| DATECLO | EXDBREF | PORTCOD | PORTNAM | CURRCOD | SECUNAM | COL1 |
|---|
| 20210701 | BE6300983572 | 700115 | PLATO INST.I.F. EMERGING MARKETS EQ | EUR | EUR-DIV-DISCR | 3312225 |
| 20210701 | BE6296035569 | 700115 | PLATO INST.I.F. EMERGING MARKETS EQ | EUR | EUR-DIV-RET.B | 3281252 |
| 20210701 | BE6294793755 | 700115 | PLATO INST.I.F. EMERGING MARKETS EQ | EUR | EUR-KAP-INSTIT.B | 3278768 |
| 20210701 | BE0948801445 | 700115 | PLATO INST.I.F. EMERGING MARKETS EQ | EUR | EUR-KAP-INSTITUTIONEEL | 3143762 |
| 20210701 | BE6296034554 | 700115 | PLATO INST.I.F. EMERGING MARKETS EQ | EUR | EUR-KAP-RET.B | 3281249 |
| 20210701 | BE0948800439 | 700115 | PLATO INST.I.F. EMERGING MARKETS EQ | EUR | EUR-KAP-RETAIL | 3143758 |
| 20210701 | BE6294031891 | 700760 | KBC EQUITY FD - EMERGING MARKETS | EUR | CZK-KAP-RET.CSOB | 3277022 |
| 20210701 | BE0152251584 | 700760 | KBC EQUITY FD - EMERGING MARKETS | EUR | EUR-DIV-RETAIL | 1004661 |
| 20210701 | BE6228663025 | 700760 | KBC EQUITY FD - EMERGING MARKETS | EUR | EUR-KAP-INSTIT.B | 3185004 |
| 20210701 | BE0126164640 | 700760 | KBC EQUITY FD - EMERGING MARKETS | EUR | EUR-KAP-RETAIL | 126164 |
| 20210701 | BE0152245529 | 700761 | KBC EQUITY FD - NEW ASIA | EUR | EUR-DIV-RETAIL | 1010090 |
| 20210701 | BE6228552855 | 700761 | KBC EQUITY FD - NEW ASIA | EUR | EUR-KAP-INSTIT.B | 3184958 |
| 20210701 | BE0146025409 | 700761 | KBC EQUITY FD - NEW ASIA | EUR | EUR-KAP-RETAIL | 146025 |
| 20210701 | BE6260700297 | 700967 | KBC EQ FD SRI EMERGING MARKETS | EUR | EUR-DIV-RETAIL | 3220229 |
| 20210701 | BE6260701303 | 700967 | KBC EQ FD SRI EMERGING MARKETS | EUR | EUR-KAP-CORPORATE | 3220234 |
| 20210701 | BE6294967557 | 700967 | KBC EQ FD SRI EMERGING MARKETS | EUR | EUR-KAP-INSTIT.B | 3279067 |
| 20210701 | BE6260702319 | 700967 | KBC EQ FD SRI EMERGING MARKETS | EUR | EUR-KAP-INSTITUTIONEEL | 3220236 |
| 20210701 | BE6260699283 | 700967 | KBC EQ FD SRI EMERGING MARKETS | EUR | EUR-KAP-RETAIL | 3220198 |
| 20210705 | BE0945926799 | 300802 | HORIZON PRIVILEGED PORTFOLIO DEF | EUR | EUR-KAP-RETAIL | 1059874 |
| 20210705 | BE0945925783 | 300803 | HORIZON PRIVILEGED PORTFOLIO DYN | EUR | EUR-KAP-RETAIL | 1059873 |
| 20210705 | BE0945923762 | 300804 | HORIZON PRIVILEGED PORTF DYN HIGH | EUR | EUR-KAP-RETAIL | 1059871 |
| 20210705 | BE0945922756 | 300805 | HORIZON PRIV PORT PRO 95 FEBRUARY | EUR | EUR-KAP-RETAIL | 1059870 |
| 20210705 | BE0945921741 | 300806 | HORIZON PRIV PORT PRO 90 FEBRUARY | EUR | EUR-KAP-RETAIL | 1059868 |
| 20210705 | BE0945920735 | 300807 | HORIZON PRIV PORT PRO 85 FEBRUARY | EUR | EUR-KAP-RETAIL | 1059865 |
