,02% Altri SGPS SA Basic Materials 2 087 498 0,05% 0,05% Triyards Holdings Ltd Oil & Gas 277 740 0,03% 0,03% Banco BPI SA Financials 3 592 409 0,03% 0,03% United Overseas Bank Ltd Financials 66 261 399 0,04% 0,04% Banco Comercial Portugues SA Financials 13 423 776 0,05% 0,05% UOL Group Ltd Financials 5 990 286 0,03% 0,03% Banco Espirito Santo SA Financials 5 795 059 0,02% 0,02% Vard Holdings Ltd Oil & Gas 1 597 774 0,03% 0,03% BANIF - Banco Internacional do Funchal SA Financials 15 644 0,00% 0,00% Venture Corp Ltd Industrials 7 159 133 0,07% 0,07% EDP - Energias de Portugal SA Utilities 13 443 115 0,02% 0,02% Wing Tai Holdings Ltd Financials 1 509 035 0,02% 0,02% Galp Energia SGPS SA Oil & Gas 8 462 329 0,01% 0,01% Yangzijiang Shipbuilding Holdings Ltd Industrials 34 442 876 0,16% 0,16% Jeronimo Martins SGPS SA Consumer Services 10 112 840 0,01% 0,01% Yanlord Land Group Ltd Financials 3 478 733 0,03% 0,03% Mota-Engil SGPS SA Industrials 2 689 970 0,04% 0,04% South Korea Portucel SA Basic Materials 2 935 377 0,02% 0,02% 3S Korea Co Ltd Industrials 726 849 0,07% 0,07% Portugal Telecom SGPS SA Telecommunications 2 912 899 0,01% 0,01% Amorepacific Corp Consumer Goods 10 054 409 0,03% 0,03% REN - Redes Energeticas Nacionais SGPS SA Utilities 1 064 632 0,01% 0,01% AMOREPACIFIC Group Consumer Goods 37 557 443 0,18% 0,18% Semapa-Sociedade de Investimento e Asiana Airlines Inc Consumer Services 997 165 0,02% 0,02% Gestao Basic Materials 2 343 991 0,03% 0,03% Binggrae Co Ltd Consumer Goods 1 652 257 0,03% 0,03% Sonae Consumer Services 1 457 736 0,01% 0,01% BS Financial Group Inc Financials 11 411 967 0,06% 0,06% ZON OPTIMUS SGPS SA Consumer Services 9 929 701 0,04% 0,04% Bukwang Pharmaceutical Co Ltd Health Care 738 810 0,03% 0,03% Russia Capro Corp Basic Materials 833 523 0,06% 0,06% Pharmstandard OJSC Health Care 247 830 0,00% 0,00% Chabio & Diostech Co Ltd Industrials 2 342 998 0,06% 0,06% PIK Group Financials 1 402 006 0,02% 0,02% Cheil Industries Inc Basic Materials 15 764 839 0,06% 0,06% Singapore Cheil Worldwide Inc Consumer Services 7 552 663 0,04% 0,04% AIMS AMP Capital Industrial REIT Financials 3 132 332 0,09% 0,09% Chong Kun Dang Pharmaceutical Corp Health Care 1 477 277 0,04% 0,04% Ascendas India Trust Financials 963 892 0,03% 0,03% Chongkundang Holdings Corp Health Care 355 378 0,04% 0,04% Ascendas Real Estate Investment Trust Financials 9 877 054 0,04% 0,04% CJ CGV Co Ltd Consumer Services 2 068 052 0,04% 0,04% Ascott Residence Trust Financials 4 912 836 0,06% 0,06% CJ Corp Consumer Goods 6 697 191 0,03% 0,03% Biosensors International Group Ltd Health Care 3 430 442 0,05% 0,05% CJ E&M Corp Consumer Goods 1 236 807 0,02% 0,02% Cambridge Industrial Trust Financials 1 865 489 0,05% 0,05% CJ O Shopping Co Ltd Consumer Services 2 893 847 0,02% 0,02% CapitaCommercial Trust Financials 5 957 807 0,03% 0,03% Coway Co Ltd Consumer Goods 22 746 166 0,08% 0,08% CapitaLand Ltd Financials 17 566 784 0,03% 0,03% Dae Han Flour Mills Co Ltd Consumer Goods 447 387 0,03% 0,03% CapitaMall Trust Financials 11 429 190 0,04% 0,04% Daeduck Electronics Co Industrials 935 843 0,04% 0,04% CapitaMalls Asia Ltd Financials 5 462 375 0,01% 0,01% Daeduck GDS Co Ltd Industrials 814 174 0,04% 0,04% CapitaRetail China Trust Financials 1 612 248 0,03% 0,03% Daekyo Co Ltd Consumer Services 710 471 0,02% 0,02% CDL Hospitality Trusts Financials 4 436 594 0,06% 0,06% Daelim Industrial Co Ltd Industrials 31 629 832 0,17% 0,17% China Energy Ltd Oil & Gas 68 078 0,02% 0,02% Daesang Corp Consumer Goods 2 214 109 0,03% 0,03% China Fishery Group Ltd Consumer Goods 109 646 0,00% 0,00% Daewoo Industrial Development Co Ltd Consumer Services 0 0,00% 0,00% City Developments Ltd Financials 12 316 292 0,03% 0,03% Daewoong Pharmaceutical Co Ltd Health Care 2 285 296 0,05% 0,05% ComfortDelGro Corp Ltd Consumer Services 13 260 627 0,06% 0,06% Daishin Securities Co Ltd Financials 1 292 823 0,04% 0,08% Cosco Corp Singapore Ltd Industrials 2 474 166 0,03% 0,03% Daou Technology Inc Technology 2 842 690 0,07% 0,07% CSE Global Ltd Technology 742 524 0,04% 0,04% Daum Communications Corp Technology 18 128 082 0,28% 0,28% DBS Group Holdings Ltd Financials 78 128 457 0,04% 0,04% DGB Financial Group Inc Financials 19 142 077 0,15% 0,15% Ezion Holdings Ltd Oil & Gas 8 077 204 0,06% 0,06% DMS Co Ltd Industrials 91 722 0,03% 0,03% Ezra Holdings Ltd Oil & Gas 5 742 750 0,09% 0,09% Dong-A Socio Holdings Co Ltd Health Care 2 882 106 0,08% 0,08% First Ship Lease Trust Industrials 82 954 0,04% 0,04% Dong-A ST Co Ltd Health Care 3 292 957 0,08% 0,08% Fortune Real Estate Investment Trust Financials 3 197 992 0,04% 0,04% Dongbu Corp Industrials 105 403 0,02% 0,02% Frasers Centrepoint Trust Financials 1 048 653 0,02% 0,02% Dongbu HiTek Co Ltd Technology 507 329 0,03% 0,03% Frasers Commercial Trust Financials 3 083 156 0,08% 0,08% Dongbu Insurance Co Ltd Financials 30 669 489 0,13% 0,13% Genting Singapore PLC Consumer Services 24 186 988 0,03% 0,03% Dongbu Securities Co Ltd Financials 230 061 0,03% 0,03% Global Logistic Properties Ltd Financials 20 052 222 0,03% 0,03% Dongbu Steel Co Ltd Basic Materials 205 118 0,03% 0,03% GMG Global Ltd Consumer Goods 763 392 0,02% 0,02% Dongkuk Steel Mill Co Ltd Basic Materials 1 452 632 0,03% 0,03% GuocoLand Ltd Financials 1 014 370 0,01% 0,01% Dongsuh Co Inc Consumer Goods 1 566 306 0,02% 0,02% Hi-P International Ltd Industrials 300 772 0,01% 0,01% Doosan Corp Industrials 39 295 0,00% 0,00% Hong Leong Asia Ltd Industrials 288 663 0,01% 0,01% Doosan Infracore Co Ltd Industrials 9 793 684 0,07% 0,07% Hotel Properties Ltd Consumer Services 4 483 0,00% 0,00% E1 Corp Utilities 1 057 565 0,04% 0,04% Hutchison Port Holdings Trust Industrials 12 797 671 0,04% 0,04% E-Mart Co Ltd Consumer Services 50 156 747 0,12% 0,12% Hyflux Ltd Utilities 1 576 944 0,03% 0,03% Eugene Investment & Securities Co Ltd Financials 196 680 0,03% 0,03% Jardine Cycle & Carriage Ltd Consumer Services 9 464 845 0,02% 0,02% Fila Korea Ltd Consumer Services 4 301 654 0,10% 0,10% Jaya Holdings Ltd Industrials 529 324 0,02% 0,02% Forhuman Co Ltd Technology 0 0,04% 0,04% Jurong Technologies Industrial Corp Ltd Industrials 113 0,00% 0,04% Gamevil Inc Consumer Goods 1 576 546 0,09% 0,09% Keppel Corp Ltd Oil & Gas 38 939 115 0,04% 0,04% GemVax & Kael Co Ltd Technology 1 001 919 0,06% 0,06% Keppel Land Ltd Financials 4 964 487 0,02% 0,02% GIIR Inc Consumer Services 210 460 0,03% 0,03% Keppel REIT Financials 4 479 020 0,03% 0,03% Green Cross Corp/South Korea Health Care 1 231 018 0,01% 0,01% Keppel Telecommunications & GS Engineering & Construction Corp Industrials 4 218 365 0,05% 0,05% Transportation Ltd Industrials 325 590 0,01% 0,01% GS Holdings Oil & Gas 24 825 433 0,08% 0,08% K-Green Trust Industrials 530 246 0,02% 0,02% GS Home Shopping Inc Consumer Services 2 279 149 0,02% 0,02% Linc Energy Ltd Oil & Gas 983 446 0,02% 0,02% Halla Visteon Climate Control Corp Consumer Goods 4 081 643 0,02% 0,02% LionGold Corp Ltd Technology 614 277 0,07% 0,07% Hana Financial Group Inc Financials 32 508 810 0,04% 0,04% Lippo Malls Indonesia Retail Trust Financials 3 188 755 0,07% 0,07% Hana Tour Service Inc Consumer Services 1 734 349 0,04% 0,04% M1 Ltd/Singapore Telecommunications 2 345 876 0,02% 0,02% Handsome Co Ltd Consumer Goods 1 835 286 0,04% 0,04% Mapletree Commercial Trust Financials 4 128 399 0,03% 0,03% Hanil Cement Co Ltd Industrials 1 481 545 0,04% 0,04% Mapletree Industrial Trust Financials 6 757 314 0,06% 0,06% Hanjin Heavy Industries & Construction Co Ltd Industrials 1 429 830 0,03% 0,03% Mapletree Logistics Trust Financials 4 081 449 0,03% 0,03% Hanjin Heavy Industries & Construction Midas Holdings Ltd Basic Materials 936 119 0,03% 0,03% Holdings Co Ltd Industrials 674 105 0,04% 0,04% Olam International Ltd Consumer Goods 5 758 325 0,03% 0,03% Hanjin Kal Corp Consumer Services 819 465 0,03% 0,03% OSIM International Ltd Consumer Goods 1 392 502 0,02% 0,02% Hanjin Shipping Holdings Co Ltd Industrials 972 294 0,07% 0,07% OUE Ltd Consumer Services 3 015 166 0,03% 0,03% Hanjin Transportation Co Ltd Industrials 526 424 0,04% 0,04% Oversea-Chinese Banking Corp Ltd Financials 72 983 015 0,04% 0,04% Hankook Tire Worldwide Co Ltd Consumer Goods 13 586 428 0,12% 0,12% Pacific Andes Resources Development Ltd Consumer Goods 2 553 555 0,08% 0,08% Hanmi Science Co ltd Health Care 883 919 0,02% 0,02% Parkway Life Real Estate Investment Trust Financials 4 200 570 0,06% 0,06% Hansol Paper Co Basic Materials 1 134 849 0,04% 0,04% Raffles Education Corp Ltd Consumer Services 372 411 0,03% 0,03% Hanssem Co Ltd Consumer Goods 1 364 824 0,02% 0,02% Sabana Shari’ah Compliant Industrial Hanwha Chemical Corp Basic Materials 7 030 521 0,04% 0,04% Real Estate Investment Trust Financials 2 786 734 0,08% 0,08% Hanwha Investment & Securities Co Ltd Financials 415 184 0,03% 0,03% SATS Ltd Industrials 5 416 583 0,03% 0,03% Hanwha Life Insurance Co Ltd Financials 7 417 498 0,02% 0,02% Sembcorp Industries Ltd Oil & Gas 13 500 074 0,03% 0,03% Hite Jinro Co Ltd Consumer Goods 1 151 596 0,01% 0,01% Sembcorp Marine Ltd Oil & Gas 6 936 467 0,02% 0,02% Hitejinro Holdings Co Ltd Consumer Goods 248 466 0,02% 0,02% SIA Engineering Co Ltd Industrials 2 139 591 0,01% 0,01% Hotel Shilla Co Ltd Consumer Services 10 428 762 0,07% 0,07% Singapore Airlines Ltd Consumer Services 13 972 382 0,02% 0,02% Huchems Fine Chemical Corp Basic Materials 2 206 658 0,04% 0,04% Singapore Exchange Ltd Financials 12 907 312 0,03% 0,03% Humax Co Ltd Consumer Goods 636 327 0,04% 0,04% Singapore Post Ltd Industrials 3 934 611 0,03% 0,03% Hyosung Corp Industrials 5 448 897 0,04% 0,04% Singapore Telecommunications Ltd Telecommunications 67 341 125 0,02% 0,02% Hyundai Department Store Co Ltd Consumer Services 8 035 491 0,04% 0,04% Sound Global Ltd Industrials 2 371 290 0,05% 0,05% Hyundai Development Co-Engineering & StarHub Ltd Telecommunications 6 077 933 0,02% 0,02% Construction Industrials 7 230 864 0,07% 0,07% Suntec Real Estate Investment Trust Financials 10 803 664 0,06% 0,06% Hyundai Elevator Co Ltd Industrials 909 542 0,02% 0,02% Super Group Ltd/Singapore Consumer Goods 2 081 546 0,02% 0,02% Hyundai Engineering & Construction Co Ltd Industrials 16 120 853 0,04% 0,04%

Foreign exchange reserves Holdings 2013 14 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Hyundai Glovis Co Ltd Industrials 4 955 875 0,01% 0,01% S&T Motiv Co Ltd Consumer Goods 731 333 0,03% 0,03% Hyundai Greenfood Co Ltd Consumer Services 5 119 574 0,05% 0,05% S-1 Corp Industrials 5 066 689 0,03% 0,03% Hyundai Heavy Industries Co Ltd Industrials 14 972 033 0,01% 0,01% Sam Young Electronics Co Ltd Industrials 430 077 0,04% 0,04% Hyundai Home Shopping Network Corp Consumer Services 4 161 525 0,03% 0,03% Samchully Co Ltd Utilities 1 188 570 0,04% 0,04% Hyundai Hysco Co Ltd Basic Materials 6 441 852 0,03% 0,03% Samsung C&T Corp Industrials 19 653 579 0,04% 0,04% Hyundai Marine & Fire Insurance Co Ltd Financials 6 288 748 0,04% 0,04% Samsung Electro-Mechanics Co Ltd Industrials 12 848 075 0,04% 0,04% Hyundai Mipo Dockyard Industrials 54 465 154 0,27% 0,27% Samsung Electronics Co Ltd Consumer Goods 488 002 479 0,04% 0,04% Hyundai Mobis Consumer Goods 65 926 910 0,04% 0,04% Samsung Engineering Co Ltd Industrials 1 412 929 0,01% 0,01% Hyundai Motor Co Consumer Goods 115 450 986 0,04% 0,04% Samsung Fine Chemicals Co Ltd Basic Materials 2 102 348 0,03% 0,03% Hyundai Securities Co Ltd Financials 5 700 794 0,14% 0,14% Samsung Fire & Marine Insurance Co Ltd Financials 33 725 150 0,05% 0,05% Hyundai Steel Co Basic Materials 30 084 576 0,07% 0,07% Samsung Heavy Industries Co Ltd Industrials 15 493 330 0,03% 0,03% Hyundai Wia Corp Consumer Goods 8 415 753 0,03% 0,03% Samsung Life Insurance Co Ltd Financials 24 723 936 0,02% 0,02% Hyunjin Materials Co Ltd Industrials 138 165 0,03% 0,03% Samsung SDI Co Ltd Industrials 6 361 595 0,01% 0,01% Ilyang Pharmaceutical Co Ltd Health Care 763 910 0,03% 0,03% Samsung Securities Co Ltd Financials 3 646 238 0,02% 0,02% Industrial Bank of Korea Financials 6 525 734 0,02% 0,02% Samsung Techwin Co Ltd Industrials 6 897 824 0,04% 0,04% Interpark Corp Consumer Services 1 324 687 0,04% 0,04% Samyang Holdings Corp Consumer Goods 1 722 262 0,05% 0,05% INTOPS Co Ltd Technology 290 224 0,03% 0,03% Seah Besteel Corp Basic Materials 946 198 0,02% 0,02% JB Financial Group Co Ltd Financials 850 055 0,02% 0,02% Seegene Inc Health Care 3 052 200 0,05% 0,05% Jusung Engineering Co Ltd Technology 367 574 0,03% 0,03% Seoul Semiconductor Co Ltd Technology 7 219 132 0,05% 0,05% Kangwon Land Inc Consumer Services 4 177 765 0,01% 0,01% Sewon Cellontech Co Ltd Industrials 128 579 0,03% 0,03% KB Financial Group Inc Financials 51 962 437 0,06% 0,06% SFA Engineering Corp Industrials 1 268 297 0,03% 0,03% KCC Corp Industrials 1 683 280 0,01% 0,01% Shinhan Financial Group Co Ltd Financials 68 539 693 0,05% 0,05% Keangnam Enterprises Ltd Industrials 80 826 0,03% 0,03% Shinsegae Co Ltd Consumer Services 6 164 678 0,04% 0,04% KEPCO Engineering & Construction Co Inc Industrials 1 096 247 0,01% 0,01% Shinsung Solar Energy Co Ltd Technology 97 368 0,03% 0,03% KEPCO Plant Service & Engineering Co Ltd Industrials 3 150 267 0,02% 0,02% Silicon Works Co Ltd Technology 2 302 270 0,10% 0,10% Kia Motors Corp Consumer Goods 46 182 955 0,04% 0,04% Sindoh Co Ltd Technology 659 312 0,02% 0,02% KISCO Corp Basic Materials 390 223 0,03% 0,03% SK Broadband Co Ltd Telecommunications 1 458 094 0,02% 0,02% KISCO Holdings Co Ltd Basic Materials 190 300 0,02% 0,02% SK Chemicals Co Ltd Basic Materials 5 676 012 0,09% 0,09% KIWOOM Securities Co Ltd Financials 1 276 772 0,02% 0,02% SK Communications Co Ltd Technology 340 838 0,03% 0,03% Kolao Holdings Consumer Goods 3 377 488 0,05% 0,05% SK Gas Ltd Utilities 1 505 720 0,04% 0,04% Kolon Corp Basic Materials 136 416 0,01% 0,01% SK Holdings Co Ltd Oil & Gas 17 568 0,00% 0,00% Kolon Global Corp Industrials 122 143 0,01% 0,01% SK Hynix Inc Technology 51 681 424 0,03% 0,03% Kolon Industries Inc Basic Materials 5 419 577 0,07% 0,07% SK Innovation Co Ltd Oil & Gas 34 918 351 0,05% 0,05% Komipharm International Co Ltd Health Care 633 959 0,03% 0,03% SK Networks Co Ltd Industrials 4 958 772 0,05% 0,05% Korea Electric Power Corp Utilities 11 700 294 0,01% 0,01% SK Securities Co Ltd Financials 392 785 0,03% 0,03% Korea Electric Terminal Co Ltd Industrials 994 835 0,04% 0,04% SK Telecom Co Ltd Telecommunications 50 765 568 0,05% 0,05% Korea Gas Corp Utilities 621 766 0,00% 0,00% SKC Co Ltd Basic Materials 1 269 744 0,02% 0,02% Korea Investment Holdings Co Ltd Financials 5 486 017 0,04% 0,04% S-Oil Corp Oil & Gas 9 811 873 0,02% 0,02% Korea Line Corp Industrials 8 734 0,00% 0,00% Ssangyong Cement Industrial Co Ltd Industrials 882 075 0,03% 0,03% Korea Zinc Co Ltd Basic Materials 38 433 436 0,11% 0,11% Ssangyong Motor Co Consumer Goods 3 242 506 0,05% 0,05% Korean Air Lines Co Ltd Consumer Services 3 225 937 0,03% 0,03% STX Corp Co Ltd Industrials 326 413 0,04% 0,04% Korean Reinsurance Co Financials 3 207 383 0,04% 0,04% STX Engine Co Ltd Industrials 227 523 0,02% 0,02% KT Corp Telecommunications 38 374 849 0,08% 0,08% STX Offshore & Shipbuilding Co Ltd Industrials 277 431 0,02% 0,02% KTB Investment & Securities Co Ltd Financials 302 706 0,04% 0,04% STX Pan Ocean Co Ltd Industrials 10 202 0,00% 0,00% Kumho Electric Co Ltd Consumer Goods 381 809 0,04% 0,04% Sung Kwang Bend Co Ltd Industrials 1 330 138 0,03% 0,03% Kumho Industrial Co Ltd Industrials 36 408 0,00% 0,00% Sungwoo Hitech Co Ltd Consumer Goods 2 625 959 0,06% 0,06% Kumho Petro chemical Co Ltd Basic Materials 6 452 891 0,04% 0,04% Taekwang Industrial Co Ltd Basic Materials 3 344 514 0,04% 0,04% Kumho Tire Co Inc Consumer Goods 308 071 0,00% 0,00% Taewoong Co Ltd Industrials 414 282 0,01% 0,01% Kwang Dong Pharmaceutical Co Ltd Health Care 900 156 0,04% 0,04% Taeyoung Engineering & Construction Co Ltd Industrials 735 139 0,03% 0,03% Kyeryong Construction Industrial Co Ltd Industrials 127 530 0,03% 0,03% Taihan Electric Wire Co Ltd Industrials 273 169 0,02% 0,02% Kyobo Securities Co Financials 183 708 0,02% 0,02% TK Corp Industrials 990 614 0,03% 0,03% LG Chem Ltd Basic Materials 14 262 763 0,01% 0,01% Tongyang Inc Industrials 92 560 0,02% 0,02% LG Corp Industrials 71 083 626 0,11% 0,11% Tongyang Life Insurance Financials 2 575 964 0,04% 0,04% LG Display Co Ltd Technology 18 189 840 0,03% 0,03% TONGYANG Securities Inc Financials 724 361 0,04% 0,04% LG Fashion Corp Consumer Goods 2 274 389 0,04% 0,04% Union Steel Basic Materials 103 942 0,01% 0,01% LG Hausys Ltd Industrials 2 422 411 0,03% 0,03% Unison Co Ltd/South Korea Industrials 391 426 0,06% 0,06% LG Household & Health Care Ltd Consumer Goods 2 346 949 0,00% 0,00% Wonik IPS Co Ltd Technology 3 075 962 0,09% 0,09% LG Innotek Co Ltd Industrials 2 931 726 0,03% 0,03% Woongjin Chemical Co Ltd Basic Materials 885 392 0,03% 0,03% LG International Corp Industrials 5 751 536 0,09% 0,09% Woongjin Holdings Co Ltd Industrials 29 465 0,00% 0,00% LG Life Sciences Ltd Health Care 1 549 747 0,04% 0,04% Woongjin Thinkbig Co Ltd Consumer Services 290 750 0,03% 0,03% LIG Insurance Co Ltd Financials 3 420 896 0,03% 0,03% Woori Finance Holdings Co Ltd Financials 16 579 744 0,03% 0,03% Lotte Chemical Corp Basic Materials 2 867 432 0,01% 0,01% Woori Investment & Securities Co Ltd Financials 5 661 155 0,05% 0,05% Lotte Chilsung Beverage Co Ltd Consumer Goods 2 945 614 0,03% 0,03% Youlchon Chemical Co Ltd Industrials 503 223 0,03% 0,03% LOTTE Himart Co Ltd Consumer Services 3 792 176 0,03% 0,03% Young Poong Corp Basic Materials 2 949 839 0,02% 0,02% Lotte Shopping Co Ltd Consumer Services 8 766 627 0,01% 0,01% Youngone Corp Consumer Goods 2 931 817 0,03% 0,03% LS Corp Industrials 4 394 881 0,03% 0,03% Youngone Holdings Co Ltd Consumer Goods 1 360 708 0,02% 0,02% LS Industrial Systems Co Ltd Industrials 1 355 897 0,01% 0,01% Yuhan Corp Health Care 4 649 374 0,04% 0,04% Macquarie Korea Infrastructure Fund Industrials 4 310 773 0,04% 0,04% Zyle Motor Sales Corp Consumer Services 0 0,00% 0,00% Maeil Dairy Industry Co Ltd Consumer Goods 1 038 917 0,03% 0,03% Spain Mando Corp Consumer Goods 6 332 869 0,05% 0,05% Abengoa SA Oil & Gas 2 361 040 0,03% 0,02% Medipost Co Ltd Health Care 2 089 790 0,08% 0,08% Abertis Infraestructuras SA Industrials 32 890 577 0,03% 0,03% MegaStudy Co Ltd Consumer Services 854 890 0,03% 0,03% Acciona SA Industrials 8 357 200 0,04% 0,04% Meritz Financial Group Inc Financials 4 687 561 0,10% 0,10% Acerinox SA Basic Materials 10 131 824 0,05% 0,05% Meritz Fire & Marine Insurance Co Ltd Financials 3 826 832 0,04% 0,04% ACS Actividades de Construccion y Meritz Securities Co Ltd Financials 1 146 556 0,04% 0,04% Servicios SA Industrials 16 833 197 0,03% 0,03% Mirae Asset Securities Co Ltd Financials 1 373 056 0,01% 0,01% Almirall SA Health Care 3 715 322 0,02% 0,02% Namhae Chemical Corp Basic Materials 396 658 0,02% 0,02% Amadeus IT Holding SA Industrials 39 355 075 0,03% 0,03% Namyang Dairy Products Co Ltd Consumer Goods 2 204 727 0,06% 0,06% Atresmedia Corp de Medios de NAVER Corp Technology 52 928 548 0,04% 0,04% Comunicaion S.A. Consumer Services 5 594 904 0,02% 0,02% NCSoft Corp Consumer Goods 2 961 368 0,01% 0,01% Banco Bilbao Vizcaya Argentaria SA Financials 223 404 117 0,05% 0,05% Neowiz Games Corp Consumer Goods 548 847 0,02% 0,02% Banco de Sabadell SA Financials 23 321 319 0,04% 0,04% Nexen Tire Corp Consumer Goods 2 303 529 0,03% 0,03% Banco Popular Espanol SA Financials 21 536 563 0,03% 0,03% NH Investment & Securities Co Ltd Financials 506 514 0,01% 0,01% Banco Santander SA Financials 321 811 279 0,05% 0,05% NHN Entertainment Corp Consumer Goods 3 839 851 0,05% 0,05% Bankinter SA Financials 8 407 161 0,02% 0,02% NongShim Co Ltd Consumer Goods 2 672 277 0,03% 0,03% Bolsas y Mercados Espanoles SA Financials 10 870 009 0,06% 0,06% OCI Materials Co Ltd Basic Materials 1 330 727 0,07% 0,07% CaixaBank SA Financials 8 147 408 0,01% 0,01% Orion Corp/Republic of Korea Consumer Goods 1 325 682 0,00% 0,00% Cementos Portland Valderrivas SA Industrials 297 383 0,02% 0,02% Osstem Implant Co Ltd Health Care 570 176 0,03% 0,03% Construcciones y Auxiliar de Ferrocarriles SA Industrials 5 384 447 0,05% 0,05% Paradise Co Ltd Consumer Services 2 220 113 0,02% 0,02% Corp Financiera Alba SA Financials 7 903 475 0,04% 0,04% Partron Co Ltd Industrials 3 759 073 0,08% 0,08% Deoleo SA Consumer Goods 902 227 0,02% 0,02% Planet82 Inc Industrials 0 0,04% 0,04% Dinamia Capital Privado Sociedad de POSCO Basic Materials 70 768 071 0,04% 0,04% Capital Riesgo SA Financials 1 105 653 0,12% 0,12% Posco ICT Co Ltd Technology 1 160 553 0,02% 0,02% Distribuidora Internacional de Alimentacion SA Consumer Services 14 329 740 0,04% 0,04% S&T Dynamics Co Ltd Consumer Goods 1 362 562 0,06% 0,06% Duro Felguera SA Industrials 2 068 595 0,03% 0,03%