| 20210705 | BE0946105641 | 300810 | HORIZON PRIV PORT PRO 95 MAY | EUR | EUR-KAP-RETAIL | 1060377 |
| 20210705 | BE0946104636 | 300811 | HORIZON PRIV PORT PRO 90 MAY | EUR | EUR-KAP-RETAIL | 1060376 |
| 20210705 | BE0946103620 | 300812 | HORIZON PRIV PORT PRO 85 MAY | EUR | EUR-KAP-RETAIL | 1060375 |
| 20210705 | BE0946344125 | 300813 | HORIZON PRIV PORT PRO 95 AUGUST | EUR | EUR-KAP-RETAIL | 1061173 |
| 20210705 | BE0946343119 | 300814 | HORIZON PRIV PORT PRO 90 AUGUST | EUR | EUR-KAP-RETAIL | 1061171 |
| 20210705 | BE0946346146 | 300815 | HORIZON PRIV PORT PRO 85 AUGUST | EUR | EUR-KAP-RETAIL | 1061169 |
| 20210705 | BE0946431021 | 300816 | HORIZON PRIV PORT PRO 95 NOVEMBER | EUR | EUR-KAP-RETAIL | 1061525 |
| 20210705 | BE0946433043 | 300817 | HORIZON PRIV PORT PRO 90 NOVEMBER | EUR | EUR-KAP-RETAIL | 1061512 |
| 20210705 | BE0946432037 | 300818 | HORIZON PRIV PORT PRO 85 NOVEMBER | EUR | EUR-KAP-RETAIL | 1061513 |
| 20210705 | BE6243964747 | 300827 | GENERATION PLAN 95 FEBRUARY | EUR | EUR-DIV-RETAIL | 3203632 |
| 20210705 | BE6254090150 | 300828 | GENERATION PLAN 90 AUGUST | EUR | EUR-DIV-RETAIL | 3214653 |
| 20210705 | BE6254089145 | 300829 | GENERATION PLAN 95 AUGUST | EUR | EUR-DIV-RETAIL | 3214703 |
| 20210705 | BE6294805872 | 300831 | HORIZON COMFORT DEFENSIVE | EUR | EUR-DIV-CSOB.PB | 3278763 |
| 20210705 | BE6258735040 | 300831 | HORIZON COMFORT DEFENSIVE | EUR | EUR-DIV-RETAIL | 3219313 |
| 20210705 | BE6294806888 | 300831 | HORIZON COMFORT DEFENSIVE | EUR | EUR-KAP-CSOB PB | 3278765 |
| 20210705 | BE6292864863 | 300831 | HORIZON COMFORT DEFENSIVE | EUR | EUR-KAP-INS.V | 3275823 |
| 20210705 | BE6258734035 | 300831 | HORIZON COMFORT DEFENSIVE | EUR | EUR-KAP-RETAIL | 3219181 |
| 20210705 | BE6294808900 | 300832 | HORIZON COMFORT DYNAMIC | EUR | EUR-DIV-CSOB.PB | 3278731 |
| 20210705 | BE6258739083 | 300832 | HORIZON COMFORT DYNAMIC | EUR | EUR-DIV-RETAIL | 3219318 |
| 20210705 | BE6294809916 | 300832 | HORIZON COMFORT DYNAMIC | EUR | EUR-KAP-CSOB PB | 3278726 |
| 20210705 | BE6292866884 | 300832 | HORIZON COMFORT DYNAMIC | EUR | EUR-KAP-INS.V | 3275817 |
| 20210705 | BE6258738077 | 300832 | HORIZON COMFORT DYNAMIC | EUR | EUR-KAP-RETAIL | 3219317 |
| 20210705 | BE6261276230 | 300833 | GENERATION PLAN 90 FEBRUARY | EUR | EUR-DIV-RETAIL | 3221200 |
| 20210705 | BE6261308553 | 300834 | HORIZON FLEXIBLE PLAN | EUR | EUR-KAP-RETAIL | 3221203 |
| 20210705 | BE6266330339 | 300835 | HORIZON COMFORT PRO AUGUST 90 | EUR | EUR-KAP-RETAIL | 3227248 |
| 20210705 | BE6274341906 | 300839 | IN.FOCUS EQUITY STRATEGY LEVEL MARCH | EUR | EUR-KAP-RETAIL | 3236498 |