Foreign exchange reserves Holdings 2013 15 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Ebro Foods SA Consumer Goods 8 830 669 0,04% 0,04% SKF AB Industrials 40 117 307 0,03% 0,06% Enagas SA Utilities 22 475 802 0,06% 0,06% SkiStar AB Consumer Services 1 830 185 0,04% 0,06% Ence Energia y Celulosa S.A Basic Materials 3 455 505 0,06% 0,06% SSAB AB Basic Materials 7 534 074 0,05% 0,05% Endesa SA Utilities 11 351 021 0,01% 0,01% Svenska Cellulosa AB SCA Consumer Goods 57 664 991 0,02% 0,04% Faes Farma SA Health Care 431 665 0,01% 0,01% Svenska Handelsbanken AB Financials 68 436 029 0,04% 0,04% Ferrovial SA Industrials 21 692 131 0,03% 0,03% Swedbank AB Financials 102 943 142 0,05% 0,05% Gamesa Corp Tecnologica SA Oil & Gas 10 066 799 0,06% 0,06% Tele2 AB Telecommunications 13 211 618 0,03% 0,04% Gas Natural SDG SA Utilities 26 123 176 0,02% 0,02% Telefonaktiebolaget LM Ericsson Technology 113 957 911 0,03% 0,05% Grifols SA Health Care 25 976 130 0,04% 0,03% TeliaSonera AB Telecommunications 56 764 789 0,03% 0,03% Grupo Catalana Occidente SA Financials 9 240 787 0,04% 0,04% Trelleborg AB Industrials 16 282 557 0,03% 0,05% Iberdrola SA Utilities 101 642 664 0,04% 0,04% Tribona AB Financials 1 686 951 0,12% 0,12% Iberpapel Gestion SA Basic Materials 1 410 909 0,10% 0,10% Volvo AB Industrials 58 784 522 0,07% 0,03% Inditex SA Consumer Services 100 043 434 0,02% 0,02% Wallenstam AB Financials 7 738 104 0,03% 0,05% Indra Sistemas SA Technology 3 949 618 0,02% 0,02% Wihlborgs Fastigheter AB Financials 6 096 511 0,07% 0,07% La Seda de Barcelona SA Basic Materials 132 307 0,06% 0,06% Switzerland Mapfre SA Financials 10 111 302 0,01% 0,01% ABB Ltd Industrials 192 655 467 0,05% 0,05% Melia Hotels International SA Consumer Services 4 195 995 0,03% 0,03% Actelion Ltd Health Care 40 097 099 0,06% 0,06% Obrascon Huarte Lain SA Industrials 9 805 576 0,04% 0,04% Adecco SA Industrials 38 429 566 0,04% 0,04% Papeles y Cartones de Europa SA Basic Materials 1 033 124 0,04% 0,04% Advanced Digital Broadcast Holdings SA Consumer Goods 1 641 817 0,28% 0,28% Pescanova SA Consumer Goods 9 0,04% 0,04% AFG Arbonia-Forster Holding AG Industrials 84 315 0,00% 0,00% Promotora de Informaciones SA Consumer Services 752 246 0,03% 0,02% Allreal Holding AG Financials 4 409 519 0,03% 0,03% Prosegur Cia de Seguridad SA Industrials 7 016 221 0,03% 0,03% Aryzta AG Consumer Goods 26 563 015 0,00% 0,06% Red Electrica Corp SA Utilities 29 236 266 0,05% 0,05% Ascom Holding AG Technology 1 674 856 0,05% 0,05% Repsol SA Oil & Gas 71 708 749 0,04% 0,04% Autoneum Holding AG Consumer Goods 2 087 321 0,05% 0,05% Tecnicas Reunidas SA Oil & Gas 5 123 616 0,03% 0,03% Bachem Holding AG Health Care 654 423 0,01% 0,01% Telefonica SA Telecommunications 210 757 736 0,05% 0,05% Baloise Holding AG Financials 25 239 842 0,07% 0,07% Tubacex SA Basic Materials 2 337 177 0,07% 0,07% Banque Cantonale Vaudoise Financials 5 386 317 0,02% 0,02% Tubos Reunidos SA Basic Materials 1 360 676 0,05% 0,05% Barry Callebaut AG Consumer Goods 6 421 618 0,02% 0,02% Viscofan SA Consumer Goods 7 598 702 0,05% 0,05% Basilea Pharmaceutica Health Care 2 266 300 0,03% 0,03% Zardoya Otis SA Industrials 3 505 388 0,01% 0,01% Basler Kantonalbank Financials 2 572 565 0,02% 0,02% Zeltia SA Health Care 2 115 172 0,05% 0,05% BB Biotech AG Health Care 4 693 918 0,04% 0,04% Sweden Belimo Holding AG Industrials 1 426 411 0,01% 0,01% AarhusKarlshamn AB Consumer Goods 8 678 696 0,05% 0,05% BKW AG Utilities 1 262 157 0,01% 0,01% Active Biotech AB Health Care 1 128 136 0,02% 0,02% Bobst Group SA Industrials 2 343 166 0,06% 0,06% AF AB Industrials 334 959 0,00% 0,00% Bucher Industries AG Industrials 9 798 739 0,05% 0,05% Alfa Laval AB Industrials 19 902 774 0,03% 0,03% Burckhardt Compression Holding AG Industrials 5 918 677 0,07% 0,07% Assa Abloy AB Industrials 43 189 565 0,02% 0,04% Charles Voegele Holding AG Consumer Services 475 210 0,07% 0,07% Atlas Copco AB Industrials 114 048 587 0,05% 0,06% Cie Financiere Richemont SA Consumer Goods 154 511 637 0,00% 0,02% Axfood AB Consumer Services 5 773 396 0,04% 0,04% Cie Financiere Tradition SA Financials 478 080 0,02% 0,02% Axis Communications AB Technology 7 948 777 0,05% 0,05% Clariant AG Basic Materials 13 910 567 0,04% 0,04% BE Group AB Basic Materials 403 823 0,07% 0,07% Credit Suisse Group AG Financials 127 961 561 0,04% 0,04% Betsson AB Consumer Services 2 342 080 0,01% 0,03% Daetwyler Holding AG Industrials 2 029 336 0,01% 0,01% BillerudKorsnas AB Basic Materials 9 335 660 0,06% 0,06% DKSH Holding AG Industrials 3 786 660 0,01% 0,01% Boliden AB Basic Materials 17 060 267 0,07% 0,07% Dufry AG Consumer Services 11 332 241 0,03% 0,03% Bure Equity AB Financials 2 157 558 0,11% 0,11% EFG International AG Financials 1 411 886 0,01% 0,01% Castellum AB Financials 8 851 239 0,05% 0,05% Emmi AG Consumer Goods 1 166 079 0,01% 0,01% CDON Group AB Consumer Services 139 010 0,00% 0,00% EMS-Chemie Holding AG Basic Materials 6 074 374 0,01% 0,01% Clas Ohlson AB Consumer Services 1 984 672 0,01% 0,03% Etrion Corp Utilities 152 025 0,02% 0,02% Concentric AB Industrials 2 233 824 0,07% 0,07% Flughafen Zuerich AG Industrials 7 943 897 0,04% 0,04% D Carnegie & Co AB Financials 0 0,00% 0,00% Forbo Holding AG Industrials 6 840 714 0,06% 0,06% Electrolux AB Consumer Goods 17 260 677 0,03% 0,04% Galenica AG Consumer Services 16 539 815 0,04% 0,04% Elekta AB Health Care 16 860 292 0,04% 0,05% GAM Holding AG Financials 10 666 355 0,05% 0,05% Eniro AB Consumer Services 3 885 783 0,08% 0,08% Gategroup Holding AG Consumer Services 2 456 290 0,06% 0,06% Fabege AB Financials 5 517 270 0,05% 0,05% Geberit AG Industrials 31 111 101 0,04% 0,04% Getinge AB Health Care 18 461 999 0,02% 0,04% Georg Fischer AG Industrials 9 207 563 0,05% 0,05% Gunnebo AB Industrials 1 552 938 0,05% 0,05% Givaudan SA Basic Materials 36 449 234 0,05% 0,05% Haldex AB Consumer Goods 1 842 329 0,07% 0,07% Gurit Holding AG Basic Materials 941 431 0,05% 0,05% Hennes & Mauritz AB Consumer Services 139 051 435 0,01% 0,03% Helvetia Holding AG Financials 11 096 551 0,04% 0,04% Hexagon AB Industrials 19 942 689 0,02% 0,03% Holcim Ltd Industrials 58 541 143 0,04% 0,04% Holmen AB Basic Materials 1 401 449 0,00% 0,01% Huber & Suhner AG Technology 3 399 322 0,05% 0,05% Hufvudstaden AB Financials 6 296 307 0,01% 0,04% Julius Baer Group Ltd Financials 27 681 287 0,04% 0,04% Husqvarna AB Consumer Goods 6 494 408 0,08% 0,03% Kaba Holding AG Industrials 8 147 066 0,07% 0,07% ICA Gruppen AB Consumer Services 10 362 156 0,03% 0,03% Kardex AG Industrials 2 431 821 0,12% 0,12% Industrivarden AB Financials 24 331 608 0,05% 0,05% Kudelski SA Technology 1 194 752 0,01% 0,01% Intrum Justitia AB Financials 4 828 845 0,04% 0,04% Kuehne + Nagel International AG Industrials 15 520 221 0,02% 0,02% Investment AB Kinnevik Financials 29 159 431 0,02% 0,04% Kuoni Reisen Holding AG Consumer Services 3 656 825 0,03% 0,03% Investment AB Oresund Financials 513 773 0,02% 0,02% Liechtensteinische Landesbank AG Financials 2 423 056 0,03% 0,03% Investor AB Financials 53 716 717 0,01% 0,03% Lindt & Spruengli AG Consumer Goods 28 500 634 0,04% 0,05% JM AB Financials 5 223 980 0,04% 0,04% Logitech International SA Technology 8 881 250 0,06% 0,06% KappAhl AB Consumer Services 808 782 0,03% 0,03% Lonza Group AG Health Care 17 065 234 0,06% 0,06% Klovern AB Financials 3 100 917 0,05% 0,05% Meyer Burger Technology AG Industrials 1 734 564 0,03% 0,03% Kungsleden AB Financials 4 040 315 0,07% 0,07% Mobimo Holding AG Financials 4 802 565 0,06% 0,06% Lindab International AB Industrials 2 497 041 0,05% 0,05% Nestle SA Consumer Goods 775 254 097 0,05% 0,05% Loomis AB Industrials 3 966 499 0,03% 0,04% Nobel Biocare Holding AG Health Care 7 425 541 0,06% 0,06% Lundbergforetagen AB Financials 5 718 610 0,00% 0,02% Novartis AG Health Care 619 660 024 0,05% 0,05% Lundin Petroleum AB Oil & Gas 7 117 667 0,02% 0,02% OC Oerlikon Corp AG Industrials 13 612 851 0,05% 0,05% Meda AB Health Care 8 481 514 0,04% 0,04% Panalpina Welttransport Holding AG Industrials 5 689 683 0,02% 0,02% Mekonomen AB Consumer Goods 1 620 077 0,02% 0,02% Pargesa Holding SA Financials 7 384 145 0,01% 0,01% Modern Times Group AB Consumer Services 10 286 147 0,03% 0,05% Partners Group Holding AG Financials 14 320 246 0,03% 0,03% Munksjo Oyj Basic Materials 70 829 0,00% 0,00% Petroplus Holdings AG Oil & Gas 41 0,06% 0,06% NCC AB Industrials 7 159 262 0,01% 0,03% PSP Swiss Property AG Financials 10 933 697 0,05% 0,05% Nibe Industrier AB Industrials 3 631 306 0,01% 0,02% Rieter Holding AG Industrials 3 092 915 0,05% 0,05% Nobia AB Consumer Goods 3 238 169 0,04% 0,04% Roche Holding AG Health Care 654 715 619 0,00% 0,04% Nordea Bank AB Financials 126 801 208 0,04% 0,04% Schindler Holding AG Industrials 22 337 133 0,02% 0,02% Peab AB Industrials 4 330 350 0,02% 0,04% Schmolz + Bickenbach AG Basic Materials 3 869 337 0,05% 0,05% Ratos AB Financials 7 366 096 0,01% 0,04% Schweiter Technologies AG Industrials 3 620 723 0,05% 0,05% Rezidor Hotel Group AB Consumer Services 3 080 032 0,05% 0,05% SGS SA Industrials 29 899 860 0,03% 0,03% Saab AB Industrials 4 920 944 0,02% 0,03% Sika AG Industrials 10 534 544 0,01% 0,01% Sandvik AB Industrials 57 806 347 0,05% 0,05% Sonova Holding AG Health Care 26 532 466 0,05% 0,05% SAS AB Consumer Services 1 581 533 0,03% 0,03% St Galler Kantonalbank AG Financials 2 587 595 0,02% 0,02% Scania AB Industrials 19 320 765 0,01% 0,02% Straumann Holding AG Health Care 5 924 807 0,03% 0,03% Securitas AB Industrials 12 544 476 0,04% 0,05% Sulzer AG Industrials 13 114 683 0,04% 0,04% Skandinaviska Enskilda Banken AB Financials 67 514 088 0,04% 0,04% Swatch Group AG/The Consumer Goods 84 871 686 0,06% 0,06% Skanska AB Industrials 18 044 814 0,01% 0,03% Swiss Life Holding AG Financials 22 668 699 0,06% 0,06%

Foreign exchange reserves Holdings 2013 16 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Swiss Prime Site AG Financials 13 859 767 0,05% 0,05% Coca-Cola HBC AG Consumer Goods 8 769 269 0,01% 0,01% Swiss Re AG Financials 146 933 764 0,07% 0,07% Cohort PLC Industrials 938 573 0,11% 0,11% Swisscom AG Telecommunications 31 821 274 0,02% 0,02% Colt Group SA Telecommunications 2 531 898 0,02% 0,02% Swissquote Group Holding SA Financials 352 530 0,01% 0,01% Compass Group PLC Consumer Services 98 663 232 0,06% 0,06% Syngenta AG Basic Materials 114 239 835 0,05% 0,05% Computacenter PLC Technology 4 986 293 0,06% 0,06% Tecan Group AG Health Care 6 657 814 0,08% 0,08% Cranswick PLC Consumer Goods 4 399 469 0,08% 0,08% Temenos Group AG Technology 5 727 737 0,05% 0,05% CRH PLC Industrials 66 532 321 0,06% 0,06% Transocean Ltd Oil & Gas 45 975 300 0,04% 0,04% Croda International PLC Basic Materials 18 725 469 0,06% 0,06% UBS AG Financials 204 270 095 0,05% 0,05% CSR PLC Technology 5 860 346 0,06% 0,06% Valiant Holding AG Financials 4 688 865 0,05% 0,05% Daejan Holdings PLC Financials 1 606 213 0,02% 0,02% Valora Holding AG Consumer Services 4 073 413 0,07% 0,07% Daily Mail & General Trust PLC Consumer Services 12 823 800 0,00% 0,04% Verwaltungs- und Privat-Bank AG Financials 1 928 826 0,03% 0,03% Dairy Crest Group PLC Consumer Goods 1 387 547 0,02% 0,02% Vetropack Holding AG Industrials 857 136 0,01% 0,01% Darty Plc Consumer Services 3 206 554 0,05% 0,05% Von Roll Holding AG Industrials 576 228 0,03% 0,03% DCC PLC Industrials 13 749 808 0,05% 0,05% Vontobel Holding AG Financials 5 959 469 0,04% 0,04% De La Rue PLC Industrials 4 437 001 0,05% 0,05% Walter Meier AG Industrials 553 896 0,01% 0,01% Debenhams PLC Consumer Services 7 405 875 0,08% 0,08% Zehnder Group AG Industrials 1 980 194 0,04% 0,04% Dechra Pharmaceuticals PLC Health Care 3 637 862 0,06% 0,06% Zueblin Immobilien Holding AG Financials 301 317 0,04% 0,04% Derwent London PLC Financials 14 189 294 0,06% 0,06% Zurich Insurance Group AG Financials 170 102 956 0,07% 0,07% Development Securities PLC Financials 2 542 083 0,08% 0,08% Taiwan Devro PLC Consumer Goods 3 766 568 0,08% 0,08% Everskill Technology Co Ltd Industrials 3 0,03% 0,03% Diageo PLC Consumer Goods 276 338 317 0,05% 0,05% Ya Hsin Industrial Co Ltd Industrials 0 0,00% 0,00% Dignity PLC Consumer Services 5 212 759 0,07% 0,07% United Kingdom Direct Line Insurance Group PLC Financials 3 762 054 0,01% 0,01% 3i Group PLC Financials 22 301 104 0,06% 0,06% Dixons Retail PLC Consumer Services 9 118 144 0,05% 0,05% 888 Holdings PLC Consumer Services 1 275 167 0,02% 0,02% Domino Printing Sciences PLC Industrials 4 614 593 0,05% 0,05% Aberdeen Asset Management PLC Financials 27 060 058 0,04% 0,04% Domino’s Pizza Group PLC Consumer Services 5 592 426 0,07% 0,07% Admiral Group PLC Financials 6 999 515 0,02% 0,02% Drax Group PLC Utilities 14 918 466 0,05% 0,05% Afren PLC Oil & Gas 12 436 254 0,07% 0,07% DS Smith PLC Industrials 22 602 730 0,07% 0,07% African Barrick Gold PLC Basic Materials 1 324 589 0,02% 0,02% Dunelm Group PLC Consumer Services 5 258 284 0,03% 0,03% Aggreko PLC Industrials 23 061 858 0,05% 0,05% easyJet PLC Consumer Services 24 866 133 0,04% 0,04% Albemarle & Bond Holdings Financials 2 512 782 2,54% 2,54% Electrocomponents PLC Industrials 8 854 264 0,07% 0,07% Alent PLC Basic Materials 5 442 388 0,05% 0,05% Elementis PLC Basic Materials 8 687 768 0,07% 0,07% Alternative Networks PLC Telecommunications 433 204 0,02% 0,02% EnQuest PLC Oil & Gas 6 909 076 0,06% 0,06% AMEC PLC Oil & Gas 17 549 665 0,05% 0,05% Enterprise Inns PLC Consumer Services 6 831 267 0,09% 0,09% Amino Technologies PLC Technology 2 974 051 0,63% 0,63% Essar Energy PLC Oil & Gas 28 739 0,00% 0,00% Amlin PLC Financials 12 762 496 0,06% 0,06% Essentra PLC Industrials 12 404 043 0,06% 0,06% Anglo American PLC Basic Materials 94 362 387 0,05% 0,05% Euromoney Institutional Investor PLC Consumer Services 3 134 623 0,02% 0,02% Anglo Pacific Group PLC Basic Materials 695 399 0,03% 0,03% Evraz PLC Basic Materials 7 876 325 0,05% 0,05% Antofagasta PLC Basic Materials 20 770 871 0,03% 0,03% Experian PLC Industrials 52 580 920 0,05% 0,05% Aquarius Platinum Ltd Basic Materials 931 646 0,05% 0,05% F&C Asset Management PLC Financials 3 172 628 0,06% 0,06% ARM Holdings PLC Technology 76 513 373 0,05% 0,05% Fenner PLC Industrials 5 564 969 0,06% 0,06% Ashmore Group PLC Financials 8 940 004 0,03% 0,03% Ferrexpo PLC Basic Materials 1 857 412 0,02% 0,02% Ashtead Group PLC Industrials 29 024 300 0,08% 0,08% Fidessa Group PLC Technology 3 052 821 0,04% 0,04% Associated British Foods PLC Consumer Goods 45 484 271 0,02% 0,02% Firstgroup PLC Consumer Services 8 289 127 0,06% 0,06% AstraZeneca PLC Health Care 282 034 991 0,06% 0,06% Fresnillo PLC Basic Materials 3 922 710 0,01% 0,01% Aveva Group PLC Technology 10 205 275 0,07% 0,07% G4S PLC Industrials 16 260 098 0,04% 0,04% Aviva PLC Financials 74 793 314 0,06% 0,06% Galliford Try PLC Industrials 6 966 537 0,07% 0,07% AZ Electronic Materials SA Basic Materials 8 102 651 0,05% 0,05% Gem Diamonds Ltd Basic Materials 659 886 0,03% 0,03% Babcock International Group PLC Industrials 20 154 377 0,04% 0,04% Genus PLC Health Care 5 535 572 0,07% 0,07% BAE Systems PLC Industrials 84 589 441 0,06% 0,06% GKN PLC Consumer Goods 34 030 878 0,06% 0,06% Balfour Beatty PLC Industrials 10 944 364 0,06% 0,06% GlaxoSmithKline PLC Health Care 427 933 575 0,05% 0,05% Barclays PLC Financials 217 203 780 0,05% 0,05% Glencore Xstrata PLC Basic Materials 136 949 816 0,03% 0,03% Barratt Developments PLC Consumer Goods 17 820 933 0,05% 0,05% Go-Ahead Group PLC Consumer Services 5 520 418 0,07% 0,07% BBA Aviation PLC Industrials 11 475 869 0,07% 0,07% Grafton Group PLC Industrials 6 898 617 0,05% 0,05% Beazley PLC Financials 11 832 336 0,08% 0,08% Grainger PLC Financials 3 832 816 0,05% 0,05% Bellway PLC Consumer Goods 9 528 526 0,05% 0,05% Great Portland Estates PLC Financials 9 464 815 0,05% 0,05% Berendsen PLC Industrials 7 285 721 0,04% 0,04% Greencore Group PLC Consumer Goods 6 859 349 0,08% 0,08% Berkeley Group Holdings PLC Consumer Goods 24 369 146 0,07% 0,07% Greene King PLC Consumer Services 14 085 507 0,07% 0,07% Betfair Group PLC Consumer Services 5 082 896 0,04% 0,04% Greggs PLC Consumer Services 3 600 502 0,08% 0,08% BG Group PLC Oil & Gas 220 471 106 0,05% 0,05% H&T Group PLC Financials 384 762 0,07% 0,07% BHP Billiton PLC Basic Materials 306 802 243 0,08% 0,03% Halfords Group PLC Consumer Services 7 174 757 0,08% 0,08% Big Yellow Group PLC Financials 2 442 591 0,04% 0,04% Halma PLC Industrials 11 942 034 0,05% 0,05% Bodycote PLC Industrials 9 112 313 0,07% 0,07% Hammerson PLC Financials 18 355 061 0,05% 0,05% Booker Group PLC Consumer Services 17 485 973 0,06% 0,06% Hansteen Holdings PLC Financials 4 280 342 0,06% 0,06% Bovis Homes Group PLC Consumer Goods 3 428 255 0,03% 0,03% Hargreaves Lansdown PLC Financials 16 120 228 0,02% 0,02% BP PLC Oil & Gas 528 594 783 0,06% 0,06% Hays PLC Industrials 8 879 500 0,05% 0,05% Braemar Shipping Services PLC Industrials 410 348 0,03% 0,03% Helical Bar PLC Financials 2 274 212 0,06% 0,06% Brewin Dolphin Holdings PLC Financials 4 558 537 0,05% 0,05% Helphire PLC Financials 3 084 064 0,21% 0,20% Brightside Group PLC Financials 2 858 519 0,35% 0,35% Henderson Group PLC Financials 14 442 372 0,06% 0,06% British Land Co PLC Financials 439 769 0,00% 0,00% Heritage Oil PLC Oil & Gas 788 425 0,02% 0,02% British Sky Broadcasting Group PLC Consumer Services 52 980 786 0,04% 0,04% Hikma Pharmaceuticals PLC Health Care 11 136 390 0,05% 0,05% Britvic PLC Consumer Goods 8 427 866 0,05% 0,05% Hiscox Ltd Financials 13 135 639 0,05% 0,05% BT Group PLC Telecommunications 167 966 697 0,06% 0,06% Hochschild Mining PLC Basic Materials 2 502 671 0,05% 0,05% BTG PLC Health Care 11 990 481 0,06% 0,06% Home Retail Group PLC Consumer Services 7 895 986 0,05% 0,05% Bunzl PLC Industrials 20 739 698 0,04% 0,04% Homeserve PLC Industrials 4 866 929 0,05% 0,05% Burberry Group PLC Consumer Goods 38 743 415 0,06% 0,06% Howden Joinery Group PLC Industrials 15 967 112 0,07% 0,07% Bwin.Party Digital Entertainment PLC Consumer Services 4 378 033 0,00% 0,04% HSBC Holdings PLC Financials 683 034 543 0,05% 0,05% Cable & Wireless Communications PLC Telecommunications 7 361 778 0,05% 0,05% Hunting PLC Oil & Gas 7 291 487 0,06% 0,06% Cairn Energy PLC Oil & Gas 2 697 373 0,02% 0,02% ICAP PLC Financials 13 306 167 0,05% 0,05% Cape PLC Oil & Gas 1 911 848 0,06% 0,06% IG Group Holdings PLC Financials 12 463 402 0,06% 0,06% Capita PLC Industrials 29 829 012 0,04% 0,04% Imagination Technologies Group PLC Technology 3 270 053 0,07% 0,07% Capital & Counties Properties PLC Financials 15 757 356 0,06% 0,06% IMI PLC Industrials 28 553 111 0,06% 0,06% Carillion PLC Industrials 7 369 159 0,05% 0,05% Immunodiagnostic Systems Holdings PLC Health Care 1 523 654 0,10% 0,10% Carnival PLC Consumer Services 19 654 139 0,04% 0,01% Inchcape PLC Consumer Services 15 728 700 0,06% 0,06% Carpetright PLC Consumer Services 1 869 569 0,05% 0,05% Informa PLC Consumer Services 19 287 201 0,06% 0,06% Carphone Warehouse Group PLC Consumer Services 2 482 267 0,02% 0,02% Inmarsat PLC Telecommunications 1 533 876 0,00% 0,00% Catlin Group Ltd Financials 11 364 010 0,05% 0,05% InterContinental Hotels Group PLC Consumer Services 23 052 587 0,04% 0,04% Centamin PLC Basic Materials 7 679 956 0,16% 0,16% Intermediate Capital Group PLC Financials 9 099 413 0,05% 0,05% Centrica PLC Utilities 97 110 559 0,05% 0,05% International Consolidated Airlines Group SA Consumer Services 15 102 091 0,02% 0,02% Chemring Group PLC Industrials 2 128 245 0,05% 0,05% International Personal Finance PLC Financials 9 254 473 0,08% 0,08% Chesnara PLC Financials 2 459 839 0,07% 0,07% Interserve PLC Industrials 5 634 037 0,07% 0,07% Cineworld Group PLC Consumer Services 5 727 486 0,10% 0,10% Intertek Group PLC Industrials 21 307 495 0,04% 0,04% Close Brothers Group PLC Financials 10 514 289 0,05% 0,05% Intu Properties PLC Financials 9 915 792 0,03% 0,03% Cobham PLC Industrials 19 454 642 0,07% 0,07% Invensys PLC Technology 16 580 852 0,05% 0,05%

Foreign exchange reserves Holdings 2013 17 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Investec PLC Financials 12 749 835 0,05% 0,03% Schroders PLC Financials 21 116 004 0,03% 0,03% ITE Group PLC Consumer Services 5 825 389 0,08% 0,08% SDL PLC Technology 1 948 041 0,07% 0,07% ITV PLC Consumer Services 30 596 058 0,04% 0,04% Segro PLC Financials 15 273 536 0,06% 0,06% J Sainsbury PLC Consumer Services 21 885 635 0,03% 0,03% Senior PLC Industrials 8 724 199 0,07% 0,07% Jardine Lloyd Thompson Group PLC Financials 10 953 717 0,05% 0,05% Severn Trent PLC Utilities 21 088 901 0,05% 0,05% JD Wetherspoon PLC Consumer Services 5 073 090 0,05% 0,05% Shaftesbury PLC Financials 11 244 784 0,07% 0,07% JKX Oil & Gas PLC Oil & Gas 739 994 0,06% 0,06% Shanks Group PLC Industrials 3 075 937 0,07% 0,07% John Wood Group PLC Oil & Gas 11 821 769 0,05% 0,05% Shire PLC Health Care 85 612 921 0,05% 0,05% Johnson Matthey PLC Basic Materials 34 941 255 0,05% 0,05% SIG PLC Industrials 6 450 774 0,05% 0,05% Jupiter Fund Management PLC Financials 6 005 483 0,03% 0,03% Smith & Nephew PLC Health Care 50 936 503 0,07% 0,07% Kazakhmys PLC Basic Materials 197 381 0,00% 0,00% Smiths Group PLC Industrials 32 303 135 0,06% 0,06% Kcom Group PLC Telecommunications 3 681 044 0,07% 0,07% Spectris PLC Industrials 16 476 640 0,05% 0,05% Keller Group PLC Industrials 5 521 821 0,07% 0,07% Speedy Hire PLC Industrials 2 357 618 0,07% 0,07% Kenmare Resources PLC Basic Materials 3 564 163 0,06% 0,06% Spirax-Sarco Engineering PLC Industrials 15 907 191 0,07% 0,07% Kier Group PLC Industrials 1 069 616 0,01% 0,01% Spirent Communications PLC Technology 3 620 605 0,06% 0,06% Kingfisher PLC Consumer Services 57 071 681 0,06% 0,06% Spirit Pub Co PLC Consumer Services 1 661 737 0,03% 0,03% Ladbrokes PLC Consumer Services 10 626 814 0,06% 0,06% Sports Direct International PLC Consumer Services 3 814 886 0,01% 0,01% Laird PLC Technology 5 385 952 0,07% 0,07% SSE PLC Utilities 63 822 766 0,05% 0,05% Lamprell PLC Oil & Gas 922 447 0,03% 0,03% St James’s Place PLC Financials 11 923 254 0,03% 0,03% Lancashire Holdings Ltd Financials 9 161 389 0,06% 0,06% ST Modwen Properties PLC Financials 3 888 644 0,05% 0,05% Land Securities Group PLC Financials 40 671 040 0,05% 0,05% Stagecoach Group PLC Consumer Services 6 963 282 0,03% 0,03% Legal & General Group PLC Financials 71 543 078 0,05% 0,05% Standard Chartered PLC Financials 146 146 268 0,04% 0,04% Lloyds Banking Group PLC Financials 125 564 305 0,02% 0,02% Standard Life PLC Financials 46 604 245 0,05% 0,05% London Stock Exchange Group PLC Financials 16 474 104 0,03% 0,03% Sthree PLC Industrials 2 732 495 0,06% 0,06% Londonmetric Property PLC Financials 1 747 926 0,02% 0,02% Stobart Group Ltd Industrials 358 142 0,01% 0,01% Lonmin PLC Basic Materials 556 397 0,00% 0,00% SuperGroup PLC Consumer Goods 1 435 757 0,01% 0,01% Man Group PLC Financials 6 751 240 0,04% 0,04% Synergy Health PLC Health Care 2 680 879 0,04% 0,04% Mapeley Ltd Financials 9 0,03% 0,03% Synthomer PLC Basic Materials 5 178 348 0,06% 0,06% Marks & Spencer Group PLC Consumer Services 32 180 849 0,05% 0,05% TalkTalk Telecom Group PLC Telecommunications 11 813 856 0,04% 0,04% Marshalls PLC Industrials 2 580 841 0,07% 0,07% Talvivaara Mining Co PLC Basic Materials 376 755 0,03% 0,03% Marston’s PLC Consumer Services 2 201 816 0,03% 0,03% Tate & Lyle PLC Consumer Goods 23 191 416 0,06% 0,06% McBride PLC Consumer Goods 1 294 964 0,07% 0,07% Taylor Wimpey PLC Consumer Goods 19 152 994 0,05% 0,05% Meggitt PLC Industrials 23 682 826 0,06% 0,06% Telecity Group PLC Technology 7 629 770 0,05% 0,05% Melrose Industries PLC Industrials 15 054 879 0,04% 0,04% Tesco PLC Consumer Services 139 888 934 0,05% 0,05% Michael Page International PLC Industrials 8 345 713 0,05% 0,05% Thomas Cook Group PLC Consumer Services 9 879 355 0,04% 0,04% Micro Focus International PLC Technology 6 099 157 0,06% 0,06% Travis Perkins PLC Industrials 25 076 345 0,05% 0,05% Millennium & Copthorne Hotels PLC Consumer Services 4 145 373 0,02% 0,02% TUI Travel PLC Consumer Services 11 234 091 0,02% 0,02% Mitchells & Butlers PLC Consumer Services 9 206 202 0,05% 0,05% Tullett Prebon PLC Financials 4 178 305 0,05% 0,05% Mitie Group PLC Industrials 8 335 794 0,07% 0,07% Tullow Oil PLC Oil & Gas 38 799 448 0,05% 0,05% Mondi PLC Basic Materials 21 480 183 0,06% 0,04% UBM PLC Consumer Services 10 626 898 0,07% 0,07% Morgan Advanced Materials PLC Industrials 7 385 365 0,08% 0,08% UDG Healthcare PLC Consumer Services 5 556 763 0,07% 0,07% Morgan Sindall Group PLC Industrials 1 744 418 0,05% 0,05% Ultra Electronics Holdings PLC Industrials 9 491 399 0,07% 0,07% Mothercare PLC Consumer Services 2 409 650 0,07% 0,07% Unilever PLC Consumer Goods 187 540 180 0,06% 0,03% Mucklow A & J Group PLC Financials 840 222 0,03% 0,03% Unite Group PLC Financials 7 593 443 0,11% 0,11% N Brown Group PLC Consumer Services 7 825 098 0,05% 0,05% United Utilities Group PLC Utilities 20 169 403 0,04% 0,04% National Express Group PLC Consumer Services 4 029 911 0,03% 0,03% Vesuvius PLC Industrials 7 612 941 0,05% 0,05% National Grid PLC Utilities 157 278 037 0,05% 0,05% Victrex PLC Basic Materials 11 510 586 0,07% 0,07% New World Resources PLC Basic Materials 401 169 0,02% 0,02% Vodafone Group PLC Telecommunications 631 626 586 0,05% 0,05% Next PLC Consumer Services 37 945 145 0,04% 0,04% Weir Group PLC/The Industrials 19 654 782 0,04% 0,04% Northern Rock Asset Management PLC Financials 307 0,07% 0,07% WH Smith PLC Consumer Services 11 322 995 0,09% 0,09% Ocado Group PLC Consumer Services 12 742 178 0,05% 0,05% Whitbread PLC Consumer Services 28 996 720 0,04% 0,04% Old Mutual PLC Financials 50 888 397 0,04% 0,05% William Hill PLC Consumer Services 23 782 907 0,07% 0,07% Ophir Energy PLC Oil & Gas 6 149 241 0,03% 0,03% Wincanton PLC Industrials 1 102 549 0,07% 0,07% Oxford Instruments PLC Industrials 6 860 966 0,07% 0,07% WM Morrison Supermarkets PLC Consumer Services 39 056 042 0,06% 0,06% Pace PLC Technology 6 353 761 0,06% 0,06% Wolfson Microelectronics PLC Technology 1 252 402 0,07% 0,07% Paragon Group of Cos PLC Financials 9 401 440 0,08% 0,08% Wolseley PLC Industrials 62 796 988 0,07% 0,07% Park Group PLC Financials 2 893 486 0,29% 0,29% Workspace Group PLC Financials 7 735 255 0,10% 0,10% Pearson PLC Consumer Services 60 591 115 0,05% 0,05% WPP PLC Consumer Services 93 732 014 0,05% 0,05% Pennon Group PLC Utilities 14 125 643 0,06% 0,06% WS Atkins PLC Industrials 10 825 774 0,08% 0,08% Persimmon PLC Consumer Goods 25 001 329 0,07% 0,07% Xchanging PLC Industrials 2 478 223 0,07% 0,07% Petrofac Ltd Oil & Gas 15 461 223 0,04% 0,04% United States Petropavlovsk PLC Basic Materials 1 364 522 0,09% 0,09% 1st Source Corp Financials 991 548 0,02% 0,02% Phoenix Group Holdings Financials 5 423 129 0,03% 0,03% 3D Systems Corp Technology 30 287 490 0,05% 0,05% Premier Farnell PLC Industrials 5 913 183 0,07% 0,07% 3M Co Industrials 320 324 074 0,06% 0,06% Premier Foods PLC Consumer Goods 1 230 781 0,04% 0,04% A Schulman Inc Basic Materials 6 779 676 0,11% 0,11% Premier Oil PLC Oil & Gas 11 622 125 0,07% 0,07% AAON Inc Industrials 2 592 167 0,04% 0,04% Provident Financial PLC Financials 15 414 928 0,07% 0,07% AAR Corp Industrials 4 973 753 0,07% 0,07% Prudential PLC Financials 186 048 667 0,05% 0,05% Aaron’s Inc Consumer Services 8 337 869 0,06% 0,06% PZ Cussons PLC Consumer Goods 7 776 615 0,05% 0,05% Abaxis Inc Health Care 4 509 681 0,08% 0,08% QinetiQ Group PLC Industrials 7 191 497 0,05% 0,05% Abbott Laboratories Health Care 217 887 308 0,06% 0,06% Randgold Resources Ltd Basic Materials 15 950 581 0,05% 0,05% AbbVie Inc Health Care 272 677 177 0,05% 0,05% Rathbone Brothers PLC Financials 5 026 229 0,07% 0,07% Abercrombie & Fitch Co Consumer Services 12 610 128 0,08% 0,08% Reckitt Benckiser Group PLC Consumer Goods 169 069 130 0,05% 0,05% ABIOMED Inc Health Care 2 858 125 0,04% 0,04% Redrow PLC Consumer Goods 819 344 0,01% 0,01% ABM Industries Inc Industrials 5 764 999 0,06% 0,06% Reed Elsevier PLC Consumer Services 65 864 775 0,06% 0,06% Acacia Research Corp Industrials 2 029 582 0,05% 0,05% Regus PLC Industrials 7 612 206 0,04% 0,04% Acadia Healthcare Co Inc Health Care 5 929 237 0,04% 0,04% Renishaw PLC Industrials 5 175 195 0,04% 0,04% Acadia Realty Trust Financials 5 749 171 0,07% 0,07% Rentokil Initial PLC Industrials 1 942 720 0,01% 0,01% Accenture PLC Industrials 176 174 473 0,06% 0,05% Resolution Ltd Financials 28 503 584 0,06% 0,06% ACCO Brands Corp Consumer Goods 1 939 066 0,04% 0,04% Restaurant Group PLC/The Consumer Services 8 481 973 0,07% 0,07% Accretive Health Inc Health Care 1 188 970 0,02% 0,02% Rexam PLC Industrials 24 940 882 0,06% 0,06% Accuray Inc Health Care 3 857 115 0,10% 0,10% Rightmove PLC Consumer Services 16 252 213 0,06% 0,06% ACE Ltd Financials 116 551 674 0,05% 0,05% Rolls-Royce Holdings PLC Industrials 123 877 451 0,05% 0,05% ACI Worldwide Inc Technology 9 976 146 0,07% 0,07% Rotork PLC Industrials 12 804 246 0,05% 0,05% Acorda Therapeutics Inc Health Care 5 314 561 0,07% 0,07% Royal Bank of Scotland Group PLC Financials 34 194 639 0,02% 0,00% Actavis plc Health Care 100 457 426 0,06% 0,06% Royal Dutch Shell PLC Oil & Gas 803 363 334 0,06% 0,06% Activision Blizzard Inc Consumer Goods 46 544 545 0,06% 0,06% Royal Mail PLC Industrials 7 063 880 0,01% 0,01% Actuant Corp Industrials 8 539 691 0,05% 0,05% RPS Group PLC Industrials 5 460 415 0,07% 0,07% Acuity Brands Inc Industrials 16 260 362 0,06% 0,06% RSA Insurance Group PLC Financials 24 397 197 0,07% 0,07% Acxiom Corp Consumer Services 12 792 109 0,08% 0,08% SABMiller PLC Consumer Goods 149 746 163 0,03% 0,03% Addus HomeCare Corp Health Care 1 906 811 0,13% 0,13% Sage Group PLC/The Technology 34 791 989 0,08% 0,08% Adecoagro SA Consumer Goods 2 319 510 0,04% 0,04% Salamander Energy PLC Oil & Gas 1 837 383 0,06% 0,06% Adobe Systems Inc Technology 88 379 483 0,05% 0,05% Savills PLC Financials 6 215 536 0,07% 0,07% ADT Corp/The Industrials 33 059 016 0,07% 0,07% Schroder Real Estate Investment Trust Ltd Financials 1 292 216 0,07% 0,07% ADTRAN Inc Technology 6 397 805 0,07% 0,07%

Foreign exchange reserves Holdings 2013 18 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Advance Auto Parts Inc Consumer Services 29 665 940 0,06% 0,06% Annaly Capital Management Inc Financials 28 445 589 0,05% 0,05% Advanced Energy Industries Inc Technology 1 422 941 0,03% 0,03% ANSYS Inc Technology 20 478 196 0,04% 0,04% Advanced Micro Devices Inc Technology 10 155 270 0,06% 0,06% Anworth Mortgage Asset Corp Financials 2 142 160 0,06% 0,06% Advent Software Inc Technology 8 044 953 0,07% 0,07% AO Smith Corp Industrials 15 336 706 0,02% 0,05% Advisory Board Co/The Industrials 5 617 231 0,04% 0,04% AOL Inc Technology 15 299 760 0,07% 0,07% AECOM Technology Corp Industrials 11 605 045 0,07% 0,07% Aon PLC Financials 76 510 669 0,05% 0,05% Aegion Corp Industrials 4 144 660 0,08% 0,08% Apache Corp Oil & Gas 119 355 475 0,06% 0,06% AerCap Holdings NV Industrials 11 714 617 0,04% 0,04% Apartment Investment & Management Co Financials 13 466 017 0,06% 0,06% Aeropostale Inc Consumer Services 2 891 392 0,07% 0,07% Apco Oil and Gas International Inc Oil & Gas 605 515 0,02% 0,02% Aerovironment Inc Industrials 2 650 910 0,07% 0,07% Apogee Enterprises Inc Industrials 1 888 416 0,03% 0,03% AES Corp/VA Utilities 31 766 856 0,05% 0,05% Apollo Education Group Inc Consumer Services 11 727 382 0,00% 0,06% Aetna Inc Health Care 79 351 755 0,05% 0,05% Apple Inc Technology 1 708 202 396 0,06% 0,06% Affiliated Managers Group Inc Financials 36 840 480 0,05% 0,05% Applied Industrial Technologies Inc Industrials 9 575 264 0,08% 0,08% Aflac Inc Financials 111 958 264 0,06% 0,06% Applied Materials Inc Technology 62 124 639 0,05% 0,05% AGCO Corp Industrials 18 472 301 0,05% 0,05% Approach Resources Inc Oil & Gas 2 339 654 0,05% 0,05% Agilent Technologies Inc Industrials 55 128 281 0,05% 0,05% Aptargroup Inc Industrials 15 565 469 0,06% 0,06% AGL Resources Inc Utilities 18 553 292 0,05% 0,05% Aqua America Inc Utilities 15 583 007 0,06% 0,06% Air Lease Corp Industrials 8 129 288 0,04% 0,04% Arch Capital Group Ltd Financials 31 493 384 0,07% 0,07% Air Methods Corp Health Care 6 614 005 0,05% 0,05% Arch Coal Inc Basic Materials 3 171 394 0,06% 0,06% Air Products & Chemicals Inc Basic Materials 70 524 469 0,05% 0,05% Archer-Daniels-Midland Co Consumer Goods 90 494 284 0,05% 0,05% Aircastle Ltd Industrials 6 898 662 0,07% 0,07% Arcos Dorados Holdings Inc Consumer Services 5 513 517 0,01% 0,04% Airgas Inc Basic Materials 28 869 387 0,06% 0,06% Arena Pharmaceuticals Inc Health Care 4 774 543 0,06% 0,06% AK Steel Holding Corp Basic Materials 3 500 629 0,05% 0,05% Argo Group International Holdings Ltd Financials 7 687 496 0,10% 0,10% Akamai Technologies Inc Technology 22 798 823 0,04% 0,04% Ariad Pharmaceuticals Inc Health Care 4 258 409 0,06% 0,06% Akorn Inc Health Care 6 982 552 0,05% 0,05% ARMOUR Residential REIT Inc Financials 5 966 410 0,07% 0,07% Alaska Air Group Inc Consumer Services 7 860 904 0,03% 0,03% Armstrong World Industries Inc Industrials 6 323 008 0,03% 0,03% Alaska Communications Systems Group Inc Telecommunications 255 948 0,04% 0,04% ARRIS Group Inc Technology 13 152 621 0,06% 0,06% Albany International Corp Industrials 1 706 362 0,01% 0,02% Arrow Electronics Inc Industrials 21 915 554 0,07% 0,07% Albemarle Corp Basic Materials 19 760 752 0,06% 0,06% Arrow Financial Corp Financials 595 235 0,03% 0,03% Alcoa Inc Basic Materials 33 718 144 0,05% 0,05% ArthroCare Corp Health Care 3 592 374 0,05% 0,05% Alere Inc Health Care 10 265 257 0,06% 0,06% Arthur J Gallagher & Co Financials 14 021 187 0,04% 0,04% Alexander & Baldwin Inc Financials 7 298 122 0,06% 0,06% Aruba Networks Inc Technology 7 924 838 0,07% 0,07% Alexander’s Inc Financials 1 219 255 0,01% 0,01% Asbury Automotive Group Inc Consumer Services 3 587 988 0,04% 0,04% Alexandria Real Estate Equities Inc Financials 16 340 167 0,06% 0,06% Ascena Retail Group Inc Consumer Services 11 396 065 0,06% 0,06% Alexion Pharmaceuticals Inc Health Care 58 119 943 0,04% 0,04% Ascent Capital Group Inc Consumer Services 2 106 425 0,03% 0,03% Align Technology Inc Health Care 18 947 234 0,07% 0,07% Ashford Hospitality Prime Inc Financials 819 954 0,05% 0,05% Alkermes PLC Health Care 17 633 292 0,05% 0,05% Ashford Hospitality Trust Inc Financials 1 865 221 0,05% 0,05% Alleghany Corp Financials 18 421 968 0,05% 0,05% Ashland Inc Basic Materials 19 141 874 0,04% 0,04% Allegheny Technologies Inc Basic Materials 8 091 371 0,03% 0,03% AsiaInfo-Linkage Inc Technology 2 845 639 0,05% 0,05% Allegiant Travel Co Consumer Services 2 914 422 0,02% 0,02% Aspen Insurance Holdings Ltd Financials 13 396 475 0,08% 0,08% Allegion PLC Industrials 14 759 653 0,06% 0,06% Aspen Technology Inc Technology 14 483 533 0,06% 0,06% Allergan Inc/United States Health Care 119 684 304 0,06% 0,06% Associated Banc-Corp Financials 11 733 454 0,07% 0,07% ALLETE Inc Utilities 7 187 396 0,06% 0,06% Assurant Inc Financials 20 218 205 0,07% 0,07% Alliance Data Systems Corp Industrials 28 744 727 0,04% 0,04% Assured Guaranty Ltd Financials 16 802 078 0,06% 0,06% Alliant Energy Corp Utilities 15 810 563 0,05% 0,05% Astec Industries Inc Industrials 4 757 088 0,09% 0,09% Allied Nevada Gold Corp Basic Materials 1 237 750 0,06% 0,06% Astoria Financial Corp Financials 5 616 402 0,07% 0,07% Allied World Assurance Co Holdings AG Financials 14 439 500 0,06% 0,06% AT&T Inc Telecommunications 611 379 308 0,05% 0,05% Allscripts Healthcare Solutions Inc Technology 8 948 275 0,05% 0,05% athenahealth Inc Technology 18 413 660 0,06% 0,06% Allstate Corp/The Financials 95 777 269 0,06% 0,06% Atlantic Tele-Network Inc Telecommunications 3 139 952 0,06% 0,06% Alnylam Pharmaceuticals Inc Health Care 15 641 270 0,06% 0,06% Atlas Air Worldwide Holdings Inc Industrials 3 609 203 0,06% 0,06% Alpha Natural Resources Inc Basic Materials 5 860 052 0,06% 0,06% Atmel Corp Technology 12 177 743 0,06% 0,06% Altera Corp Technology 28 704 639 0,05% 0,05% ATMI Inc Technology 1 915 821 0,03% 0,03% Altisource Portfolio Solutions SA Financials 12 436 894 0,06% 0,06% Atmos Energy Corp Utilities 14 176 271 0,06% 0,06% AM Castle & Co Industrials 434 596 0,02% 0,02% Atwood Oceanics Inc Oil & Gas 15 260 654 0,07% 0,07% AMAG Pharmaceuticals Inc Health Care 727 967 0,02% 0,02% Audience Inc Technology 2 605 809 0,17% 0,17% Amazon.com Inc Consumer Services 463 232 670 0,04% 0,04% Autodesk Inc Technology 32 104 843 0,05% 0,05% AMC Networks Inc Consumer Services 14 452 543 0,02% 0,05% Autoliv Inc Consumer Goods 29 867 965 0,06% 0,06% AMCOL International Corp Basic Materials 2 225 818 0,03% 0,03% Automatic Data Processing Inc Industrials 118 748 356 0,05% 0,05% Amdocs Ltd Technology 24 582 345 0,06% 0,06% AutoZone Inc Consumer Services 51 917 164 0,05% 0,05% Amedisys Inc Health Care 1 746 669 0,06% 0,06% Auxilium Pharmaceuticals Inc Health Care 4 041 295 0,06% 0,06% AMERCO Consumer Services 13 077 362 0,05% 0,05% Avago Technologies Ltd Technology 44 462 462 0,06% 0,06% Ameren Corp Utilities 35 857 658 0,07% 0,07% AvalonBay Communities Inc Financials 47 138 449 0,05% 0,05% American Airlines Group Inc Consumer Services 7 485 683 0,01% 0,01% Avery Dennison Corp Basic Materials 25 419 564 0,09% 0,09% American Assets Trust Inc Financials 2 742 185 0,04% 0,04% Avid Technology Inc Consumer Services 613 907 0,03% 0,03% American Axle & Manufacturing Holdings Inc Consumer Goods 6 158 070 0,07% 0,07% Avis Budget Group Inc Consumer Services 18 953 950 0,07% 0,07% American Campus Communities Inc Financials 11 024 042 0,05% 0,05% Avista Corp Utilities 7 115 987 0,07% 0,07% American Capital Agency Corp Financials 22 492 375 0,05% 0,05% Avnet Inc Industrials 22 503 488 0,06% 0,06% American Eagle Outfitters Inc Consumer Services 17 966 214 0,11% 0,11% Avon Products Inc Consumer Goods 22 291 847 0,05% 0,05% American Electric Power Co Inc Utilities 81 696 937 0,06% 0,06% AVX Corp Industrials 4 876 466 0,03% 0,03% American Equity Investment Life Holding Co Financials 2 755 309 0,02% 0,02% Axiall Corp Basic Materials 12 463 383 0,06% 0,06% American Express Co Financials 279 669 147 0,05% 0,05% Axis Capital Holdings Ltd Financials 20 267 227 0,06% 0,06% American Financial Group Inc/OH Financials 12 519 585 0,04% 0,04% AZZ Inc Industrials 7 850 554 0,10% 0,10% American International Group Inc Financials 235 697 553 0,05% 0,05% B&G Foods Inc Consumer Goods 5 704 601 0,05% 0,05% American National Insurance Co Financials 9 875 876 0,05% 0,05% B/E Aerospace Inc Industrials 33 685 214 0,06% 0,06% American Public Education Inc Consumer Services 3 135 174 0,07% 0,07% Badger Meter Inc Industrials 5 620 937 0,12% 0,12% American Railcar Industries Inc Industrials 891 518 0,02% 0,02% Baker Hughes Inc Oil & Gas 75 505 265 0,05% 0,05% American Science & Engineering Inc Industrials 1 203 661 0,04% 0,04% Balchem Corp Basic Materials 8 452 249 0,08% 0,08% American States Water Co Utilities 1 792 856 0,03% 0,03% Baldwin & Lyons Inc Financials 469 062 0,00% 0,02% American Tower Corp Financials 99 998 857 0,05% 0,05% Ball Corp Industrials 28 258 612 0,06% 0,06% American Water Works Co Inc Utilities 24 821 665 0,05% 0,05% Bally Technologies Inc Consumer Services 15 645 720 0,08% 0,08% Ameriprise Financial Inc Financials 70 381 234 0,05% 0,05% Bancfirst Corp Financials 649 946 0,01% 0,01% AmerisourceBergen Corp Consumer Services 49 123 102 0,05% 0,05% BancorpSouth Inc Financials 4 549 779 0,03% 0,03% AMETEK Inc Industrials 31 036 377 0,04% 0,04% Bank of America Corp Financials 535 745 883 0,05% 0,05% Amgen Inc Health Care 278 006 959 0,05% 0,05% Bank of Hawaii Corp Financials 9 497 264 0,06% 0,06% Amkor Technology Inc Technology 1 515 707 0,02% 0,02% Bank of New York Mellon Corp/The Financials 131 644 141 0,05% 0,05% Amphenol Corp Industrials 36 095 596 0,04% 0,04% Bank of the Ozarks Inc Financials 2 592 776 0,02% 0,02% Amsurg Corp Health Care 7 593 799 0,08% 0,08% BankUnited Inc Financials 7 474 148 0,04% 0,04% Amtrust Financial Services Inc Financials 6 300 597 0,04% 0,04% Barnes & Noble Inc Consumer Services 1 351 693 0,02% 0,02% Anadarko Petroleum Corp Oil & Gas 124 822 872 0,05% 0,05% Barnes Group Inc Industrials 7 005 402 0,06% 0,06% Analog Devices Inc Technology 44 396 462 0,05% 0,05% Basic Energy Services Inc Oil & Gas 3 020 915 0,07% 0,07% Analogic Corp Health Care 5 732 780 0,09% 0,09% Baxter International Inc Health Care 119 148 811 0,05% 0,05% Andersons Inc/The Consumer Goods 9 962 165 0,10% 0,10% BB&T Corp Financials 76 393 726 0,05% 0,05% Anixter International Inc Industrials 12 138 715 0,07% 0,07% BBCN Bancorp Inc Financials 4 828 839 0,06% 0,06% ANN INC Consumer Services 4 658 328 0,05% 0,05% Beacon Roofing Supply Inc Consumer Services 8 325 290 0,07% 0,07%