| 20210705 | BE6276291034 | 300842 | HORIZON GLOB.FLEX.ALLOCATION WEALTH | EUR | EUR-KAP-RETAIL | 3238993 |
| 20210705 | BE6277889497 | 300843 | IN FOCUS EQUITY STRATEGY LEVEL JUNE | EUR | EUR-KAP-RETAIL | 3242125 |
| 20210705 | BE6277711659 | 300844 | HORIZON COMFORT PRO FEBRUARY 90 | EUR | EUR-KAP-RETAIL | 3241799 |
| 20210705 | BE6278669534 | 300845 | HORIZON FLEXIBLE PORTFOLIO JULY | EUR | EUR-DIV-RETAIL | 3243819 |
| 20210705 | BE6278667512 | 300845 | HORIZON FLEXIBLE PORTFOLIO JULY | EUR | EUR-KAP-RETAIL | 3243821 |
| 20210705 | BE6279064602 | 300846 | Horizon 2030 | EUR | EUR-KAP-RETAIL | 3244814 |
| 20210705 | BE6279062580 | 300847 | Horizon 2035 | EUR | EUR-KAP-RETAIL | 3246975 |
| 20210705 | BE6279061574 | 300848 | Horizon 2040 | EUR | EUR-KAP-RETAIL | 3244749 |
| 20210705 | BE6280653971 | 300849 | HORIZON GLOB.FLEX.ALL.WEALTH JULY | EUR | EUR-KAP-RETAIL | 3247637 |
| 20210705 | BE6282172640 | 300851 | HORIZON COMFORT PRO NOVEMBER 90 | EUR | EUR-KAP-RETAIL | 3250945 |
| 20210705 | BE6282715257 | 300852 | HORIZON GLOBAL FLEXIBLE ALLOCATION | EUR | EUR-KAP-RETAIL | 3253048 |
| 20210705 | BE6324084720 | 300854 | HORIZON KBC EXPERTEASE DEF. BAL. | EUR | BGN-KAP-INST.FBG | 3396177 |
| 20210705 | BE6311870800 | 300854 | HORIZON KBC EXPERTEASE DEF. BAL. | EUR | EUR-DIV-COMF.PTF | 3338420 |
| 20210705 | BE6290499498 | 300854 | HORIZON KBC EXPERTEASE DEF. BAL. | EUR | EUR-DIV-RETAIL | 3267610 |
| 20210705 | BE6311868788 | 300854 | HORIZON KBC EXPERTEASE DEF. BAL. | EUR | EUR-KAP-COMF.PTF | 3338419 |
| 20210705 | BE6324083714 | 300854 | HORIZON KBC EXPERTEASE DEF. BAL. | EUR | EUR-KAP-INST.FBG | 3396178 |
| 20210705 | BE6290498482 | 300854 | HORIZON KBC EXPERTEASE DEF. BAL. | EUR | EUR-KAP-RETAIL | 3267579 |
| 20210705 | BE6324088762 | 300855 | HORIZON KBC EXPERTEASE DYN.BAL. | EUR | BGN-KAP-INST.FBG | 3396181 |
| 20210705 | BE6311872822 | 300855 | HORIZON KBC EXPERTEASE DYN.BAL. | EUR | EUR-DIV-COMF.PTF | 3338503 |
| 20210705 | BE6290510609 | 300855 | HORIZON KBC EXPERTEASE DYN.BAL. | EUR | EUR-DIV-RETAIL | 3267574 |
| 20210705 | BE6311871816 | 300855 | HORIZON KBC EXPERTEASE DYN.BAL. | EUR | EUR-KAP-COMF.PTF | 3338507 |
| 20210705 | BE6324090784 | 300855 | HORIZON KBC EXPERTEASE DYN.BAL. | EUR | EUR-KAP-INST.FBG | 3396180 |
| 20210705 | BE6290509593 | 300855 | HORIZON KBC EXPERTEASE DYN.BAL. | EUR | EUR-KAP-RETAIL | 3267616 |
| 20210705 | BE6290508587 | 300856 | HORIZON KBC EXPERTEASE DYN. | EUR | EUR-DIV-RETAIL | 3267571 |
| 20210705 | BE6290507571 | 300856 | HORIZON KBC EXPERTEASE DYN. | EUR | EUR-KAP-RETAIL | 3267614 |