Foreign exchange reserves Holdings 2013 19 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Beam Inc Consumer Goods 30 920 751 0,05% 0,05% Carter’s Inc Consumer Goods 16 276 534 0,07% 0,07% Becton Dickinson and Co Health Care 82 364 998 0,06% 0,06% Casey’s General Stores Inc Consumer Services 10 980 093 0,07% 0,07% Bed Bath & Beyond Inc Consumer Services 66 431 697 0,06% 0,06% Cash America International Inc Financials 6 530 255 0,10% 0,10% Belden Inc Industrials 8 405 009 0,05% 0,05% Caterpillar Inc Industrials 186 984 209 0,05% 0,05% Bemis Co Inc Industrials 14 952 135 0,06% 0,06% Cathay General Bancorp Financials 10 073 808 0,08% 0,08% Benchmark Electronics Inc Industrials 7 354 423 0,10% 0,10% Cato Corp/The Consumer Services 1 804 049 0,02% 0,03% Berkshire Hathaway Inc Financials 713 509 837 0,05% 0,02% Cavium Inc Technology 3 727 989 0,03% 0,03% Berry Plastics Group Inc Industrials 3 130 093 0,02% 0,02% CBIZ Inc Industrials 1 089 331 0,04% 0,04% Best Buy Co Inc Consumer Services 44 984 290 0,05% 0,05% CBL & Associates Properties Inc Financials 10 708 650 0,06% 0,06% BGC Partners Inc Financials 2 718 853 0,01% 0,02% CBOE Holdings Inc Financials 16 448 255 0,06% 0,06% Big 5 Sporting Goods Corp Consumer Services 2 188 458 0,08% 0,08% CBRE Group Inc Financials 19 945 088 0,04% 0,04% Big Lots Inc Consumer Services 8 217 162 0,07% 0,07% CBS Corp Consumer Services 113 362 951 0,00% 0,05% Biglari Holdings Inc Consumer Services 1 217 189 0,02% 0,02% CDI Corp Industrials 2 121 904 0,10% 0,10% Bill Barrett Corp Oil & Gas 5 119 762 0,06% 0,06% CEC Entertainment Inc Consumer Services 2 643 150 0,06% 0,06% Biogen Idec Inc Health Care 211 352 476 0,05% 0,05% Cedar Realty Trust Inc Financials 508 266 0,02% 0,02% BioMarin Pharmaceutical Inc Health Care 29 893 387 0,05% 0,05% Celanese Corp Basic Materials 23 347 418 0,04% 0,04% BioMed Realty Trust Inc Financials 12 591 973 0,06% 0,06% Celgene Corp Health Care 222 386 702 0,05% 0,05% Bio-Rad Laboratories Inc Health Care 7 960 436 0,01% 0,04% Centene Corp Health Care 12 554 623 0,06% 0,06% Bio-Reference Labs Inc Health Care 5 410 142 0,13% 0,13% CenterPoint Energy Inc Utilities 34 928 029 0,06% 0,06% BJ’s Restaurants Inc Consumer Services 3 913 069 0,07% 0,07% Central European Media Enterprises Ltd Consumer Services 727 603 0,02% 0,02% Black Box Corp Industrials 1 565 479 0,05% 0,05% Central Garden and Pet Co Consumer Goods 590 558 0,00% 0,03% Black Hills Corp Utilities 9 155 073 0,06% 0,06% Century Aluminum Co Basic Materials 2 778 056 0,05% 0,05% Blackbaud Inc Technology 3 343 338 0,03% 0,03% CenturyLink Inc Telecommunications 74 767 903 0,07% 0,07% BlackRock Inc Financials 129 888 298 0,04% 0,04% Cepheid Inc Health Care 12 894 966 0,07% 0,07% Blount International Inc Consumer Goods 1 249 740 0,03% 0,03% Cerner Corp Technology 46 773 122 0,04% 0,04% Blucora Inc Technology 1 767 678 0,02% 0,02% CF Industries Holdings Inc Basic Materials 67 502 775 0,08% 0,08% Blue Nile Inc Consumer Services 1 023 049 0,03% 0,03% CH Robinson Worldwide Inc Industrials 24 552 820 0,05% 0,05% Blyth Inc Consumer Goods 294 525 0,03% 0,03% Charles River Laboratories International Inc Health Care 11 834 957 0,08% 0,08% Bob Evans Farms Inc/DE Consumer Services 7 118 134 0,09% 0,09% Charles Schwab Corp/The Financials 92 747 794 0,05% 0,05% BOK Financial Corp Financials 6 441 277 0,02% 0,02% Chart Industries Inc Oil & Gas 11 494 426 0,07% 0,07% BorgWarner Inc Consumer Goods 44 961 318 0,06% 0,06% Charter Communications Inc Consumer Services 4 473 755 0,01% 0,01% Boston Beer Co Inc/The Consumer Goods 6 331 156 0,11% 0,03% Check Point Software Technologies Ltd Technology 33 377 114 0,04% 0,04% Boston Private Financial Holdings Inc Financials 5 608 593 0,09% 0,09% Checkpoint Systems Inc Industrials 3 319 513 0,08% 0,08% Boston Properties Inc Financials 46 766 413 0,05% 0,05% Cheesecake Factory Inc/The Consumer Services 12 073 490 0,08% 0,08% Boston Scientific Corp Health Care 48 614 695 0,05% 0,05% Chemed Corp Consumer Services 7 756 819 0,09% 0,09% Bottomline Technologies de Inc Technology 1 565 257 0,02% 0,02% Chemical Financial Corp Financials 5 940 496 0,10% 0,10% Boyd Gaming Corp Consumer Services 1 510 326 0,02% 0,02% Chemtura Corp Basic Materials 7 396 768 0,05% 0,05% BPZ Resources Inc Oil & Gas 609 103 0,05% 0,05% Cheniere Energy Inc Oil & Gas 29 386 863 0,05% 0,05% Brady Corp Industrials 6 468 028 0,00% 0,07% Chesapeake Energy Corp Oil & Gas 48 297 554 0,04% 0,04% Brandywine Realty Trust Financials 6 350 024 0,05% 0,05% Chevron Corp Oil & Gas 818 225 897 0,06% 0,06% BRE Properties Inc Financials 15 159 662 0,06% 0,06% Chicago Bridge & Iron Co NV Industrials 31 867 860 0,06% 0,06% Briggs & Stratton Corp Consumer Goods 5 308 177 0,08% 0,08% Chico’s FAS Inc Consumer Services 11 419 201 0,06% 0,06% Brinker International Inc Consumer Services 13 099 898 0,07% 0,07% Children’s Place Retail Stores Inc/The Consumer Services 6 368 895 0,08% 0,08% Brink’s Co/The Industrials 7 986 013 0,08% 0,08% Chimera Investment Corp Financials 10 677 601 0,06% 0,06% Bristol-Myers Squibb Co Health Care 282 199 325 0,05% 0,05% China Yuchai International Ltd Industrials 2 655 373 0,06% 0,06% Bristow Group Inc Oil & Gas 10 820 231 0,06% 0,06% Chipotle Mexican Grill Inc Consumer Services 40 332 594 0,04% 0,04% Broadcom Corp Technology 44 501 213 0,02% 0,04% Chiquita Brands International Inc Consumer Goods 910 914 0,03% 0,03% Broadridge Financial Solutions Inc Industrials 18 319 728 0,06% 0,06% Choice Hotels International Inc Consumer Services 5 700 246 0,03% 0,03% BroadSoft Inc Technology 2 586 541 0,06% 0,06% Chubb Corp/The Financials 74 124 150 0,05% 0,05% Brocade Communications Systems Inc Technology 14 822 080 0,06% 0,06% Church & Dwight Co Inc Consumer Goods 26 293 222 0,05% 0,05% Brookdale Senior Living Inc Health Care 7 558 218 0,04% 0,04% Churchill Downs Inc Consumer Services 4 179 818 0,04% 0,04% Brookline Bancorp Inc Financials 1 082 931 0,03% 0,03% Ciena Corp Technology 8 948 733 0,06% 0,06% Brooks Automation Inc Technology 1 452 421 0,03% 0,03% Cigna Corp Health Care 76 578 218 0,05% 0,05% Brown & Brown Inc Financials 4 523 293 0,02% 0,02% Cimarex Energy Co Oil & Gas 32 563 244 0,06% 0,06% Brown Shoe Co Inc Consumer Services 2 214 595 0,03% 0,03% Cincinnati Bell Inc Telecommunications 1 615 205 0,04% 0,04% Brown-Forman Corp Consumer Goods 29 177 607 0,00% 0,03% Cincinnati Financial Corp Financials 16 225 055 0,03% 0,03% Bruker Corp Health Care 5 815 729 0,03% 0,03% Cinemark Holdings Inc Consumer Services 12 120 354 0,05% 0,05% Brunswick Corp/DE Consumer Goods 17 473 328 0,07% 0,07% Cintas Corp Industrials 25 692 759 0,06% 0,06% Buckle Inc/The Consumer Services 2 163 876 0,01% 0,01% CIRCOR International Inc Industrials 1 821 628 0,02% 0,02% Buffalo Wild Wings Inc Consumer Services 10 137 794 0,06% 0,06% Cirrus Logic Inc Technology 5 852 718 0,07% 0,07% Bunge Ltd Consumer Goods 36 981 091 0,05% 0,05% Cisco Systems Inc Technology 398 074 436 0,05% 0,05% Burger King Worldwide Inc Consumer Services 6 984 476 0,01% 0,01% CIT Group Inc Financials 33 951 669 0,05% 0,05% C&J Energy Services Inc Oil & Gas 3 945 621 0,05% 0,05% Citigroup Inc Financials 509 544 056 0,05% 0,05% CA Inc Technology 43 306 234 0,05% 0,05% Citizens Inc/TX Financials 644 929 0,02% 0,02% Cabela’s Inc Consumer Services 13 778 461 0,05% 0,05% Citrix Systems Inc Technology 34 997 552 0,05% 0,05% Cablevision Systems Corp Consumer Services 15 218 890 0,02% 0,05% City Holding Co Financials 1 460 477 0,03% 0,03% Cabot Corp Basic Materials 12 709 815 0,06% 0,06% City National Corp/CA Financials 10 797 996 0,04% 0,04% Cabot Microelectronics Corp Technology 5 893 888 0,09% 0,09% CLARCOR Inc Industrials 11 560 578 0,06% 0,06% Cabot Oil & Gas Corp Oil & Gas 43 196 318 0,04% 0,04% Clayton Williams Energy Inc Oil & Gas 854 650 0,01% 0,01% CACI International Inc Technology 9 364 491 0,09% 0,09% Clean Energy Fuels Corp Consumer Services 2 542 006 0,04% 0,04% Cadence Design Systems Inc Technology 14 142 127 0,06% 0,06% Clean Harbors Inc Industrials 10 322 290 0,05% 0,05% Cadence Pharmaceuticals Inc Health Care 1 128 956 0,02% 0,02% Clear Channel Outdoor Holdings Inc Consumer Services 770 450 0,00% 0,00% Calgon Carbon Corp Basic Materials 3 485 902 0,05% 0,05% Clearwater Paper Corp Basic Materials 6 023 654 0,09% 0,09% California Water Service Group Utilities 5 519 690 0,08% 0,08% Cleco Corp Utilities 10 518 691 0,06% 0,06% Callaway Golf Co Consumer Goods 1 117 538 0,03% 0,03% Cliffs Natural Resources Inc Basic Materials 8 560 418 0,04% 0,04% Cal-Maine Foods Inc Consumer Goods 6 577 315 0,04% 0,07% Clorox Co/The Consumer Goods 43 895 921 0,06% 0,06% Calpine Corp Utilities 23 441 683 0,05% 0,05% Cloud Peak Energy Inc Basic Materials 3 848 761 0,06% 0,06% Camden Property Trust Financials 18 352 174 0,06% 0,06% CME Group Inc/IL Financials 81 006 064 0,05% 0,05% Cameron International Corp Oil & Gas 44 387 957 0,05% 0,05% CMS Energy Corp Utilities 25 320 140 0,06% 0,06% Campbell Soup Co Consumer Goods 23 134 280 0,03% 0,03% CNA Financial Corp Financials 6 111 486 0,01% 0,01% Capella Education Co Consumer Services 4 024 366 0,08% 0,08% CNO Financial Group Inc Financials 16 469 723 0,07% 0,07% Capital One Financial Corp Financials 138 606 638 0,05% 0,05% Coach Inc Consumer Goods 57 858 820 0,06% 0,06% CapitalSource Inc Financials 13 212 138 0,08% 0,08% Cobalt International Energy Inc Oil & Gas 11 624 867 0,03% 0,03% Capitol Federal Financial Inc Financials 6 173 940 0,06% 0,06% Coca-Cola Co/The Consumer Goods 574 377 530 0,05% 0,05% Capstead Mortgage Corp Financials 5 731 746 0,08% 0,08% Coca-Cola Enterprises Inc Consumer Goods 44 146 282 0,06% 0,06% CARBO Ceramics Inc Oil & Gas 8 856 214 0,05% 0,05% Coeur Mining Inc Basic Materials 3 827 545 0,06% 0,06% Cardinal Health Inc Consumer Services 66 729 266 0,05% 0,05% Cogent Communications Group Inc Technology 3 569 550 0,03% 0,03% Cardtronics Inc Industrials 6 646 264 0,06% 0,06% Cognex Corp Industrials 15 000 973 0,07% 0,07% CareFusion Corp Health Care 17 576 054 0,03% 0,03% Cognizant Technology Solutions Corp Technology 97 555 896 0,05% 0,05% Carlisle Cos Inc Industrials 16 347 239 0,05% 0,05% Cohen & Steers Inc Financials 877 124 0,01% 0,01% CarMax Inc Consumer Services 15 424 471 0,02% 0,02% Coherent Inc Industrials 6 971 431 0,06% 0,06% Carnival Corp Consumer Services 62 489 467 0,04% 0,03% Colfax Corp Industrials 13 082 266 0,03% 0,03% Carpenter Technology Corp Basic Materials 10 796 214 0,05% 0,05% Colgate-Palmolive Co Consumer Goods 194 917 272 0,05% 0,05% Carrizo Oil & Gas Inc Oil & Gas 7 811 858 0,06% 0,06% Colony Financial Inc Financials 5 130 534 0,05% 0,05%

Foreign exchange reserves Holdings 2013 20 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Columbia Banking System Inc Financials 5 289 531 0,06% 0,06% Deckers Outdoor Corp Consumer Goods 10 989 575 0,06% 0,06% Columbia Sportswear Co Consumer Goods 2 100 252 0,01% 0,01% Deere & Co Industrials 99 195 695 0,05% 0,05% Columbus McKinnon Corp/NY Industrials 3 057 137 0,09% 0,09% Delek US Holdings Inc Oil & Gas 4 453 901 0,04% 0,04% Comcast Corp Consumer Services 470 480 632 0,04% 0,06% Delphi Automotive PLC Consumer Goods 49 468 662 0,04% 0,04% Comerica Inc Financials 26 946 898 0,05% 0,05% Delta Air Lines Inc Consumer Services 22 408 282 0,02% 0,02% Comfort Systems USA Inc Industrials 1 409 047 0,03% 0,03% Deltic Timber Corp Basic Materials 2 836 223 0,05% 0,05% Commerce Bancshares Inc/MO Financials 11 659 476 0,04% 0,04% Deluxe Corp Industrials 11 012 986 0,07% 0,07% Commercial Metals Co Basic Materials 8 687 880 0,06% 0,06% Denbury Resources Inc Oil & Gas 22 421 946 0,06% 0,06% CommonWealth REIT Financials 10 581 622 0,06% 0,06% Dendreon Corp Health Care 1 642 512 0,06% 0,06% Community Bank System Inc Financials 7 799 736 0,08% 0,08% DENTSPLY International Inc Health Care 14 507 219 0,03% 0,03% Community Health Systems Inc Health Care 12 534 080 0,06% 0,06% Devon Energy Corp Oil & Gas 80 332 192 0,05% 0,05% Community Trust Bancorp Inc Financials 1 254 550 0,03% 0,03% DeVry Education Group Inc Consumer Services 8 552 469 0,06% 0,06% CommVault Systems Inc Technology 9 314 675 0,04% 0,04% DexCom Inc Health Care 7 898 120 0,05% 0,05% Compass Minerals International Inc Basic Materials 10 067 067 0,06% 0,06% DFC Global Corp Financials 2 261 794 0,08% 0,08% Computer Programs & Systems Inc Technology 3 255 681 0,08% 0,08% Diamond Foods Inc Consumer Goods 2 153 357 0,06% 0,06% Computer Sciences Corp Technology 28 985 493 0,06% 0,06% Diamond Offshore Drilling Inc Oil & Gas 14 403 855 0,03% 0,03% Compuware Corp Technology 9 535 392 0,06% 0,06% DiamondRock Hospitality Co Financials 9 792 158 0,07% 0,07% comScore Inc Consumer Services 1 645 468 0,03% 0,03% Diana Shipping Inc Industrials 1 366 975 0,02% 0,02% Comstock Resources Inc Oil & Gas 5 770 0,00% 0,00% Dick’s Sporting Goods Inc Consumer Services 19 417 285 0,02% 0,04% Comtech Telecommunications Corp Technology 4 501 677 0,15% 0,15% Diebold Inc Technology 7 571 484 0,06% 0,06% Comverse Inc Technology 2 699 260 0,05% 0,05% Digital Generation Inc Consumer Services 1 382 286 0,06% 0,06% ConAgra Foods Inc Consumer Goods 44 914 814 0,05% 0,05% Digital Realty Trust Inc Financials 17 614 699 0,05% 0,05% Concho Resources Inc Oil & Gas 24 633 644 0,04% 0,04% Digital River Inc Technology 2 890 769 0,08% 0,08% Concur Technologies Inc Technology 21 638 793 0,06% 0,06% DigitalGlobe Inc Industrials 9 740 379 0,05% 0,05% CONMED Corp Health Care 2 193 970 0,03% 0,03% Dillard’s Inc Consumer Services 11 479 059 0,05% 0,04% ConocoPhillips Oil & Gas 304 625 761 0,06% 0,06% Dime Community Bancshares Inc Financials 1 117 871 0,03% 0,03% CONSOL Energy Inc Basic Materials 25 254 350 0,05% 0,05% DineEquity Inc Consumer Services 7 359 468 0,08% 0,08% Consolidated Communications Holdings Inc Telecommunications 3 453 914 0,07% 0,07% Diodes Inc Technology 3 404 283 0,05% 0,05% Consolidated Edison Inc Utilities 55 406 040 0,06% 0,06% DIRECTV Consumer Services 140 577 014 0,06% 0,06% Consolidated Graphics Inc Industrials 5 182 682 0,13% 0,13% Discover Financial Services Financials 84 946 622 0,05% 0,05% Constant Contact Inc Consumer Services 4 260 787 0,07% 0,07% Discovery Communications Inc Consumer Services 55 165 082 0,02% 0,03% Constellation Brands Inc Consumer Goods 30 706 192 0,02% 0,04% DISH Network Corp Consumer Services 40 812 067 0,00% 0,03% Contango Oil & Gas Co Oil & Gas 4 092 918 0,09% 0,09% Dolby Laboratories Inc Consumer Services 6 985 615 0,00% 0,03% Continental Resources Inc/OK Oil & Gas 9 937 902 0,01% 0,01% Dollar General Corp Consumer Services 59 334 789 0,05% 0,05% Convergys Corp Industrials 11 603 348 0,09% 0,09% Dollar Tree Inc Consumer Services 47 137 671 0,07% 0,07% Con-way Inc Industrials 7 233 943 0,05% 0,05% Dominion Resources Inc/VA Utilities 118 714 240 0,05% 0,05% Cooper Cos Inc/The Health Care 19 530 530 0,05% 0,05% Domino’s Pizza Inc Consumer Services 14 883 694 0,06% 0,06% Cooper Tire & Rubber Co Consumer Goods 8 768 618 0,09% 0,09% Domtar Corp Basic Materials 13 353 992 0,07% 0,07% Copa Holdings SA Consumer Services 5 797 096 0,00% 0,01% Donaldson Co Inc Industrials 22 665 724 0,06% 0,06% Copart Inc Consumer Services 15 644 550 0,06% 0,06% Dorman Products Inc Consumer Goods 5 329 416 0,04% 0,04% Core Laboratories NV Oil & Gas 38 622 065 0,07% 0,07% Douglas Emmett Inc Financials 11 696 560 0,06% 0,06% CoreLogic Inc/United States Industrials 12 635 198 0,06% 0,06% Dover Corp Industrials 59 467 238 0,06% 0,06% Cornerstone OnDemand Inc Technology 5 004 240 0,03% 0,03% Dow Chemical Co/The Basic Materials 188 280 518 0,06% 0,06% Corning Inc Technology 84 004 509 0,05% 0,05% DR Horton Inc Consumer Goods 17 929 103 0,04% 0,04% Corporate Executive Board Co/The Industrials 10 701 516 0,07% 0,07% Dr Pepper Snapple Group Inc Consumer Goods 36 522 964 0,06% 0,06% Corporate Office Properties Trust Financials 6 075 200 0,05% 0,05% DreamWorks Animation SKG Inc Consumer Services 7 602 888 0,02% 0,04% Cosan Ltd Consumer Goods 5 837 507 0,01% 0,03% Dresser-Rand Group Inc Oil & Gas 16 684 660 0,06% 0,06% CoStar Group Inc Industrials 20 428 861 0,06% 0,06% Drew Industries Inc Consumer Goods 1 519 256 0,02% 0,02% Costco Wholesale Corp Consumer Services 161 771 254 0,05% 0,05% Dril-Quip Inc Oil & Gas 18 285 187 0,07% 0,07% Cousins Properties Inc Financials 4 009 078 0,03% 0,03% DryShips Inc Industrials 6 693 080 0,05% 0,05% Covance Inc Health Care 20 375 105 0,07% 0,07% DST Systems Inc Technology 11 634 393 0,05% 0,05% Covanta Holding Corp Industrials 6 895 065 0,05% 0,05% DSW Inc Consumer Services 7 976 707 0,02% 0,03% Covidien PLC Health Care 98 086 945 0,05% 0,05% DTE Energy Co Utilities 35 206 034 0,05% 0,05% CR Bard Inc Health Care 29 932 708 0,05% 0,05% DTS Inc/CA Consumer Goods 2 202 323 0,08% 0,08% Cracker Barrel Old Country Store Inc Consumer Services 12 130 191 0,08% 0,08% Duke Energy Corp Utilities 154 677 601 0,05% 0,05% Crane Co Industrials 13 811 877 0,06% 0,06% Duke Realty Corp Financials 12 981 943 0,04% 0,04% Credit Acceptance Corp Financials 4 968 368 0,03% 0,03% Dun & Bradstreet Corp/The Consumer Services 20 906 127 0,07% 0,07% Cree Inc Technology 2 591 548 0,01% 0,01% Dunkin’ Brands Group Inc Consumer Services 14 642 163 0,05% 0,05% Crocs Inc Consumer Goods 5 608 165 0,07% 0,07% DuPont Fabros Technology Inc Financials 5 937 109 0,06% 0,06% Crosstex Energy Inc Oil & Gas 1 568 767 0,01% 0,01% Dycom Industries Inc Technology 2 073 921 0,04% 0,04% Crown Castle International Corp Telecommunications 78 898 739 0,05% 0,05% Dynex Capital Inc Financials 3 023 718 0,11% 0,11% Crown Holdings Inc Industrials 24 386 520 0,07% 0,07% E*TRADE Financial Corp Financials 20 275 778 0,06% 0,06% CryoLife Inc Health Care 1 365 812 0,07% 0,07% Eagle Materials Inc Industrials 15 773 943 0,07% 0,07% CSG Systems International Inc Technology 2 343 721 0,04% 0,04% EarthLink Inc Telecommunications 1 142 141 0,04% 0,04% CST Brands Inc Consumer Services 8 220 610 0,05% 0,05% East West Bancorp Inc Financials 17 877 472 0,06% 0,06% CSX Corp Industrials 97 969 045 0,06% 0,06% EastGroup Properties Inc Financials 7 386 831 0,07% 0,07% CTC Media Inc Consumer Services 2 962 516 0,02% 0,02% Eastman Chemical Co Basic Materials 35 036 872 0,05% 0,05% CTS Corp Industrials 1 318 313 0,03% 0,03% Eaton Corp PLC Industrials 105 894 102 0,05% 0,05% CubeSmart Financials 5 083 039 0,04% 0,04% Eaton Vance Corp Financials 18 403 859 0,00% 0,06% Cubic Corp Industrials 3 179 149 0,04% 0,04% eBay Inc Consumer Services 195 597 731 0,05% 0,05% Cubist Pharmaceuticals Inc Health Care 16 075 777 0,05% 0,05% Ebix Inc Technology 1 093 617 0,03% 0,03% Cullen/Frost Bankers Inc Financials 15 133 436 0,06% 0,06% EchoStar Corp Technology 8 270 469 0,01% 0,03% Cumberland Pharmaceuticals Inc Health Care 694 436 0,12% 0,12% Ecolab Inc Basic Materials 72 007 771 0,04% 0,04% Cummins Inc Industrials 95 735 996 0,06% 0,06% Edison International Utilities 45 537 318 0,05% 0,05% Curtiss-Wright Corp Industrials 11 279 387 0,06% 0,06% Education Management Corp Consumer Services 1 536 484 0,02% 0,02% CVB Financial Corp Financials 8 022 466 0,07% 0,07% Education Realty Trust Inc Financials 874 080 0,01% 0,01% CVR Energy Inc Oil & Gas 4 225 482 0,02% 0,02% Edwards Lifesciences Corp Health Care 24 108 914 0,06% 0,06% CVS Caremark Corp Consumer Services 317 550 217 0,06% 0,06% eHealth Inc Financials 8 017 210 0,15% 0,15% Cyberonics Inc Health Care 7 539 424 0,07% 0,07% EI du Pont de Nemours & Co Basic Materials 206 763 454 0,06% 0,06% Cynosure Inc Health Care 3 256 857 0,09% 0,09% El Paso Electric Co Utilities 4 326 174 0,05% 0,05% Cypress Semiconductor Corp Technology 6 100 287 0,06% 0,06% Electro Rent Corp Industrials 661 789 0,02% 0,02% CYS Investments Inc Financials 3 735 026 0,05% 0,05% Electro Scientific Industries Inc Industrials 561 614 0,03% 0,03% Cytec Industries Inc Basic Materials 15 396 279 0,08% 0,08% Electronic Arts Inc Consumer Goods 19 445 605 0,05% 0,05% Daktronics Inc Industrials 1 133 357 0,03% 0,03% Electronics For Imaging Inc Technology 7 009 128 0,06% 0,06% Dana Holding Corp Consumer Goods 10 792 833 0,06% 0,06% Eli Lilly & Co Health Care 178 260 318 0,05% 0,05% Danaher Corp Industrials 141 687 579 0,04% 0,04% Elizabeth Arden Inc Consumer Goods 4 042 883 0,06% 0,06% Darden Restaurants Inc Consumer Services 18 911 556 0,04% 0,04% EMC Corp/MA Technology 174 894 153 0,06% 0,06% Darling International Inc Consumer Goods 9 368 058 0,05% 0,05% EMCOR Group Inc Industrials 13 093 741 0,08% 0,08% DaVita HealthCare Partners Inc Health Care 39 190 320 0,05% 0,05% Emeritus Corp Health Care 3 971 948 0,06% 0,06% Dawson Geophysical Co Oil & Gas 3 222 981 0,19% 0,19% Emerson Electric Co Industrials 173 398 863 0,06% 0,06% DCT Industrial Trust Inc Financials 6 518 689 0,05% 0,05% Empire District Electric Co Utilities 4 949 727 0,08% 0,08% DDR Corp Financials 16 448 204 0,05% 0,05% Employers Holdings Inc Financials 2 787 877 0,05% 0,05% Dealertrack Technologies Inc Technology 8 047 550 0,06% 0,06% Emulex Corp Technology 1 122 889 0,03% 0,03% Dean Foods Co Consumer Goods 5 987 136 0,06% 0,06% Encore Capital Group Inc Financials 2 084 737 0,03% 0,03%

Foreign exchange reserves Holdings 2013 21 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Encore Wire Corp Industrials 845 405 0,01% 0,01% Flushing Financial Corp Financials 802 983 0,02% 0,02% Endo Health Solutions Inc Health Care 26 581 658 0,06% 0,06% FMC Corp Basic Materials 33 837 246 0,06% 0,06% Endurance Specialty Holdings Ltd Financials 7 300 728 0,05% 0,05% FMC Technologies Inc Oil & Gas 34 052 868 0,05% 0,05% Energen Corp Oil & Gas 17 307 397 0,06% 0,06% FNB Corp/PA Financials 6 504 235 0,05% 0,05% Energizer Holdings Inc Consumer Goods 25 779 124 0,06% 0,06% Foot Locker Inc Consumer Services 21 773 135 0,06% 0,06% Energy XXI Bermuda Ltd Oil & Gas 9 488 145 0,08% 0,08% Ford Motor Co Consumer Goods 191 725 423 0,04% 0,05% EnerNOC Inc Industrials 291 201 0,01% 0,01% Forest City Enterprises Inc Financials 12 296 386 0,03% 0,05% EnerSys Inc Industrials 14 060 507 0,07% 0,07% Forest Laboratories Inc Health Care 44 138 735 0,04% 0,04% Engility Holdings Inc Industrials 1 856 522 0,05% 0,05% Forest Oil Corp Oil & Gas 1 847 727 0,07% 0,07% Ennis Inc Industrials 4 713 802 0,17% 0,17% Forestar Group Inc Financials 4 960 500 0,11% 0,11% EnPro Industries Inc Industrials 6 898 196 0,09% 0,09% Forrester Research Inc Technology 1 934 005 0,04% 0,04% Ensco PLC Oil & Gas 37 093 936 0,05% 0,05% Fortinet Inc Technology 7 741 589 0,04% 0,04% Enstar Group Ltd Financials 3 933 096 0,03% 0,03% Fortune Brands Home & Security Inc Industrials 14 405 340 0,03% 0,03% Entegris Inc Technology 6 503 467 0,07% 0,07% Forward Air Corp Industrials 3 401 070 0,04% 0,04% Entergy Corp Utilities 42 752 785 0,06% 0,06% Fossil Group Inc Consumer Goods 21 463 728 0,05% 0,05% Entropic Communications Inc Technology 1 229 033 0,05% 0,05% Foster Wheeler AG Industrials 14 282 341 0,07% 0,07% EOG Resources Inc Oil & Gas 128 921 912 0,05% 0,05% Franklin Electric Co Inc Industrials 8 404 758 0,07% 0,07% Epiq Systems Inc Technology 878 110 0,03% 0,03% Franklin Resources Inc Financials 74 538 618 0,03% 0,03% EPR Properties Financials 9 151 689 0,06% 0,06% Franklin Street Properties Corp Financials 4 592 368 0,06% 0,06% EQT Corp Oil & Gas 35 364 010 0,04% 0,04% Fred’s Inc Consumer Services 1 354 814 0,03% 0,03% Equifax Inc Financials 23 737 794 0,05% 0,05% Freescale Semiconductor Ltd Technology 2 931 120 0,01% 0,01% Equinix Inc Technology 6 768 349 0,01% 0,01% Fresh Del Monte Produce Inc Consumer Goods 5 740 345 0,06% 0,06% Equity Lifestyle Properties Inc Financials 11 239 354 0,06% 0,06% Fresh Market Inc/The Consumer Services 5 119 560 0,04% 0,04% Equity One Inc Financials 5 729 729 0,04% 0,04% Frontier Communications Corp Telecommunications 16 033 694 0,06% 0,06% Equity Residential Financials 57 389 561 0,05% 0,05% FTD Cos Inc Consumer Services 599 101 0,02% 0,02% Era Group Inc Industrials 2 672 795 0,07% 0,07% FTI Consulting Inc Industrials 6 589 681 0,07% 0,07% Erie Indemnity Co Financials 6 696 264 0,00% 0,03% Fuel Systems Solutions Inc Consumer Goods 1 262 208 0,07% 0,07% ESCO Technologies Inc Industrials 4 622 382 0,08% 0,08% Fulton Financial Corp Financials 8 680 498 0,06% 0,06% Essex Property Trust Inc Financials 17 672 528 0,05% 0,05% Fusion-io Inc Technology 2 187 037 0,04% 0,04% Estee Lauder Cos Inc/The Consumer Goods 46 001 217 0,01% 0,03% G&K Services Inc Industrials 2 459 296 0,03% 0,03% Esterline Technologies Corp Industrials 12 192 133 0,06% 0,06% GAMCO Investors Inc Financials 1 194 563 0,00% 0,01% Ethan Allen Interiors Inc Consumer Goods 1 748 645 0,03% 0,03% GameStop Corp Consumer Services 29 836 291 0,09% 0,09% Euronet Worldwide Inc Industrials 12 311 281 0,08% 0,08% Gaming and Leisure Properties Inc Financials 14 621 538 0,05% 0,05% Everest Re Group Ltd Financials 31 095 477 0,07% 0,07% Gannett Co Inc Consumer Services 23 587 166 0,06% 0,06% Exar Corp Technology 1 327 992 0,04% 0,04% Gap Inc/The Consumer Services 38 619 523 0,04% 0,04% Exelis Inc Industrials 11 700 789 0,05% 0,05% Garmin Ltd Technology 10 308 145 0,02% 0,02% Exelixis Inc Health Care 1 078 727 0,02% 0,02% Gartner Inc Technology 23 333 582 0,06% 0,06% Exelon Corp Utilities 73 199 831 0,05% 0,05% GATX Corp Industrials 10 769 170 0,07% 0,07% ExlService Holdings Inc Industrials 3 074 676 0,06% 0,06% Generac Holdings Inc Industrials 6 092 496 0,03% 0,03% Expedia Inc Consumer Services 13 047 025 0,01% 0,02% General Cable Corp Industrials 5 891 985 0,07% 0,07% Expeditors International of Washington Inc Industrials 20 653 825 0,04% 0,04% General Communication Inc Telecommunications 771 766 0,02% 0,03% Express Inc Consumer Services 6 763 464 0,07% 0,07% General Electric Co Industrials 933 943 832 0,05% 0,05% Express Scripts Holding Co Health Care 177 528 494 0,05% 0,05% General Growth Properties Inc Financials 36 484 183 0,03% 0,03% Exterran Holdings Inc Oil & Gas 13 485 778 0,10% 0,10% General Mills Inc Consumer Goods 102 895 998 0,05% 0,05% Extra Space Storage Inc Financials 17 459 023 0,06% 0,06% General Motors Co Consumer Goods 119 217 382 0,03% 0,03% Extreme Networks Inc Technology 2 143 442 0,05% 0,05% Genesco Inc Consumer Services 4 992 701 0,05% 0,05% Exxon Mobil Corp Oil & Gas 1 491 921 363 0,06% 0,06% Genesee & Wyoming Inc Industrials 14 143 803 0,04% 0,05% Ezcorp Inc Financials 2 127 644 0,06% 0,06% Genomic Health Inc Health Care 3 601 966 0,07% 0,07% F5 Networks Inc Technology 24 838 604 0,06% 0,06% Genpact Ltd Industrials 10 874 096 0,04% 0,04% Facebook Inc Technology 281 393 067 0,01% 0,03% Gentex Corp/MI Consumer Goods 15 653 971 0,05% 0,05% FactSet Research Systems Inc Consumer Services 17 222 720 0,06% 0,06% Genuine Parts Co Consumer Goods 48 801 583 0,06% 0,06% Fair Isaac Corp Technology 6 451 739 0,05% 0,05% Genworth Financial Inc Financials 21 218 217 0,05% 0,05% Fairchild Semiconductor International Inc Technology 5 767 229 0,06% 0,06% Geospace Technologies Corp Oil & Gas 4 579 542 0,06% 0,06% Family Dollar Stores Inc Consumer Services 21 945 039 0,05% 0,05% Getty Realty Corp Financials 624 109 0,02% 0,02% FARO Technologies Inc Industrials 1 716 140 0,03% 0,03% GFI Group Inc Financials 415 219 0,01% 0,01% Fastenal Co Industrials 36 272 488 0,04% 0,04% Gibraltar Industries Inc Industrials 760 945 0,02% 0,02% FBL Financial Group Inc Financials 1 181 772 0,02% 0,02% Gilead Sciences Inc Health Care 351 263 739 0,05% 0,05% Federal Realty Investment Trust Financials 24 018 941 0,06% 0,06% Glacier Bancorp Inc Financials 8 859 456 0,07% 0,07% Federal Signal Corp Industrials 1 283 062 0,02% 0,02% Glimcher Realty Trust Financials 3 532 185 0,04% 0,04% Federal-Mogul Corp Consumer Goods 2 465 519 0,01% 0,01% Global Indemnity PLC Financials 1 089 328 0,01% 0,03% Federated Investors Inc Financials 10 125 505 0,00% 0,06% Global Payments Inc Industrials 18 654 786 0,06% 0,06% FedEx Corp Industrials 165 025 238 0,06% 0,06% Globe Specialty Metals Inc Basic Materials 4 612 578 0,06% 0,06% FEI Co Industrials 10 471 313 0,05% 0,05% GNC Holdings Inc Consumer Services 20 953 041 0,06% 0,06% FelCor Lodging Trust Inc Financials 5 055 155 0,08% 0,08% Gold Resource Corp Basic Materials 644 527 0,04% 0,04% Ferro Corp Basic Materials 3 095 138 0,05% 0,05% Golden Star Resources Ltd Basic Materials 550 051 0,07% 0,07% Fidelity National Financial Inc Financials 27 709 548 0,06% 0,06% Goldman Sachs Group Inc/The Financials 240 922 989 0,05% 0,05% Fidelity National Information Services Inc Industrials 48 294 686 0,05% 0,05% Goodrich Petroleum Corp Oil & Gas 3 821 0,00% 0,00% Fifth & Pacific Cos Inc Consumer Goods 12 000 506 0,05% 0,05% Goodyear Tire & Rubber Co/The Consumer Goods 20 004 286 0,06% 0,06% Fifth Third Bancorp Financials 67 400 801 0,06% 0,06% Google Inc Technology 997 494 021 0,02% 0,04% Financial Engines Inc Financials 11 018 657 0,05% 0,05% Gorman-Rupp Co/The Industrials 1 600 817 0,03% 0,03% Finisar Corp Technology 6 364 922 0,05% 0,05% Government Properties Income Trust Financials 3 369 212 0,04% 0,04% Finish Line Inc/The Consumer Services 5 032 415 0,06% 0,06% Graco Inc Industrials 17 575 677 0,06% 0,06% First American Financial Corp Financials 11 500 345 0,06% 0,06% GrafTech International Ltd Industrials 4 729 703 0,05% 0,05% First Cash Financial Services Inc Financials 5 992 654 0,05% 0,05% Graham Holdings Co Consumer Services 13 883 707 0,05% 0,05% First Citizens BancShares Inc/NC Financials 6 718 197 0,02% 0,05% Gran Tierra Energy Inc Oil & Gas 8 270 673 0,07% 0,07% First Commonwealth Financial Corp Financials 5 880 974 0,12% 0,12% Grand Canyon Education Inc Consumer Services 7 110 683 0,06% 0,06% First Financial Bancorp Financials 4 127 658 0,07% 0,07% Granite Construction Inc Industrials 2 681 167 0,03% 0,03% First Financial Bankshares Inc Financials 9 964 284 0,08% 0,08% Graphic Packaging Holding Co Industrials 7 005 319 0,04% 0,04% First Financial Corp/IN Financials 666 299 0,02% 0,02% Great Plains Energy Inc Utilities 13 364 412 0,06% 0,06% First Horizon National Corp Financials 10 935 566 0,07% 0,07% Greatbatch Inc Industrials 1 814 904 0,03% 0,03% First Industrial Realty Trust Inc Financials 6 511 003 0,05% 0,05% Green Dot Corp Financials 2 389 270 0,04% 0,04% First Midwest Bancorp Inc/IL Financials 5 780 544 0,07% 0,07% Green Mountain Coffee Roasters Inc Consumer Goods 30 760 654 0,05% 0,05% First Niagara Financial Group Inc Financials 13 385 772 0,06% 0,06% Greenhill & Co Inc Financials 4 382 316 0,04% 0,04% First Republic Bank/CA Financials 18 975 306 0,05% 0,05% Greenlight Capital Re Ltd Financials 4 373 726 0,02% 0,06% First Solar Inc Oil & Gas 24 638 194 0,07% 0,07% Greif Inc Industrials 5 077 864 0,00% 0,03% FirstEnergy Corp Utilities 41 673 844 0,05% 0,05% Griffon Corp Industrials 886 222 0,02% 0,02% FirstMerit Corp Financials 8 940 677 0,04% 0,04% Group 1 Automotive Inc Consumer Services 7 647 901 0,07% 0,07% Fiserv Inc Industrials 43 106 488 0,05% 0,05% GT Advanced Technologies Inc Oil & Gas 1 754 684 0,02% 0,02% FleetCor Technologies Inc Industrials 24 036 777 0,04% 0,04% Guess? Inc Consumer Services 8 126 295 0,05% 0,05% Flextronics International Ltd Industrials 17 647 492 0,06% 0,06% Gulf Island Fabrication Inc Oil & Gas 1 831 0,00% 0,00% FLIR Systems Inc Industrials 15 534 636 0,06% 0,06% Gulfmark Offshore Inc Oil & Gas 1 234 077 0,02% 0,02% Flowers Foods Inc Consumer Goods 17 838 980 0,07% 0,07% Gulfport Energy Corp Oil & Gas 14 923 352 0,05% 0,05% Flowserve Corp Industrials 28 497 948 0,04% 0,04% H&E Equipment Services Inc Industrials 6 288 930 0,10% 0,10% Fluor Corp Industrials 35 834 542 0,05% 0,05% H&R Block Inc Consumer Services 19 124 130 0,04% 0,04%

Foreign exchange reserves Holdings 2013 22 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Hackett Group Inc/The Technology 1 103 882 0,10% 0,10% IDEXX Laboratories Inc Health Care 21 770 236 0,07% 0,07% Haemonetics Corp Health Care 8 859 482 0,07% 0,07% iGATE Corp Technology 6 843 980 0,05% 0,05% Hain Celestial Group Inc/The Consumer Goods 14 676 350 0,06% 0,06% IHS Inc Consumer Services 17 298 130 0,04% 0,04% Halcon Resources Corp Oil & Gas 1 164 486 0,01% 0,01% II-VI Inc Industrials 5 289 070 0,08% 0,08% Halliburton Co Oil & Gas 145 663 699 0,06% 0,06% Illinois Tool Works Inc Industrials 110 019 550 0,05% 0,05% Halozyme Therapeutics Inc Health Care 2 295 924 0,02% 0,02% Illumina Inc Health Care 32 162 513 0,04% 0,04% Hancock Holding Co Financials 11 989 360 0,07% 0,07% ImmunoGen Inc Health Care 1 702 316 0,02% 0,02% Hanesbrands Inc Consumer Goods 22 617 851 0,05% 0,05% Impax Laboratories Inc Health Care 6 551 523 0,06% 0,06% Hanger Inc Health Care 2 134 186 0,03% 0,03% Incyte Corp Ltd Health Care 20 931 733 0,04% 0,04% Hanover Insurance Group Inc/The Financials 9 721 022 0,06% 0,06% Independent Bank Corp/Rockland MA Financials 5 810 137 0,11% 0,11% Harley-Davidson Inc Consumer Goods 48 086 524 0,05% 0,05% Infinera Corp Technology 2 925 156 0,04% 0,04% Harman International Industries Inc Consumer Goods 17 307 013 0,05% 0,05% Infinity Pharmaceuticals Inc Health Care 1 603 443 0,04% 0,04% Harmonic Inc Technology 4 283 377 0,09% 0,09% Infinity Property & Casualty Corp Financials 2 565 202 0,05% 0,05% Harris Corp Technology 30 832 327 0,07% 0,07% Informatica Corp Technology 15 091 854 0,06% 0,06% Harris Teeter Supermarkets Inc Consumer Services 7 861 620 0,05% 0,05% ING US Inc Financials 3 551 888 0,01% 0,01% Harsco Corp Industrials 7 762 106 0,06% 0,06% Ingersoll-Rand PLC Industrials 61 724 379 0,06% 0,06% Harte-Hanks Inc Consumer Services 790 064 0,03% 0,03% Ingram Micro Inc Technology 9 968 390 0,05% 0,05% Hartford Financial Services Group Inc Financials 47 011 247 0,05% 0,05% Ingredion Inc Consumer Goods 17 356 084 0,05% 0,05% Hasbro Inc Consumer Goods 43 207 649 0,10% 0,10% Inland Real Estate Corp Financials 5 201 723 0,08% 0,08% Hatteras Financial Corp Financials 5 555 871 0,06% 0,06% InnerWorkings Inc Industrials 509 613 0,02% 0,02% Hawaiian Electric Industries Inc Utilities 8 146 211 0,05% 0,05% Innophos Holdings Inc Basic Materials 2 464 052 0,04% 0,04% Haynes International Inc Basic Materials 1 142 468 0,03% 0,03% Innospec Inc Basic Materials 2 039 421 0,03% 0,03% HB Fuller Co Basic Materials 10 610 996 0,07% 0,07% InPhonic Inc Consumer Services 0 0,00% 0,00% HCA Holdings Inc Health Care 47 573 616 0,04% 0,04% Insight Enterprises Inc Technology 6 031 652 0,10% 0,10% HCC Insurance Holdings Inc Financials 15 868 638 0,06% 0,06% Insperity Inc Industrials 1 857 680 0,03% 0,03% HCP Inc Financials 53 663 109 0,05% 0,05% Insulet Corp Health Care 4 587 583 0,04% 0,04% Health Care REIT Inc Financials 47 112 492 0,05% 0,05% Integra LifeSciences Holdings Corp Health Care 5 598 531 0,06% 0,06% Health Management Associates Inc Health Care 11 422 014 0,05% 0,05% Integrated Device Technology Inc Technology 3 679 536 0,04% 0,04% Health Net Inc/CA Health Care 9 991 271 0,07% 0,07% Integrys Energy Group Inc Utilities 16 829 351 0,06% 0,06% Healthcare Realty Trust Inc Financials 7 574 912 0,06% 0,06% Intel Corp Technology 439 764 713 0,06% 0,06% Healthcare Services Group Inc Health Care 5 818 916 0,05% 0,05% Interactive Brokers Group Inc Financials 1 734 350 0,02% 0,02% HealthSouth Corp Health Care 10 447 788 0,06% 0,06% IntercontinentalExchange Group Inc Financials 77 446 735 0,05% 0,05% Healthways Inc Health Care 984 995 0,03% 0,03% InterDigital Inc/PA Technology 4 822 557 0,07% 0,07% Heartland Express Inc Industrials 2 661 308 0,03% 0,03% Interface Inc Consumer Goods 2 131 515 0,02% 0,02% Heartland Payment Systems Inc Industrials 4 917 170 0,04% 0,04% InterMune Inc Health Care 2 757 169 0,03% 0,03% HeartWare International Inc Health Care 3 499 483 0,04% 0,04% International Bancshares Corp Financials 7 091 814 0,07% 0,07% Hecla Mining Co Basic Materials 4 653 330 0,07% 0,07% International Business Machines Corp Technology 675 497 047 0,05% 0,05% HEICO Corp Industrials 6 934 070 0,03% 0,04% International Flavors & Fragrances Inc Basic Materials 8 374 734 0,02% 0,02% Helen of Troy Ltd Consumer Goods 6 625 255 0,07% 0,07% International Game Technology Consumer Services 18 232 474 0,06% 0,06% Helix Energy Solutions Group Inc Oil & Gas 10 277 913 0,07% 0,07% International Paper Co Basic Materials 78 748 345 0,06% 0,06% Helmerich & Payne Inc Oil & Gas 35 333 149 0,06% 0,06% International Rectifier Corp Technology 7 396 324 0,07% 0,07% Henry Schein Inc Health Care 28 372 606 0,05% 0,05% International Speedway Corp Consumer Services 2 025 875 0,01% 0,02% Herbalife Ltd Consumer Goods 39 066 822 0,08% 0,08% InterOil Corp Oil & Gas 9 464 553 0,06% 0,06% Hercules Offshore Inc Oil & Gas 4 439 349 0,07% 0,07% Interpublic Group of Cos Inc/The Consumer Services 20 487 435 0,04% 0,04% Herman Miller Inc Consumer Goods 6 968 346 0,07% 0,07% Intersil Corp Technology 5 608 207 0,06% 0,06% Hersha Hospitality Trust Financials 3 211 152 0,05% 0,05% Interval Leisure Group Inc Consumer Services 4 413 879 0,04% 0,04% Hershey Co/The Consumer Goods 48 440 931 0,01% 0,04% Intrepid Potash Inc Basic Materials 3 682 414 0,05% 0,05% Hertz Global Holdings Inc Consumer Services 28 813 396 0,04% 0,04% Intuit Inc Technology 68 261 943 0,05% 0,05% Hess Corp Oil & Gas 88 028 847 0,05% 0,05% Intuitive Surgical Inc Health Care 45 852 805 0,05% 0,05% Hewlett-Packard Co Technology 193 921 741 0,06% 0,06% Invacare Corp Health Care 1 316 307 0,02% 0,03% Hexcel Corp Industrials 15 776 911 0,06% 0,06% Invesco Ltd Financials 49 226 843 0,05% 0,05% Hibbett Sports Inc Consumer Services 7 348 524 0,07% 0,07% Invesco Mortgage Capital Inc Financials 10 577 194 0,09% 0,09% Higher One Holdings Inc Industrials 1 647 527 0,06% 0,06% Investment Technology Group Inc Financials 1 655 101 0,04% 0,04% Highwoods Properties Inc Financials 10 502 740 0,05% 0,05% Investors Bancorp Inc Financials 2 657 629 0,01% 0,01% Hillenbrand Inc Consumer Services 7 615 315 0,07% 0,07% Investors Real Estate Trust Financials 395 867 0,01% 0,01% Hill-Rom Holdings Inc Health Care 10 667 679 0,07% 0,07% ION Geophysical Corp Oil & Gas 2 855 239 0,09% 0,09% Hillshire Brands Co Consumer Goods 15 277 537 0,06% 0,06% IPC The Hospitalist Co Inc Health Care 3 307 648 0,05% 0,05% Hilltop Holdings Inc Financials 1 796 176 0,01% 0,01% IPG Photonics Corp Industrials 9 539 385 0,04% 0,04% Hittite Microwave Corp Technology 5 548 691 0,05% 0,05% Iron Mountain Inc Industrials 6 694 190 0,02% 0,02% HMS Holdings Corp Health Care 6 818 992 0,06% 0,06% Isis Pharmaceuticals Inc Health Care 18 894 672 0,07% 0,07% HNI Corp Consumer Goods 7 553 031 0,07% 0,07% iStar Financial Inc Financials 3 360 628 0,05% 0,05% HollyFrontier Corp Oil & Gas 49 949 805 0,08% 0,08% ITC Holdings Corp Utilities 15 616 149 0,05% 0,05% Hologic Inc Health Care 20 394 573 0,06% 0,06% Itron Inc Industrials 6 085 425 0,06% 0,06% Home BancShares Inc/AR Financials 9 822 067 0,07% 0,07% ITT Corp Industrials 13 327 604 0,06% 0,06% Home Depot Inc/The Consumer Services 399 305 844 0,06% 0,06% ITT Educational Services Inc Consumer Services 3 916 406 0,08% 0,08% Home Loan Servicing Solutions Ltd Financials 5 438 908 0,05% 0,05% Ixia Technology 3 085 610 0,05% 0,05% Home Properties Inc Financials 9 639 423 0,05% 0,05% J&J Snack Foods Corp Consumer Goods 2 723 859 0,03% 0,03% HomeAway Inc Consumer Services 4 611 799 0,02% 0,02% j2 Global Inc Technology 10 348 779 0,07% 0,07% Horace Mann Educators Corp Financials 2 500 350 0,03% 0,03% Jabil Circuit Inc Industrials 14 993 114 0,07% 0,07% Hormel Foods Corp Consumer Goods 17 661 031 0,02% 0,02% Jack Henry & Associates Inc Industrials 17 141 174 0,06% 0,06% Hornbeck Offshore Services Inc Oil & Gas 6 902 885 0,06% 0,06% Jack in the Box Inc Consumer Services 5 754 888 0,04% 0,04% Hospira Inc Health Care 19 775 460 0,05% 0,05% JAKKS Pacific Inc Consumer Goods 287 034 0,03% 0,03% Hospitality Properties Trust Financials 9 330 366 0,04% 0,04% Janus Capital Group Inc Financials 8 102 893 0,06% 0,06% Host Hotels & Resorts Inc Financials 43 905 951 0,05% 0,05% Jarden Corp Consumer Goods 25 880 642 0,05% 0,05% Howard Hughes Corp/The Financials 16 301 610 0,06% 0,06% Jazz Pharmaceuticals Plc Health Care 18 770 909 0,04% 0,04% HSN Inc Consumer Services 9 672 496 0,05% 0,05% JB Hunt Transport Services Inc Industrials 16 850 002 0,03% 0,03% Hub Group Inc Industrials 6 744 244 0,06% 0,07% JC Penney Co Inc Consumer Services 410 731 0,00% 0,00% Hubbell Inc Industrials 19 467 596 0,02% 0,05% JDS Uniphase Corp Technology 9 553 751 0,05% 0,05% Hudson City Bancorp Inc Financials 11 886 776 0,04% 0,04% JetBlue Airways Corp Consumer Services 2 189 654 0,01% 0,01% Hudson Pacific Properties Inc Financials 3 023 690 0,04% 0,04% JM Smucker Co/The Consumer Goods 34 950 887 0,05% 0,05% Humana Inc Health Care 61 250 603 0,06% 0,06% John Bean Technologies Corp Industrials 1 511 784 0,03% 0,03% Huntington Bancshares Inc/OH Financials 24 413 776 0,05% 0,05% John Wiley & Sons Inc Consumer Services 9 328 364 0,02% 0,05% Huntington Ingalls Industries Inc Industrials 13 912 954 0,05% 0,05% Johnson & Johnson Health Care 817 408 861 0,05% 0,05% Huntsman Corp Basic Materials 15 792 606 0,04% 0,04% Johnson Controls Inc Consumer Goods 110 607 818 0,05% 0,05% Huron Consulting Group Inc Industrials 2 149 136 0,02% 0,02% Jones Group Inc/The Consumer Goods 5 617 050 0,08% 0,08% Hyatt Hotels Corp Consumer Services 7 428 744 0,00% 0,02% Jones Lang LaSalle Inc Financials 14 642 567 0,05% 0,05% Hyster-Yale Materials Handling Inc Industrials 2 250 578 0,01% 0,02% Jos A Bank Clothiers Inc Consumer Services 7 160 083 0,08% 0,08% IAC/InterActiveCorp Technology 19 942 706 0,04% 0,06% Joy Global Inc Industrials 22 057 834 0,06% 0,06% Iberiabank Corp Financials 7 040 733 0,06% 0,06% JPMorgan Chase & Co Financials 744 942 408 0,06% 0,06% ICF International Inc Industrials 3 127 118 0,07% 0,07% Juniper Networks Inc Technology 30 501 576 0,04% 0,04% Iconix Brand Group Inc Consumer Goods 12 231 286 0,10% 0,10% K12 Inc Consumer Services 2 920 802 0,05% 0,05% ICU Medical Inc Health Care 1 269 715 0,02% 0,02% Kaiser Aluminum Corp Basic Materials 1 985 792 0,02% 0,02% IDACORP Inc Utilities 8 892 014 0,06% 0,06% Kaman Corp Industrials 5 355 096 0,08% 0,08% IDEX Corp Industrials 21 611 955 0,06% 0,06% Kansas City Southern Industrials 33 785 576 0,04% 0,04%

Foreign exchange reserves Holdings 2013 23 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

KapStone Paper and Packaging Corp Basic Materials 6 558 281 0,04% 0,04% Madison Square Garden Co/The Consumer Services 12 452 539 0,02% 0,05% KAR Auction Services Inc Consumer Services 6 321 430 0,03% 0,03% Magellan Health Services Inc Health Care 7 784 693 0,08% 0,08% KB Home Consumer Goods 2 586 900 0,03% 0,03% Maiden Holdings Ltd Financials 3 802 188 0,08% 0,08% KBR Inc Industrials 17 586 591 0,06% 0,06% Mallinckrodt PLC Health Care 10 991 296 0,06% 0,06% KCG Holdings Inc Financials 456 472 0,01% 0,01% Manhattan Associates Inc Technology 7 824 389 0,06% 0,06% Kearny Financial Corp Financials 459 400 0,01% 0,01% Manitowoc Co Inc/The Industrials 12 478 160 0,07% 0,07% Kellogg Co Consumer Goods 46 679 614 0,03% 0,03% MannKind Corp Health Care 1 286 521 0,01% 0,01% Kelly Services Inc Industrials 1 846 705 0,00% 0,03% Manpowergroup Inc Industrials 40 034 270 0,10% 0,10% Kemper Corp Financials 8 285 613 0,06% 0,06% ManTech International Corp/VA Industrials 3 162 412 0,01% 0,05% Kennametal Inc Industrials 14 320 103 0,06% 0,06% Marathon Oil Corp Oil & Gas 90 327 894 0,06% 0,06% Key Energy Services Inc Oil & Gas 4 519 717 0,06% 0,06% Marathon Petroleum Corp Oil & Gas 111 653 033 0,07% 0,07% KeyCorp Financials 38 585 123 0,05% 0,05% Markel Corp Financials 13 182 236 0,03% 0,03% Kilroy Realty Corp Financials 12 300 373 0,05% 0,05% MarketAxess Holdings Inc Financials 9 113 832 0,06% 0,06% Kimberly-Clark Corp Consumer Goods 134 844 699 0,06% 0,06% Marriott International Inc/DE Consumer Services 42 840 408 0,05% 0,05% Kimco Realty Corp Financials 22 916 708 0,05% 0,05% Marriott Vacations Worldwide Corp Consumer Services 6 335 802 0,06% 0,06% Kinder Morgan Inc/DE Oil & Gas 74 089 197 0,03% 0,03% Marsh & McLennan Cos Inc Financials 80 401 674 0,05% 0,05% Kindred Healthcare Inc Health Care 1 399 631 0,02% 0,02% Martin Marietta Materials Inc Industrials 15 446 634 0,06% 0,06% Kirby Corp Industrials 22 038 738 0,06% 0,06% Marvell Technology Group Ltd Technology 24 140 279 0,06% 0,06% KLA-Tencor Corp Technology 37 188 330 0,06% 0,06% Masco Corp Industrials 17 047 159 0,03% 0,03% Knight Transportation Inc Industrials 4 805 691 0,05% 0,05% Masimo Corp Health Care 7 337 550 0,07% 0,07% Knoll Inc Consumer Goods 1 671 592 0,03% 0,03% MasTec Inc Industrials 9 612 519 0,06% 0,06% Kodiak Oil & Gas Corp Oil & Gas 9 895 230 0,05% 0,05% MasterCard Inc Financials 280 877 051 0,05% 0,05% Kohl’s Corp Consumer Services 45 074 592 0,06% 0,06% Materion Corp Industrials 3 451 273 0,09% 0,09% Koppers Holdings Inc Basic Materials 1 691 441 0,03% 0,03% Matrix Service Co Oil & Gas 2 451 451 0,06% 0,06% Korn/Ferry International Industrials 3 113 542 0,04% 0,04% Matson Inc Industrials 958 036 0,01% 0,01% Kosmos Energy Ltd Oil & Gas 3 478 324 0,01% 0,01% Mattel Inc Consumer Goods 58 183 033 0,06% 0,06% Kraft Foods Group Inc Consumer Goods 101 571 846 0,05% 0,05% Matthews International Corp Consumer Services 6 830 053 0,10% 0,10% Kraton Performance Polymers Inc Basic Materials 3 021 542 0,07% 0,07% Maxim Integrated Products Inc Technology 28 672 104 0,06% 0,06% Kroger Co/The Consumer Services 70 716 964 0,06% 0,06% MAXIMUS Inc Industrials 9 413 417 0,05% 0,05% Kulicke & Soffa Industries Inc Technology 2 291 571 0,04% 0,04% MB Financial Inc Financials 7 275 581 0,07% 0,07% KVH Industries Inc Technology 2 974 059 0,24% 0,24% MBIA Inc Financials 5 710 810 0,04% 0,04% L Brands Inc Consumer Services 42 426 283 0,04% 0,04% McCormick & Co Inc/MD Consumer Goods 21 078 634 0,00% 0,04% L-3 Communications Holdings Inc Industrials 35 639 842 0,06% 0,06% McDermott International Inc Oil & Gas 7 166 221 0,05% 0,05% Laboratory Corp of America Holdings Health Care 32 255 797 0,07% 0,07% McDonald’s Corp Consumer Services 317 788 643 0,05% 0,05% Laclede Group Inc/The Utilities 5 280 899 0,06% 0,06% McGrath RentCorp Industrials 1 824 477 0,03% 0,03% Lam Research Corp Technology 21 265 967 0,04% 0,04% McGraw Hill Financial Inc Financials 66 256 671 0,05% 0,05% Lamar Advertising Co Consumer Services 14 153 100 0,02% 0,05% McKesson Corp Consumer Services 111 819 534 0,05% 0,05% Lancaster Colony Corp Consumer Goods 8 148 104 0,06% 0,06% MDC Holdings Inc Consumer Goods 5 532 998 0,06% 0,06% Landauer Inc Industrials 3 608 296 0,12% 0,12% MDU Resources Group Inc Industrials 8 644 919 0,02% 0,02% Landstar System Inc Industrials 10 225 134 0,06% 0,06% Mead Johnson Nutrition Co Consumer Goods 52 762 694 0,05% 0,05% Laredo Petroleum Holdings Inc Oil & Gas 5 423 760 0,02% 0,02% MeadWestvaco Corp Industrials 12 511 331 0,03% 0,03% Las Vegas Sands Corp Consumer Services 92 723 704 0,02% 0,02% MedAssets Inc Technology 4 210 697 0,06% 0,06% LaSalle Hotel Properties Financials 11 068 436 0,06% 0,06% Medical Properties Trust Inc Financials 7 208 850 0,06% 0,06% Lattice Semiconductor Corp Technology 1 150 303 0,03% 0,03% Medicines Co/The Health Care 7 601 217 0,05% 0,05% Layne Christensen Co Industrials 580 904 0,03% 0,03% Medidata Solutions Inc Technology 5 395 181 0,03% 0,03% Lear Corp Consumer Goods 27 896 131 0,07% 0,07% Medivation Inc Health Care 15 887 805 0,05% 0,05% Legg Mason Inc Financials 11 838 744 0,04% 0,04% MEDNAX Inc Health Care 16 904 889 0,05% 0,05% Leggett & Platt Inc Consumer Goods 15 605 884 0,06% 0,06% Medtronic Inc Health Care 192 132 509 0,06% 0,06% Leidos Holdings Inc Technology 12 848 126 0,05% 0,05% Mellanox Technologies Ltd Technology 5 616 842 0,05% 0,05% Lender Processing Services Inc Industrials 12 070 985 0,06% 0,06% Men’s Wearhouse Inc/The Consumer Services 10 529 912 0,07% 0,07% Lennar Corp Consumer Goods 16 919 839 0,09% 0,04% Mentor Graphics Corp Technology 11 651 222 0,07% 0,07% Lennox International Inc Industrials 16 317 383 0,06% 0,06% MercadoLibre Inc Consumer Services 13 889 808 0,05% 0,05% Leucadia National Corp Consumer Goods 25 840 384 0,04% 0,04% Merck & Co Inc Health Care 474 336 102 0,05% 0,05% Level 3 Communications Inc Telecommunications 25 196 333 0,06% 0,06% Mercury General Corp Financials 6 042 519 0,04% 0,04% Lexicon Pharmaceuticals Inc Health Care 472 741 0,01% 0,01% Meredith Corp Consumer Services 8 455 241 0,02% 0,06% Lexington Realty Trust Financials 6 643 151 0,05% 0,05% Meridian Bioscience Inc Health Care 1 452 123 0,02% 0,02% Lexmark International Inc Technology 11 515 165 0,08% 0,08% Merit Medical Systems Inc Health Care 988 631 0,02% 0,02% LHC Group Inc Health Care 3 329 689 0,13% 0,13% Meritage Homes Corp Consumer Goods 6 226 494 0,06% 0,06% Liberty Global PLC Consumer Services 65 601 586 0,02% 0,03% Meritor Inc Industrials 3 493 094 0,06% 0,06% Liberty Interactive Corp Consumer Services 42 525 847 0,03% 0,05% Methode Electronics Inc Industrials 2 296 824 0,03% 0,03% Liberty Media Corp Consumer Services 41 161 085 0,02% 0,04% MetLife Inc Financials 152 039 968 0,04% 0,04% Liberty Property Trust Financials 12 899 682 0,04% 0,04% Mettler-Toledo International Inc Industrials 27 499 782 0,06% 0,06% Liberty Ventures Financials 16 045 342 0,04% 0,06% MFA Financial Inc Financials 8 493 150 0,05% 0,05% Life Technologies Corp Health Care 39 057 903 0,05% 0,05% MFC Industrial Ltd Basic Materials 3 332 500 0,11% 0,11% Life Time Fitness Inc Consumer Services 5 871 643 0,05% 0,05% MGE Energy Inc Utilities 7 170 136 0,09% 0,09% LifePoint Hospitals Inc Health Care 10 628 576 0,07% 0,07% MGIC Investment Corp Financials 7 888 726 0,05% 0,05% Lincoln Electric Holdings Inc Industrials 20 524 672 0,06% 0,06% MGM Resorts International Consumer Services 15 526 636 0,02% 0,02% Lincoln National Corp Financials 51 937 184 0,06% 0,06% Michael Kors Holdings Ltd Consumer Goods 37 794 708 0,04% 0,04% Lindsay Corp Industrials 5 830 096 0,09% 0,09% Micrel Inc Technology 1 065 262 0,03% 0,03% Linear Technology Corp Technology 27 760 515 0,04% 0,04% Microchip Technology Inc Technology 20 760 143 0,04% 0,04% LinkedIn Corp Industrials 57 716 469 0,02% 0,04% Micron Technology Inc Technology 63 889 681 0,05% 0,05% LinnCo LLC Oil & Gas 9 490 658 0,04% 0,04% MICROS Systems Inc Technology 15 461 307 0,06% 0,06% Lions Gate Entertainment Corp Consumer Services 10 976 018 0,04% 0,04% Microsemi Corp Technology 8 562 277 0,06% 0,06% Liquidity Services Inc Consumer Services 1 860 722 0,04% 0,04% Microsoft Corp Technology 925 104 479 0,05% 0,05% Littelfuse Inc Industrials 9 331 891 0,07% 0,07% MicroStrategy Inc Technology 2 185 108 0,01% 0,03% Live Nation Entertainment Inc Consumer Services 11 498 622 0,05% 0,05% Mid-America Apartment Communities Inc Financials 14 159 262 0,05% 0,05% LKQ Corp Consumer Goods 12 334 842 0,02% 0,02% Middleby Corp/The Consumer Goods 13 580 281 0,05% 0,05% Loews Corp Financials 42 187 345 0,04% 0,04% Mine Safety Appliances Co Industrials 6 667 576 0,06% 0,06% LogMeIn Inc Technology 2 260 139 0,05% 0,05% Minerals Technologies Inc Basic Materials 9 921 397 0,08% 0,08% Loral Space & Communications Inc Technology 4 425 081 0,04% 0,03% MKS Instruments Inc Technology 6 862 779 0,07% 0,07% Louisiana-Pacific Corp Industrials 12 065 120 0,08% 0,08% Mobile Mini Inc Industrials 3 896 643 0,03% 0,03% Lowe’s Cos Inc Consumer Services 172 549 423 0,05% 0,05% Modine Manufacturing Co Consumer Goods 3 738 197 0,10% 0,10% LPL Financial Holdings Inc Financials 11 572 454 0,04% 0,04% Mohawk Industries Inc Consumer Goods 26 674 236 0,04% 0,04% LSI Corp Technology 22 165 131 0,06% 0,06% Molina Healthcare Inc Health Care 2 759 041 0,03% 0,03% LTC Properties Inc Financials 5 282 622 0,07% 0,07% Molson Coors Brewing Co Consumer Goods 22 248 088 0,00% 0,04% Lululemon Athletica Inc Consumer Goods 19 184 818 0,04% 0,04% Molycorp Inc Basic Materials 3 807 705 0,05% 0,05% Lumber Liquidators Holdings Inc Consumer Services 12 999 344 0,08% 0,08% Momenta Pharmaceuticals Inc Health Care 4 005 374 0,07% 0,07% Luminex Corp Health Care 4 830 751 0,10% 0,10% Mondelez International Inc Consumer Goods 206 844 963 0,06% 0,06% Lydall Inc Industrials 1 378 983 0,08% 0,08% Monolithic Power Systems Inc Technology 1 518 200 0,02% 0,02% LyondellBasell Industries NV Basic Materials 120 778 332 0,04% 0,04% Monro Muffler Brake Inc Consumer Services 6 925 403 0,06% 0,06% M&T Bank Corp Financials 41 927 540 0,05% 0,05% Monsanto Co Consumer Goods 200 241 204 0,05% 0,05% Macerich Co/The Financials 22 805 692 0,05% 0,05% Monster Beverage Corp Consumer Goods 22 745 664 0,03% 0,03% Mack-Cali Realty Corp Financials 7 016 731 0,06% 0,06% Monster Worldwide Inc Industrials 3 465 376 0,08% 0,08% Macy’s Inc Consumer Services 81 112 640 0,07% 0,07% Montpelier Re Holdings Ltd Financials 5 976 589 0,07% 0,07%

Foreign exchange reserves Holdings 2013 24 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Moody’s Corp Financials 53 466 465 0,05% 0,05% Ocwen Financial Corp Financials 27 730 688 0,06% 0,06% Moog Inc Industrials 11 081 095 0,03% 0,06% Office Depot Inc Consumer Services 11 146 184 0,07% 0,07% Morgan Stanley Financials 140 132 602 0,04% 0,04% OFG Bancorp Financials 783 208 0,02% 0,02% Morningstar Inc Consumer Services 7 088 876 0,03% 0,03% OGE Energy Corp Oil & Gas 27 059 915 0,07% 0,07% Mosaic Co/The Basic Materials 50 124 269 0,04% 0,04% Oil States International Inc Oil & Gas 19 557 766 0,06% 0,06% Motorola Solutions Inc Technology 48 826 979 0,05% 0,05% Old Dominion Freight Line Inc Industrials 18 606 355 0,07% 0,07% Move Inc Financials 1 137 721 0,03% 0,03% Old National Bancorp/IN Financials 6 279 006 0,07% 0,07% MSC Industrial Direct Co Inc Industrials 12 390 273 0,01% 0,04% Old Republic International Corp Financials 14 394 654 0,05% 0,05% MSCI Inc Financials 17 191 439 0,05% 0,05% Olin Corp Basic Materials 8 424 128 0,06% 0,06% MTS Systems Corp Industrials 2 321 685 0,03% 0,03% OM Group Inc Basic Materials 4 953 769 0,07% 0,07% Mueller Industries Inc Industrials 8 182 919 0,08% 0,08% Omega Healthcare Investors Inc Financials 13 320 222 0,06% 0,06% Mueller Water Products Inc Industrials 1 622 282 0,02% 0,02% Omnicare Inc Consumer Services 14 676 000 0,04% 0,04% Multi-Fineline Electronix Inc Industrials 247 918 0,01% 0,01% Omnicell Inc Health Care 1 562 961 0,03% 0,03% Murphy Oil Corp Oil & Gas 48 777 441 0,07% 0,07% Omnicom Group Inc Consumer Services 57 239 524 0,05% 0,05% Murphy USA Inc Consumer Services 7 811 244 0,07% 0,07% OmniVision Technologies Inc Technology 3 669 461 0,06% 0,06% MWI Veterinary Supply Inc Industrials 10 970 406 0,08% 0,08% On Assignment Inc Industrials 4 170 354 0,04% 0,04% Myers Industries Inc Industrials 1 018 136 0,02% 0,02% ON Semiconductor Corp Technology 12 617 389 0,06% 0,06% Mylan Inc/PA Health Care 48 270 236 0,05% 0,05% ONEOK Inc Utilities 37 138 579 0,05% 0,05% Myriad Genetics Inc Health Care 8 009 507 0,08% 0,08% OpenTable Inc Consumer Services 5 088 284 0,05% 0,05% Nabors Industries Ltd Oil & Gas 16 426 981 0,05% 0,05% Opko Health Inc Health Care 5 224 929 0,03% 0,03% NACCO Industries Inc Industrials 751 199 0,01% 0,03% Oracle Corp Technology 455 455 511 0,04% 0,04% NAM TAI Electronics Inc Industrials 440 840 0,02% 0,02% Orbital Sciences Corp Industrials 6 316 565 0,07% 0,07% NASDAQ OMX Group Inc/The Financials 23 254 107 0,06% 0,06% O’Reilly Automotive Inc Consumer Services 39 382 889 0,05% 0,05% National CineMedia Inc Consumer Services 5 012 336 0,07% 0,07% Orient-Express Hotels Ltd Consumer Services 5 750 557 0,02% 0,05% National Fuel Gas Co Utilities 19 779 116 0,05% 0,05% Oritani Financial Corp Financials 3 879 435 0,09% 0,09% National Health Investors Inc Financials 7 304 257 0,06% 0,06% Orthofix International NV Health Care 687 382 0,03% 0,03% National Healthcare Corp Health Care 930 824 0,02% 0,02% Oshkosh Corp Industrials 16 118 037 0,06% 0,06% National Instruments Corp Industrials 9 804 135 0,04% 0,04% OSI Systems Inc Industrials 4 188 735 0,06% 0,06% National Oilwell Varco Inc Oil & Gas 106 077 838 0,05% 0,05% Otter Tail Corp Industrials 6 257 270 0,10% 0,10% National Penn Bancshares Inc Financials 7 071 086 0,07% 0,07% Outerwall Inc Industrials 7 856 660 0,07% 0,07% National Presto Industries Inc Consumer Goods 757 968 0,02% 0,02% Owens & Minor Inc Health Care 8 033 964 0,06% 0,06% National Retail Properties Inc Financials 11 935 466 0,05% 0,05% Owens Corning Industrials 17 816 184 0,06% 0,06% Natus Medical Inc Health Care 4 161 738 0,10% 0,10% Owens-Illinois Inc Industrials 12 213 767 0,03% 0,03% Navigant Consulting Inc Industrials 1 658 143 0,03% 0,03% Oxford Industries Inc Consumer Goods 2 643 318 0,03% 0,03% Navigators Group Inc/The Financials 1 460 691 0,03% 0,03% PACCAR Inc Industrials 61 942 661 0,05% 0,05% Navios Maritime Holdings Inc Industrials 4 808 687 0,07% 0,07% Packaging Corp of America Industrials 24 264 281 0,06% 0,06% Navistar International Corp Industrials 9 194 042 0,05% 0,05% PacWest Bancorp Financials 7 701 690 0,07% 0,07% NBT Bancorp Inc Financials 5 397 464 0,08% 0,08% Pall Corp Industrials 33 679 633 0,06% 0,06% NCR Corp Technology 12 066 149 0,04% 0,04% Pandora Media Inc Consumer Services 6 485 468 0,02% 0,02% Nektar Therapeutics Health Care 4 131 387 0,05% 0,05% Panera Bread Co Consumer Services 18 325 015 0,06% 0,06% Nelnet Inc Financials 1 475 141 0,00% 0,01% Pantry Inc/The Consumer Services 526 824 0,02% 0,02% Neogen Corp Health Care 7 841 050 0,08% 0,08% Papa John’s International Inc Consumer Services 3 744 263 0,03% 0,03% NetApp Inc Technology 52 967 785 0,06% 0,06% PAREXEL International Corp Health Care 10 469 534 0,07% 0,07% Netflix Inc Consumer Services 43 182 811 0,03% 0,03% Park Electrochemical Corp Industrials 1 060 947 0,03% 0,03% NETGEAR Inc Technology 7 017 253 0,09% 0,09% Park National Corp Financials 12 805 645 0,16% 0,16% Netscout Systems Inc Technology 6 462 113 0,09% 0,09% Parker Drilling Co Oil & Gas 1 667 529 0,03% 0,03% NetSuite Inc Technology 7 994 463 0,02% 0,02% Parker Hannifin Corp Industrials 70 822 551 0,06% 0,06% NeuStar Inc Industrials 12 508 696 0,07% 0,07% Parkway Properties Inc/Md Financials 4 266 546 0,04% 0,04% New Jersey Resources Corp Utilities 7 565 644 0,06% 0,06% PartnerRe Ltd Financials 23 099 525 0,07% 0,07% New Residential Investment Corp Financials 5 041 909 0,05% 0,05% Patterson Cos Inc Health Care 12 784 408 0,05% 0,05% New York Community Bancorp Inc Financials 21 343 548 0,05% 0,05% Patterson-UTI Energy Inc Oil & Gas 13 403 471 0,06% 0,06% New York Times Co/The Consumer Services 9 436 299 0,07% 0,07% Paychex Inc Industrials 41 853 688 0,04% 0,04% Newcastle Investment Corp Financials 4 332 419 0,04% 0,04% PDC Energy Inc Oil & Gas 4 421 488 0,04% 0,04% Newell Rubbermaid Inc Consumer Goods 32 933 974 0,06% 0,06% PDL BioPharma Inc Health Care 5 909 632 0,08% 0,08% Newfield Exploration Co Oil & Gas 11 051 436 0,05% 0,05% Peabody Energy Corp Basic Materials 14 054 286 0,04% 0,04% NewMarket Corp Basic Materials 14 506 915 0,05% 0,05% Pebblebrook Hotel Trust Financials 5 086 227 0,04% 0,04% Newmont Mining Corp Basic Materials 34 603 923 0,05% 0,05% Pegasystems Inc Technology 4 549 809 0,04% 0,04% Newpark Resources Inc Oil & Gas 5 934 357 0,09% 0,09% Penn National Gaming Inc Consumer Services 4 123 728 0,06% 0,06% Newport Corp Industrials 1 291 089 0,03% 0,03% Pennsylvania Real Estate Investment Trust Financials 5 588 978 0,07% 0,07% News Corp Consumer Services 20 710 538 0,02% 0,03% PennyMac Mortgage Investment Trust Financials 5 641 025 0,06% 0,06% NextEra Energy Inc Utilities 112 228 408 0,05% 0,05% Penske Automotive Group Inc Consumer Services 4 060 225 0,02% 0,02% NIC Inc Technology 6 044 959 0,06% 0,06% Pentair Ltd Industrials 38 563 067 0,04% 0,04% Nielsen Holdings NV Consumer Services 27 439 311 0,03% 0,03% Peoples Bancorp Inc/OH Financials 150 221 0,01% 0,01% NII Holdings Inc Telecommunications 1 746 981 0,06% 0,06% People’s United Financial Inc Financials 14 280 371 0,05% 0,05% NIKE Inc Consumer Goods 148 880 531 0,04% 0,04% Pep Boys-Manny Moe & Jack/The Consumer Services 1 208 327 0,03% 0,03% NiSource Inc Utilities 35 915 421 0,06% 0,06% Pepco Holdings Inc Utilities 11 607 625 0,04% 0,04% Noble Corp plc Oil & Gas 26 713 400 0,05% 0,05% PepsiCo Inc Consumer Goods 418 104 084 0,05% 0,05% Noble Energy Inc Oil & Gas 73 335 004 0,05% 0,05% Perficient Inc Technology 1 276 355 0,03% 0,03% Nordic American Tankers Ltd Industrials 1 330 622 0,03% 0,03% PerkinElmer Inc Industrials 16 389 426 0,06% 0,06% Nordson Corp Industrials 11 229 957 0,04% 0,04% Perrigo Co Plc Health Care 61 892 268 0,05% 0,05% Nordstrom Inc Consumer Services 33 290 528 0,05% 0,05% PetSmart Inc Consumer Services 29 073 044 0,06% 0,06% Norfolk Southern Corp Industrials 88 113 780 0,05% 0,05% Pfizer Inc Health Care 658 586 821 0,05% 0,05% Northeast Utilities Utilities 39 423 710 0,05% 0,05% PG&E Corp Utilities 54 966 511 0,05% 0,05% Northern Oil and Gas Inc Oil & Gas 5 385 350 0,10% 0,10% PH Glatfelter Co Basic Materials 2 272 001 0,03% 0,03% Northern Trust Corp Financials 45 207 848 0,05% 0,05% Pharmacyclics Inc Health Care 25 249 067 0,05% 0,05% NorthStar Realty Finance Corp Financials 9 193 203 0,04% 0,04% PharMerica Corp Health Care 5 654 325 0,15% 0,15% Northwest Bancshares Inc Financials 4 869 961 0,06% 0,06% PHH Corp Industrials 6 138 533 0,07% 0,07% Northwest Natural Gas Co Utilities 5 097 193 0,07% 0,07% Phillips 66 Oil & Gas 171 630 553 0,06% 0,06% NorthWestern Corp Utilities 7 588 548 0,08% 0,08% PhotoMedex Inc Health Care 3 073 805 0,19% 0,19% Norwegian Cruise Line Holdings Ltd Consumer Services 6 083 454 0,01% 0,01% PICO Holdings Inc Financials 2 929 301 0,09% 0,09% NRG Energy Inc Utilities 26 494 576 0,05% 0,05% Piedmont Natural Gas Co Inc Utilities 8 564 094 0,06% 0,06% NTELOS Holdings Corp Telecommunications 900 242 0,03% 0,03% Piedmont Office Realty Trust Inc Financials 9 822 489 0,06% 0,06% Nu Skin Enterprises Inc Consumer Goods 29 565 949 0,06% 0,06% Pier 1 Imports Inc Consumer Services 8 097 384 0,06% 0,06% Nuance Communications Inc Technology 9 449 478 0,03% 0,03% Pike Corp Industrials 1 351 019 0,07% 0,07% Nucor Corp Basic Materials 51 128 870 0,05% 0,05% Pinnacle Entertainment Inc Consumer Services 2 584 491 0,03% 0,03% NuVasive Inc Health Care 4 187 420 0,05% 0,05% Pinnacle Financial Partners Inc Financials 2 098 077 0,03% 0,03% Nuverra Environmental Solutions Inc Industrials 865 729 0,03% 0,03% Pinnacle West Capital Corp Utilities 22 538 893 0,06% 0,06% NVIDIA Corp Technology 37 009 531 0,07% 0,07% Pioneer Energy Services Corp Oil & Gas 2 478 806 0,08% 0,08% NVR Inc Consumer Goods 11 833 057 0,04% 0,04% Pioneer Natural Resources Co Oil & Gas 66 037 538 0,04% 0,04% NXP Semiconductor NV Technology 23 499 147 0,03% 0,03% Piper Jaffray Cos Financials 1 371 999 0,04% 0,04% NxStage Medical Inc Health Care 1 505 428 0,04% 0,04% Pitney Bowes Inc Technology 16 328 217 0,06% 0,06% Oasis Petroleum Inc Oil & Gas 12 783 873 0,04% 0,04% Plantronics Inc Technology 8 710 316 0,07% 0,07% Occidental Petroleum Corp Oil & Gas 258 008 441 0,06% 0,06% Platinum Underwriters Holdings Ltd Financials 6 728 412 0,06% 0,06% Oceaneering International Inc Oil & Gas 29 626 267 0,06% 0,06% Plexus Corp Industrials 3 675 299 0,04% 0,04%

Foreign exchange reserves Holdings 2013 25 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

Plum Creek Timber Co Inc Financials 21 606 824 0,04% 0,04% Riverbed Technology Inc Technology 10 361 409 0,06% 0,06% PMC - Sierra Inc Technology 5 054 233 0,06% 0,06% RLI Corp Financials 8 624 350 0,07% 0,07% PNC Financial Services Group Inc/The Financials 134 710 792 0,05% 0,05% RLJ Lodging Trust Financials 9 081 443 0,05% 0,05% PNM Resources Inc Utilities 5 678 576 0,05% 0,05% Roadrunner Transportation Systems Inc Industrials 3 072 195 0,05% 0,05% Polaris Industries Inc Consumer Goods 34 576 097 0,06% 0,06% Robert Half International Inc Industrials 21 186 037 0,06% 0,06% Polycom Inc Technology 6 399 655 0,06% 0,06% Rock Tenn Co Industrials 26 226 032 0,06% 0,06% PolyOne Corp Basic Materials 13 424 750 0,07% 0,07% Rockwell Automation Inc Industrials 60 948 786 0,06% 0,06% Polypore International Inc Basic Materials 5 407 951 0,05% 0,05% Rockwell Collins Inc Industrials 35 599 775 0,06% 0,06% Pool Corp Consumer Goods 11 044 577 0,07% 0,07% Rockwood Holdings Inc Basic Materials 18 317 043 0,06% 0,06% Popular Inc Financials 9 847 810 0,05% 0,05% Rofin-Sinar Technologies Inc Industrials 1 543 530 0,03% 0,03% Portfolio Recovery Associates Inc Financials 11 740 642 0,07% 0,07% Rogers Corp Industrials 1 493 938 0,02% 0,02% Portland General Electric Co Utilities 8 159 103 0,06% 0,06% Rollins Inc Consumer Services 6 547 727 0,02% 0,02% Post Holdings Inc Consumer Goods 4 587 727 0,05% 0,05% Roper Industries Inc Industrials 35 930 725 0,04% 0,04% Post Properties Inc Financials 9 472 962 0,06% 0,06% Rosetta Resources Inc Oil & Gas 11 119 748 0,06% 0,06% Potlatch Corp Financials 6 368 996 0,06% 0,06% Ross Stores Inc Consumer Services 58 544 253 0,06% 0,06% Powell Industries Inc Industrials 1 020 110 0,02% 0,02% Rouse Properties Inc Financials 11 578 0,00% 0,00% Power Integrations Inc Technology 8 804 941 0,09% 0,09% Rovi Corp Technology 8 228 985 0,07% 0,07% PPG Industries Inc Basic Materials 96 386 709 0,06% 0,06% Rowan Cos Plc Oil & Gas 10 757 082 0,04% 0,04% PPL Corp Utilities 47 319 726 0,04% 0,04% Royal Caribbean Cruises Ltd Consumer Services 27 133 197 0,04% 0,04% Praxair Inc Basic Materials 120 019 063 0,05% 0,05% RPC Inc Oil & Gas 8 206 897 0,03% 0,03% Precision Castparts Corp Industrials 116 829 964 0,05% 0,05% RPM International Inc Basic Materials 18 031 634 0,05% 0,05% Premiere Global Services Inc Technology 806 018 0,02% 0,02% RR Donnelley & Sons Co Industrials 14 118 103 0,06% 0,06% Prestige Brands Holdings Inc Health Care 8 324 582 0,07% 0,07% RTI International Metals Inc Basic Materials 5 540 881 0,09% 0,09% PRGX Global Inc Industrials 3 057 692 0,26% 0,26% Ruby Tuesday Inc Consumer Services 1 297 708 0,05% 0,05% priceline.com Inc Consumer Services 191 923 077 0,05% 0,05% Rudolph Technologies Inc Technology 466 238 0,02% 0,02% PriceSmart Inc Consumer Services 11 528 752 0,05% 0,05% Rush Enterprises Inc Consumer Services 1 154 663 0,00% 0,02% Primerica Inc Financials 10 300 159 0,07% 0,07% Ryder System Inc Industrials 14 220 639 0,06% 0,06% Principal Financial Group Inc Financials 43 954 148 0,05% 0,05% Ryland Group Inc/The Consumer Goods 6 725 211 0,06% 0,06% PrivateBancorp Inc Financials 9 907 764 0,07% 0,07% Ryman Hospitality Properties Inc Financials 9 424 886 0,07% 0,07% ProAssurance Corp Financials 10 957 768 0,06% 0,06% S&T Bancorp Inc Financials 1 157 935 0,03% 0,03% Procter & Gamble Co/The Consumer Goods 727 359 978 0,05% 0,05% Sabra Health Care REIT Inc Financials 3 689 220 0,06% 0,06% Progress Software Corp Technology 6 816 900 0,08% 0,08% Safety Insurance Group Inc Financials 1 678 444 0,03% 0,03% Progressive Corp/The Financials 41 140 214 0,04% 0,04% Safeway Inc Consumer Services 35 120 550 0,07% 0,07% Prosperity Bancshares Inc Financials 14 107 845 0,06% 0,06% Salesforce.com Inc Technology 86 242 691 0,04% 0,04% Protective Life Corp Financials 14 670 269 0,06% 0,06% Salix Pharmaceuticals Ltd Health Care 17 326 649 0,05% 0,05% Provident Financial Holdings Inc Financials 2 447 974 0,26% 0,26% Sally Beauty Holdings Inc Consumer Services 19 878 637 0,07% 0,07% Provident Financial Services Inc Financials 2 364 860 0,03% 0,03% Sanderson Farms Inc Consumer Goods 6 171 059 0,06% 0,06% Prudential Financial Inc Financials 136 071 765 0,05% 0,05% SanDisk Corp Technology 47 090 950 0,05% 0,05% PS Business Parks Inc Financials 6 303 032 0,05% 0,05% SandRidge Energy Inc Oil & Gas 11 571 617 0,06% 0,06% PTC Inc Technology 13 979 067 0,05% 0,05% Sandy Spring Bancorp Inc Financials 7 474 284 0,17% 0,17% Public Service Enterprise Group Inc Utilities 59 924 238 0,06% 0,06% Sanmina Corp Industrials 2 854 184 0,03% 0,03% Public Storage Financials 67 342 626 0,04% 0,04% Sapient Corp Technology 8 127 584 0,06% 0,06% PulteGroup Inc Consumer Goods 17 982 007 0,04% 0,04% Saul Centers Inc Financials 1 155 677 0,02% 0,02% PVH Corp Consumer Goods 27 458 960 0,04% 0,04% SBA Communications Corp Telecommunications 20 450 664 0,03% 0,03% QEP Resources Inc Oil & Gas 6 959 511 0,02% 0,02% SCANA Corp Utilities 15 423 419 0,04% 0,04% Qlik Technologies Inc Technology 7 763 615 0,05% 0,05% ScanSource Inc Technology 6 505 686 0,09% 0,09% QLogic Corp Technology 5 329 056 0,09% 0,09% Schawk Inc Consumer Services 364 826 0,02% 0,02% QUALCOMM Inc Technology 412 409 347 0,05% 0,05% Schlumberger Ltd Oil & Gas 394 035 508 0,05% 0,05% Quality Systems Inc Technology 3 819 237 0,05% 0,05% Schnitzer Steel Industries Inc Industrials 3 638 827 0,06% 0,07% Quanex Building Products Corp Industrials 1 352 934 0,03% 0,03% Scholastic Corp Consumer Services 3 631 264 0,06% 0,06% Quanta Services Inc Industrials 22 407 709 0,06% 0,05% Sciclone Pharmaceuticals Inc Health Care 3 302 033 0,20% 0,20% Quest Diagnostics Inc Health Care 29 671 904 0,06% 0,06% Science Applications International Corp Technology 5 222 418 0,05% 0,05% Questar Corp Utilities 9 281 908 0,04% 0,04% Scientific Games Corp Consumer Services 2 159 001 0,02% 0,02% Questcor Pharmaceuticals Inc Health Care 14 093 625 0,07% 0,07% Scotts Miracle-Gro Co/The Consumer Goods 10 611 324 0,05% 0,05% Quidel Corp Health Care 1 792 154 0,03% 0,03% Scripps Networks Interactive Inc Consumer Services 28 286 754 0,16% 0,04% Quiksilver Inc Consumer Goods 2 000 237 0,02% 0,02% Seaboard Corp Consumer Goods 3 798 293 0,02% 0,02% Rackspace Hosting Inc Technology 11 020 390 0,03% 0,03% SEACOR Holdings Inc Oil & Gas 7 898 864 0,07% 0,07% Radian Group Inc Financials 10 181 671 0,07% 0,07% Seagate Technology PLC Technology 75 674 349 0,07% 0,07% Ralph Lauren Corp Consumer Goods 41 935 194 0,01% 0,04% Sealed Air Corp Industrials 13 973 850 0,03% 0,03% Rambus Inc Technology 1 973 226 0,03% 0,03% Sears Holdings Corp Consumer Services 219 271 0,00% 0,00% Ramco-Gershenson Properties Trust Financials 2 470 479 0,04% 0,04% Seaspan Corp Industrials 3 653 923 0,04% 0,04% Range Resources Corp Oil & Gas 24 740 045 0,03% 0,03% Seattle Genetics Inc Health Care 18 785 524 0,06% 0,06% Raven Industries Inc Industrials 4 356 847 0,05% 0,05% SEI Investments Co Financials 9 737 368 0,03% 0,03% Raymond James Financial Inc Financials 26 416 666 0,06% 0,06% Select Comfort Corp Consumer Goods 3 721 294 0,05% 0,05% Rayonier Inc Financials 14 987 205 0,05% 0,05% Selective Insurance Group Inc Financials 3 490 232 0,04% 0,04% RBC Bearings Inc Industrials 7 587 063 0,08% 0,08% SemGroup Corp Oil & Gas 6 500 040 0,04% 0,04% RealNetworks Inc Consumer Services 401 204 0,02% 0,02% Sempra Energy Utilities 50 623 429 0,04% 0,04% Realogy Holdings Corp Financials 23 200 123 0,05% 0,05% Semtech Corp Technology 7 395 040 0,07% 0,07% RealPage Inc Technology 2 804 377 0,03% 0,03% Senior Housing Properties Trust Financials 15 112 283 0,06% 0,06% Realty Income Corp Financials 21 060 184 0,05% 0,05% Sensata Technologies Holding NV Industrials 12 013 206 0,03% 0,03% Red Hat Inc Technology 30 284 617 0,05% 0,05% Sensient Technologies Corp Basic Materials 9 628 338 0,07% 0,07% Red Robin Gourmet Burgers Inc Consumer Services 1 683 793 0,03% 0,03% Sequenom Inc Health Care 354 911 0,02% 0,02% Redwood Trust Inc Financials 4 492 124 0,05% 0,05% Service Corp International/US Consumer Services 16 712 403 0,07% 0,07% Regal Entertainment Group Consumer Services 8 768 715 0,02% 0,05% ServiceSource International Inc Industrials 1 660 339 0,04% 0,04% Regal-Beloit Corp Industrials 11 069 840 0,05% 0,05% Sherwin-Williams Co/The Industrials 44 228 984 0,04% 0,04% Regency Centers Corp Financials 13 761 054 0,05% 0,05% Ship Finance International Ltd Industrials 4 415 629 0,05% 0,05% Regeneron Pharmaceuticals Inc Health Care 46 935 857 0,02% 0,03% Shutterfly Inc Consumer Services 6 259 720 0,05% 0,05% Regions Financial Corp Financials 49 210 600 0,06% 0,06% Sigma-Aldrich Corp Basic Materials 32 611 162 0,05% 0,05% Regis Corp Consumer Services 3 829 481 0,08% 0,08% Signature Bank/New York NY Financials 20 691 508 0,07% 0,07% Reinsurance Group of America Inc Financials 18 948 827 0,06% 0,06% Signet Jewelers Ltd Consumer Services 22 701 365 0,06% 0,06% Reliance Steel & Aluminum Co Basic Materials 19 283 206 0,05% 0,05% Silgan Holdings Inc Industrials 10 918 471 0,06% 0,06% RenaissanceRe Holdings Ltd Financials 15 658 949 0,06% 0,06% Silicon Graphics International Corp Technology 704 710 0,03% 0,03% Renasant Corp Financials 1 916 266 0,03% 0,03% Silicon Laboratories Inc Technology 6 300 346 0,06% 0,06% Renewable Energy Group Inc Oil & Gas 3 086 959 0,12% 0,12% Simmons First National Corp Financials 969 149 0,03% 0,03% Rent-A-Center Inc/TX Consumer Services 8 881 824 0,08% 0,08% Simon Property Group Inc Financials 149 417 206 0,05% 0,05% Republic Bancorp Inc/KY Financials 2 977 610 0,05% 0,10% Simpson Manufacturing Co Inc Industrials 3 473 781 0,03% 0,03% Republic Services Inc Industrials 42 368 575 0,06% 0,06% SINA Corp/China Technology 17 215 441 0,05% 0,05% ResMed Inc Health Care 25 432 826 0,06% 0,06% Sirius XM Holdings Inc Consumer Services 31 975 377 0,02% 0,02% Resolute Forest Products Inc Basic Materials 5 232 371 0,06% 0,06% Sirona Dental Systems Inc Health Care 12 860 261 0,05% 0,05% Resources Connection Inc Industrials 1 290 768 0,04% 0,04% Six Flags Entertainment Corp Consumer Services 14 710 113 0,07% 0,07% Rex Energy Corp Oil & Gas 5 737 932 0,09% 0,09% SJW Corp Utilities 750 036 0,02% 0,02% RF Micro Devices Inc Technology 4 953 319 0,06% 0,06% Skechers U.S.A. Inc Consumer Goods 4 505 699 0,01% 0,04% Rigel Pharmaceuticals Inc Health Care 1 057 661 0,07% 0,07% Skyworks Solutions Inc Technology 20 004 973 0,06% 0,06% Rite Aid Corp Consumer Services 11 807 012 0,04% 0,04% SL Green Realty Corp Financials 24 416 809 0,05% 0,05%

Foreign exchange reserves Holdings 2013 26 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

SLM Corp Financials 34 154 555 0,05% 0,05% TCF Financial Corp Financials 7 720 097 0,05% 0,05% SM Energy Co Oil & Gas 17 839 159 0,05% 0,05% TD Ameritrade Holding Corp Financials 16 824 749 0,02% 0,02% Snap-on Inc Consumer Goods 21 652 152 0,06% 0,06% TE Connectivity Ltd Industrials 86 227 010 0,06% 0,06% Snyders-Lance Inc Consumer Goods 6 013 717 0,05% 0,05% Team Health Holdings Inc Health Care 11 553 709 0,06% 0,06% Sohu.com Inc Technology 8 988 923 0,05% 0,05% Team Inc Industrials 3 859 478 0,07% 0,07% SolarWinds Inc Technology 7 124 875 0,04% 0,04% Tech Data Corp Technology 9 329 813 0,08% 0,08% Solera Holdings Inc Technology 16 591 212 0,06% 0,06% Techne Corp Health Care 12 006 759 0,06% 0,06% Sonic Automotive Inc Consumer Services 1 389 075 0,01% 0,02% TECO Energy Inc Utilities 21 570 947 0,09% 0,09% Sonic Corp Consumer Services 2 476 252 0,04% 0,04% Teekay Corp Industrials 10 024 913 0,05% 0,05% Sonoco Products Co Industrials 14 110 320 0,05% 0,05% Tejon Ranch Co Financials 776 101 0,02% 0,02% Sonus Networks Inc Technology 1 461 501 0,03% 0,03% Teledyne Technologies Inc Industrials 12 890 368 0,06% 0,06% Sotheby’s Consumer Services 12 645 274 0,06% 0,06% Teleflex Inc Health Care 12 506 491 0,05% 0,05% South Jersey Industries Inc Utilities 6 936 343 0,06% 0,06% Telephone & Data Systems Inc Telecommunications 9 196 207 0,03% 0,05% Southern Co/The Utilities 115 079 689 0,05% 0,05% TeleTech Holdings Inc Industrials 2 292 329 0,03% 0,03% Southern Copper Corp Basic Materials 17 990 454 0,01% 0,01% Tempur Sealy International Inc Consumer Goods 13 879 388 0,07% 0,07% Southwest Airlines Co Consumer Services 14 315 664 0,02% 0,02% Tenet Healthcare Corp Health Care 17 110 416 0,07% 0,07% Southwest Gas Corp Utilities 9 945 273 0,06% 0,06% Tennant Co Industrials 2 346 586 0,03% 0,03% Southwestern Energy Co Oil & Gas 34 864 862 0,04% 0,04% Tenneco Inc Consumer Goods 12 117 079 0,06% 0,06% Sovran Self Storage Inc Financials 8 060 148 0,06% 0,06% Teradata Corp Technology 24 633 789 0,05% 0,05% Spansion Inc Technology 5 422 681 0,11% 0,11% Teradyne Inc Technology 10 921 651 0,05% 0,05% Spartan Stores Inc Consumer Services 1 372 129 0,02% 0,02% Terex Corp Industrials 15 308 513 0,05% 0,05% Spectra Energy Corp Utilities 62 049 137 0,04% 0,04% Tesla Motors Inc Consumer Goods 38 666 493 0,03% 0,03% Spectrum Brands Holdings Inc Consumer Goods 7 279 273 0,03% 0,03% Tesoro Corp Oil & Gas 30 695 874 0,07% 0,07% Speedway Motorsports Inc Consumer Services 637 179 0,01% 0,01% Tessera Technologies Inc Technology 5 305 061 0,08% 0,08% Spirit Aerosystems Holdings Inc Industrials 12 067 859 0,02% 0,04% Teton Advisors Inc Financials 0 0,01% 0,00% Spirit Realty Capital Inc Financials 13 881 497 0,06% 0,06% Tetra Tech Inc Industrials 7 052 622 0,06% 0,06% Splunk Inc Technology 13 960 621 0,03% 0,03% TETRA Technologies Inc Oil & Gas 5 354 769 0,09% 0,09% Sprint Corp Telecommunications 22 420 994 0,01% 0,01% Texas Capital Bancshares Inc Financials 10 415 083 0,07% 0,07% SPX Corp Industrials 20 738 413 0,08% 0,08% Texas Industries Inc Industrials 3 239 329 0,03% 0,03% SS&C Technologies Holdings Inc Technology 5 777 182 0,03% 0,03% Texas Instruments Inc Technology 152 438 631 0,05% 0,05% St Joe Co/The Financials 6 131 759 0,06% 0,06% Texas Roadhouse Inc Consumer Services 7 473 930 0,06% 0,06% St Jude Medical Inc Health Care 69 587 027 0,06% 0,06% Textainer Group Holdings Ltd Industrials 3 881 935 0,03% 0,03% Stage Stores Inc Consumer Services 1 778 892 0,04% 0,04% TFS Financial Corp Financials 5 026 363 0,02% 0,02% StanCorp Financial Group Inc Financials 11 174 425 0,06% 0,06% Theravance Inc Health Care 10 867 798 0,05% 0,05% Standard Pacific Corp Consumer Goods 4 364 453 0,03% 0,02% Thermo Fisher Scientific Inc Health Care 126 427 337 0,05% 0,05% Standex International Corp Industrials 4 716 281 0,10% 0,10% Thor Industries Inc Consumer Goods 10 860 023 0,06% 0,06% Stanley Black & Decker Inc Consumer Goods 42 623 247 0,05% 0,05% Thoratec Corp Health Care 6 992 695 0,06% 0,06% Staples Inc Consumer Services 40 734 866 0,06% 0,06% TIBCO Software Inc Technology 14 598 550 0,07% 0,07% Starbucks Corp Consumer Services 175 829 197 0,05% 0,05% Tidewater Inc Oil & Gas 14 627 085 0,08% 0,08% Starwood Hotels & Resorts Worldwide Inc Consumer Services 55 094 848 0,06% 0,06% Tiffany & Co Consumer Services 28 174 513 0,04% 0,04% Starwood Property Trust Inc Financials 15 285 819 0,05% 0,05% Time Warner Cable Inc Consumer Services 144 837 608 0,06% 0,06% Starz Consumer Services 12 025 409 0,03% 0,06% Time Warner Inc Consumer Services 205 347 864 0,05% 0,05% State Auto Financial Corp Financials 1 591 033 0,03% 0,03% Timken Co Industrials 17 984 680 0,06% 0,06% State Street Corp Financials 103 447 148 0,05% 0,05% Titan International Inc Consumer Goods 1 970 457 0,03% 0,03% Steel Dynamics Inc Basic Materials 14 630 385 0,06% 0,06% TiVo Inc Consumer Goods 4 603 099 0,05% 0,05% Steelcase Inc Consumer Goods 6 872 916 0,02% 0,06% TJX Cos Inc Consumer Services 149 267 147 0,05% 0,05% Steiner Leisure Ltd Consumer Services 1 541 382 0,04% 0,04% T-Mobile US Inc Telecommunications 13 508 436 0,01% 0,01% Stepan Co Basic Materials 6 827 774 0,08% 0,08% Toll Brothers Inc Consumer Goods 9 996 925 0,03% 0,03% Stericycle Inc Industrials 24 944 490 0,04% 0,04% Tompkins Financial Corp Financials 3 981 060 0,09% 0,09% STERIS Corp Health Care 10 324 777 0,06% 0,06% Tootsie Roll Industries Inc Consumer Goods 2 794 019 0,01% 0,02% Sterling Bancorp/DE Financials 1 042 231 0,02% 0,02% Torchmark Corp Financials 21 102 800 0,05% 0,05% Sterling Financial Corp/WA Financials 4 667 154 0,04% 0,04% Toro Co/The Industrials 16 869 435 0,08% 0,08% Steven Madden Ltd Consumer Goods 10 038 209 0,07% 0,07% Total System Services Inc Industrials 18 130 039 0,05% 0,05% Stifel Financial Corp Financials 11 419 908 0,06% 0,06% Tower Group International Ltd Financials 640 011 0,05% 0,05% Stillwater Mining Co Basic Materials 4 373 759 0,05% 0,05% Towers Watson & Co Industrials 32 478 849 0,06% 0,06% Stone Energy Corp Oil & Gas 6 708 350 0,06% 0,06% Tractor Supply Co Consumer Services 23 301 743 0,04% 0,04% Stratasys Ltd Technology 18 239 192 0,05% 0,05% TransDigm Group Inc Industrials 14 044 664 0,03% 0,03% Strategic Hotels & Resorts Inc Financials 6 393 864 0,05% 0,05% Travelers Cos Inc/The Financials 104 909 393 0,05% 0,05% Strayer Education Inc Consumer Services 1 631 170 0,07% 0,07% Tredegar Corp Basic Materials 2 089 391 0,04% 0,04% Stryker Corp Health Care 77 003 485 0,04% 0,04% TreeHouse Foods Inc Consumer Goods 8 457 043 0,06% 0,06% Sun Communities Inc Financials 4 471 465 0,05% 0,05% Trimble Navigation Ltd Industrials 18 272 057 0,03% 0,03% SunCoke Energy Inc Basic Materials 4 183 374 0,04% 0,04% Trinity Industries Inc Industrials 16 523 679 0,06% 0,06% SunEdison Inc Technology 10 353 611 0,05% 0,05% TripAdvisor Inc Consumer Services 22 219 802 0,02% 0,03% SunPower Corp Oil & Gas 1 138 107 0,01% 0,01% TriQuint Semiconductor Inc Technology 6 106 616 0,08% 0,08% Sunstone Hotel Investors Inc Financials 8 962 861 0,06% 0,06% Triumph Group Inc Industrials 16 192 374 0,07% 0,07% SunTrust Banks Inc Financials 62 847 818 0,05% 0,05% Tronox Ltd Basic Materials 5 513 812 0,03% 0,03% Superior Energy Services Inc Oil & Gas 17 668 032 0,07% 0,07% TrueBlue Inc Industrials 7 241 633 0,11% 0,11% Superior Industries International Inc Consumer Goods 1 007 531 0,03% 0,03% TrustCo Bank Corp NY Financials 992 688 0,02% 0,02% SUPERVALU Inc Consumer Services 5 215 022 0,05% 0,05% Trustmark Corp Financials 6 828 943 0,06% 0,06% Susquehanna Bancshares Inc Financials 9 905 321 0,07% 0,07% TRW Automotive Holdings Corp Consumer Goods 31 386 561 0,06% 0,06% SVB Financial Group Financials 14 628 090 0,05% 0,05% TTM Technologies Inc Industrials 2 725 317 0,06% 0,06% Swift Energy Co Oil & Gas 3 360 131 0,09% 0,09% Tumi Holdings Inc Consumer Goods 2 856 129 0,03% 0,03% SY Bancorp Inc Financials 845 493 0,03% 0,03% Tupperware Brands Corp Consumer Goods 22 311 418 0,08% 0,08% Sykes Enterprises Inc Industrials 6 375 346 0,11% 0,11% Tutor Perini Corp Industrials 1 350 660 0,02% 0,02% Symantec Corp Technology 58 545 371 0,06% 0,06% tw telecom inc Telecommunications 15 635 383 0,06% 0,06% Symetra Financial Corp Financials 6 164 437 0,05% 0,05% Twenty-First Century Fox Inc Consumer Services 200 469 720 0,03% 0,04% Symmetry Medical Inc Health Care 487 580 0,02% 0,02% Twitter Inc Technology 3 510 535 0,00% 0,00% Synageva BioPharma Corp Health Care 4 528 785 0,04% 0,04% Two Harbors Investment Corp Financials 11 762 498 0,06% 0,06% Synaptics Inc Technology 7 332 224 0,07% 0,07% Tyco International Ltd Industrials 67 049 271 0,06% 0,06% Synchronoss Technologies Inc Technology 5 090 928 0,07% 0,07% Tyler Technologies Inc Technology 15 102 930 0,08% 0,08% Syneron Medical Ltd Health Care 617 201 0,02% 0,02% Tyson Foods Inc Consumer Goods 34 751 225 0,02% 0,05% SYNNEX Corp Technology 1 147 798 0,01% 0,01% UDR Inc Financials 21 495 632 0,06% 0,06% Synopsys Inc Technology 16 309 452 0,04% 0,04% UGI Corp Utilities 18 319 550 0,06% 0,06% Synovus Financial Corp Financials 12 881 184 0,06% 0,06% UIL Holdings Corp Utilities 5 853 282 0,04% 0,04% Syntel Inc Technology 7 389 990 0,03% 0,03% Ulta Salon Cosmetics & Fragrance Inc Consumer Services 22 524 626 0,06% 0,06% Sysco Corp Consumer Services 71 259 915 0,06% 0,06% Ultimate Software Group Inc/The Technology 15 547 867 0,06% 0,06% T Rowe Price Group Inc Financials 67 247 674 0,05% 0,05% Ultra Petroleum Corp Oil & Gas 3 669 975 0,02% 0,02% Take-Two Interactive Software Inc Consumer Goods 5 725 887 0,06% 0,06% UMB Financial Corp Financials 9 132 094 0,05% 0,05% TAL International Group Inc Industrials 6 558 553 0,06% 0,06% Umpqua Holdings Corp Financials 7 624 639 0,06% 0,06% Tanger Factory Outlet Centers Financials 11 864 074 0,06% 0,06% Under Armour Inc Consumer Goods 19 648 437 0,01% 0,04% Targa Resources Corp Oil & Gas 9 110 123 0,04% 0,04% UniFirst Corp/MA Industrials 7 460 715 0,02% 0,06% Target Corp Consumer Services 149 147 449 0,06% 0,06% Union Pacific Corp Industrials 257 578 989 0,05% 0,05% Taser International Inc Industrials 1 810 547 0,04% 0,04% Unisys Corp Technology 3 151 703 0,04% 0,04% Taubman Centers Inc Financials 13 105 466 0,05% 0,05% Unit Corp Oil & Gas 12 217 106 0,08% 0,08%

Foreign exchange reserves Holdings 2013 27 Foreign exchange reserves Holding of equities at 31 December 2013 Sector value Market (NOK) Voting Ownership Sector value Market (NOK) Voting Ownership

United Bankshares Inc/WV Financials 6 188 104 0,06% 0,06% WESCO International Inc Industrials 15 367 458 0,06% 0,06% United Continental Holdings Inc Consumer Services 12 218 367 0,01% 0,01% West Pharmaceutical Services Inc Health Care 13 999 184 0,07% 0,07% United Fire Group Inc Financials 1 091 419 0,02% 0,02% Westamerica Bancorporation Financials 6 311 538 0,07% 0,07% United Natural Foods Inc Consumer Services 13 341 769 0,06% 0,06% Westar Energy Inc Utilities 15 053 310 0,06% 0,06% United Online Inc Technology 180 734 0,02% 0,02% Western Alliance Bancorp Financials 12 826 599 0,10% 0,10% United Parcel Service Inc Industrials 229 745 820 0,01% 0,04% Western Digital Corp Technology 63 764 031 0,05% 0,05% United Rentals Inc Industrials 23 567 518 0,05% 0,05% Western Refining Inc Oil & Gas 18 501 319 0,09% 0,09% United States Cellular Corp Telecommunications 3 502 291 0,00% 0,02% Western Union Co/The Financials 28 464 509 0,05% 0,05% United States Steel Corp Basic Materials 8 509 406 0,03% 0,03% Westlake Chemical Corp Basic Materials 10 076 337 0,02% 0,02% United Stationers Inc Industrials 10 123 462 0,09% 0,09% WEX Inc Industrials 11 491 505 0,05% 0,05% United Technologies Corp Industrials 327 749 572 0,05% 0,05% Weyerhaeuser Co Financials 59 297 254 0,05% 0,05% United Therapeutics Corp Health Care 23 125 016 0,07% 0,07% WGL Holdings Inc Utilities 7 200 730 0,06% 0,06% UnitedHealth Group Inc Health Care 255 472 885 0,06% 0,06% Whirlpool Corp Consumer Goods 36 561 291 0,05% 0,05% Universal American Corp/NY Health Care 2 055 849 0,05% 0,05% White Mountains Insurance Group Ltd Financials 13 698 532 0,06% 0,06% Universal Display Corp Industrials 2 208 602 0,02% 0,02% WhiteWave Foods Co Consumer Goods 9 895 239 0,04% 0,04% Universal Forest Products Inc Industrials 1 353 557 0,02% 0,02% Whiting Petroleum Corp Oil & Gas 29 268 760 0,07% 0,07% Universal Health Realty Income Trust Financials 861 084 0,03% 0,03% Whole Foods Market Inc Consumer Services 58 148 153 0,04% 0,04% Universal Health Services Inc Health Care 19 934 141 0,00% 0,04% Williams Cos Inc/The Oil & Gas 71 465 219 0,04% 0,04% UNS Energy Corp Utilities 9 841 852 0,07% 0,07% Williams-Sonoma Inc Consumer Services 21 144 199 0,06% 0,06% Unum Group Financials 39 860 864 0,07% 0,07% Willis Group Holdings PLC Financials 15 342 983 0,03% 0,03% Urban Outfitters Inc Consumer Services 7 160 024 0,02% 0,02% Windstream Holdings Inc Telecommunications 13 639 961 0,05% 0,05% URS Corp Industrials 14 933 178 0,06% 0,06% Winnebago Industries Inc Consumer Goods 1 579 418 0,03% 0,03% Urstadt Biddle Properties Inc Financials 634 886 0,00% 0,02% Wintrust Financial Corp Financials 5 969 879 0,05% 0,05% US Bancorp/MN Financials 242 411 740 0,05% 0,05% Wisconsin Energy Corp Utilities 35 989 561 0,06% 0,06% USANA Health Sciences Inc Consumer Goods 1 750 219 0,03% 0,03% Wolverine World Wide Inc Consumer Goods 14 738 990 0,07% 0,07% USG Corp Industrials 10 951 331 0,06% 0,06% Woodward Inc Industrials 10 790 269 0,06% 0,06% UTi Worldwide Inc Industrials 7 213 836 0,06% 0,06% Workday Inc Technology 16 323 216 0,00% 0,02% Vail Resorts Inc Consumer Services 7 919 155 0,05% 0,05% World Acceptance Corp Financials 2 819 246 0,05% 0,05% Valassis Communications Inc Consumer Services 5 984 341 0,07% 0,07% World Fuel Services Corp Industrials 9 936 242 0,05% 0,05% Valero Energy Corp Oil & Gas 101 549 328 0,06% 0,06% Worthington Industries Inc Basic Materials 13 397 779 0,07% 0,07% Validus Holdings Ltd Financials 14 706 579 0,06% 0,06% WP Carey Inc Financials 12 669 730 0,05% 0,05% Valley National Bancorp Financials 7 829 284 0,06% 0,06% WPX Energy Inc Oil & Gas 2 958 886 0,01% 0,01% Valmont Industries Inc Industrials 11 181 952 0,05% 0,05% WR Berkley Corp Financials 16 992 182 0,05% 0,05% Valspar Corp/The Industrials 24 235 459 0,07% 0,07% WR Grace & Co Basic Materials 26 091 382 0,06% 0,06% ValueClick Inc Consumer Services 8 746 549 0,09% 0,09% Wright Medical Group Inc Health Care 6 174 412 0,07% 0,07% Varian Medical Systems Inc Health Care 28 474 204 0,06% 0,06% WW Grainger Inc Industrials 50 430 014 0,05% 0,05% VCA Antech Inc Consumer Services 9 068 572 0,05% 0,05% Wyndham Worldwide Corp Consumer Services 32 730 162 0,06% 0,06% Vectren Corp Utilities 8 976 323 0,05% 0,05% Wynn Resorts Ltd Consumer Services 47 704 700 0,04% 0,04% Veeco Instruments Inc Industrials 4 953 166 0,06% 0,06% Xcel Energy Inc Utilities 49 669 681 0,06% 0,06% Ventas Inc Financials 52 188 232 0,05% 0,05% Xerox Corp Industrials 66 447 919 0,07% 0,07% Vera Bradley Inc Consumer Goods 1 962 956 0,03% 0,03% Xilinx Inc Technology 32 796 700 0,04% 0,04% VeriFone Systems Inc Technology 9 368 033 0,05% 0,05% XL Group PLC Financials 30 826 796 0,06% 0,06% Verint Systems Inc Technology 8 366 556 0,06% 0,06% Xylem Inc/NY Industrials 21 240 678 0,05% 0,05% VeriSign Inc Technology 24 227 502 0,05% 0,05% Yahoo! Inc Technology 115 028 524 0,05% 0,05% Verisk Analytics Inc Industrials 23 859 407 0,04% 0,04% Yandex NV Technology 32 253 431 0,01% 0,04% Communications Inc Telecommunications 453 495 242 0,05% 0,05% Yum! Brands Inc Consumer Services 99 029 586 0,05% 0,05% Vertex Pharmaceuticals Inc Health Care 53 014 702 0,05% 0,05% Zebra Technologies Corp Industrials 8 680 744 0,05% 0,05% VF Corp Consumer Goods 65 479 809 0,04% 0,04% Zep Inc Basic Materials 718 224 0,03% 0,03% Viacom Inc Consumer Services 117 438 601 0,00% 0,05% Zimmer Holdings Inc Health Care 50 177 131 0,05% 0,05% Viad Corp Industrials 1 075 772 0,03% 0,03% Zions Bancorporation Financials 16 358 654 0,05% 0,05% ViaSat Inc Technology 7 616 206 0,04% 0,04% Zoetis Inc Health Care 70 443 569 0,07% 0,07% VirnetX Holding Corp Technology 2 573 238 0,04% 0,04% Zoltek Cos Inc Basic Materials 1 033 066 0,03% 0,03% Virtus Investment Partners Inc Financials 3 229 585 0,03% 0,03% Zumiez Inc Consumer Services 998 955 0,02% 0,02% Visa Inc Financials 378 361 039 0,06% 0,04% Zynga Inc Consumer Goods 8 060 842 0,01% 0,04% Vishay Intertechnology Inc Industrials 6 658 712 0,03% 0,06% VistaPrint NV Industrials 6 868 692 0,06% 0,06% Visteon Corp Consumer Goods 14 687 819 0,06% 0,06% Vitamin Shoppe Inc Consumer Services 4 942 885 0,05% 0,05% Vivus Inc Health Care 3 260 214 0,06% 0,06% VMware Inc Technology 17 368 877 0,00% 0,01% Volcano Corp Health Care 3 786 065 0,05% 0,05% Vornado Realty Trust Financials 45 274 069 0,04% 0,04% Vulcan Materials Co Industrials 13 573 614 0,03% 0,03% W&T Offshore Inc Oil & Gas 892 555 0,01% 0,01% Wabash National Corp Industrials 3 088 433 0,06% 0,06% WABCO Holdings Inc Consumer Goods 21 034 369 0,06% 0,06% Wabtec Corp/DE Industrials 24 336 994 0,06% 0,06% Waddell & Reed Financial Inc Financials 25 273 627 0,07% 0,07% Walgreen Co Consumer Services 157 937 695 0,05% 0,05% Walt Disney Co/The Consumer Services 440 577 168 0,05% 0,05% Walter Energy Inc Basic Materials 3 663 483 0,06% 0,06% Walter Investment Management Corp Financials 2 910 874 0,04% 0,04% Washington Federal Inc Financials 7 917 856 0,06% 0,06% Washington Real Estate Investment Trust Financials 4 802 237 0,05% 0,05% Washington Trust Bancorp Inc Financials 911 813 0,02% 0,02% Waste Connections Inc Industrials 17 320 162 0,05% 0,05% Waste Management Inc Industrials 61 852 912 0,05% 0,05% Waters Corp Health Care 23 038 863 0,04% 0,04% Watsco Inc Industrials 9 380 453 0,03% 0,05% Watts Water Technologies Inc Industrials 8 910 576 0,03% 0,07% Wausau Paper Corp Basic Materials 1 187 378 0,03% 0,03% WD-40 Co Consumer Goods 3 750 080 0,05% 0,05% Weatherford International Ltd/Switzerland Oil & Gas 34 961 426 0,05% 0,05% WebMD Health Corp Consumer Services 6 333 700 0,07% 0,07% Webster Financial Corp Financials 8 187 602 0,05% 0,05% Weight Watchers International Inc Consumer Services 6 394 402 0,06% 0,06% Weingarten Realty Investors Financials 6 231 584 0,03% 0,03% Weis Markets Inc Consumer Services 1 051 008 0,01% 0,01% WellCare Health Plans Inc Health Care 9 686 104 0,05% 0,05% WellPoint Inc Health Care 86 447 304 0,05% 0,05% Wells Fargo & Co Financials 785 811 344 0,05% 0,05% Wendy’s Co/The Consumer Services 11 118 503 0,05% 0,05% Werner Enterprises Inc Industrials 5 863 147 0,05% 0,05% WesBanco Inc Financials 1 228 901 0,02% 0,02%

Foreign exchange reserves Holdings 2013 28