| 20210705 | BE0947316148 | 500918 | PARTIC.KBC VALUE SENSOR | EUR | EUR-KAP-RETAIL | 3101894 |
| 20210705 | BE0948704441 | 500942 | PARTIC.KBC VALUE SENSOR FEB | EUR | EUR-KAP-RETAIL | 3139762 |
| 20210705 | BE6213173329 | 500974 | KBC PARTIC.FLEXIBLE PORTFOLIO | EUR | EUR-DIV-RETAIL | 3167834 |
| 20210705 | BE6213172313 | 500974 | KBC PARTIC.FLEXIBLE PORTFOLIO | EUR | EUR-KAP-RETAIL | 3167829 |
| 20210705 | BE6218514386 | 500990 | PARTIC.KBC BUSINESS PRO NOVEM.95 | EUR | EUR-DIV-RETAIL | 3174732 |
| 20210705 | BE6218513370 | 500991 | PARTIC.KBC BUSINESS PRO NOVEM.90 | EUR | EUR-DIV-RETAIL | 3174729 |
| 20210705 | BE6218511358 | 500993 | PARTIC.KBC BUSINESS PRO APRIL 90 | EUR | EUR-DIV-RETAIL | 3174518 |
| 20210705 | BE6279401093 | 600485 | KBC PART.KBC BUSINESS PRO AUG 95 | EUR | EUR-DIV-RETAIL | 3245309 |
| 20210705 | BE6279403115 | 600486 | KBC PART.KBC BUSINESS PRO AUG 90 | EUR | EUR-DIV-RETAIL | 3245307 |
| 20210705 | BE6283616538 | 600488 | KBC PART.KBC BUSINESS PRO FEB 90 | EUR | EUR-DIV-RETAIL | 3254545 |
| 20210705 | BE6224093888 | 600558 | HOR.ACCESS FD CSOB CESKY AKCIOVY(PX) | CZK | CZK-DIV-RETAIL | 3179473 |
| 20210705 | BE6224091866 | 600558 | HOR.ACCESS FD CSOB CESKY AKCIOVY(PX) | CZK | CZK-KAP-RETAIL | 3179469 |
| 20210705 | BE6227979943 | 600562 | HOR.PB.ACTIVE STOCK SELECTION | EUR | EUR-DIV-RETAIL | 3183837 |
| 20210705 | BE6227978937 | 600562 | HOR.PB.ACTIVE STOCK SELECTION | EUR | EUR-KAP-RETAIL | 3183791 |
| 20210705 | BE6275363453 | 600575 | HOR.USD LOW | USD | USD-KAP-RETAIL | 3237304 |
| 20210705 | BE6290494440 | 600583 | HOR.KBC EXPERTEASE SRI DYNAMIC | EUR | EUR-DIV-RETAIL | 3267589 |
| 20210705 | BE6292876016 | 600583 | HOR.KBC EXPERTEASE SRI DYNAMIC | EUR | EUR-KAP-INSTIT.B | 3274513 |
| 20210705 | BE6290493434 | 600583 | HOR.KBC EXPERTEASE SRI DYNAMIC | EUR | EUR-KAP-RETAIL | 3267300 |
| 20210705 | BE6311839490 | 600584 | HOR.KBC EXPERTEASE SRI DEF. BAL. | EUR | EUR-DIV-COMF.PTF | 3338416 |
| 20210705 | BE6290491412 | 600584 | HOR.KBC EXPERTEASE SRI DEF. BAL. | EUR | EUR-DIV-RETAIL | 3267314 |
| 20210705 | BE6311838484 | 600584 | HOR.KBC EXPERTEASE SRI DEF. BAL. | EUR | EUR-KAP-COMF.PTF | 3338415 |
| 20210705 | BE6323168292 | 600584 | HOR.KBC EXPERTEASE SRI DEF. BAL. | EUR | EUR-KAP-INST.FIE | 3396174 |
| 20210705 | BE6290490406 | 600584 | HOR.KBC EXPERTEASE SRI DEF. BAL. | EUR | EUR-KAP-RETAIL | 3267596 |
| 20210705 | BE6311843534 | 600585 | HOR.KBC EXPERTEASE SRI DYN.BAL. | EUR | EUR-DIV-COMF.PTF | 3338413 |
| 20210705 | BE6290497476 | 600585 | HOR.KBC EXPERTEASE SRI DYN.BAL. | EUR | EUR-DIV-RETAIL | 3267586 |
| 20210705 | BE6311842528 | 600585 | HOR.KBC EXPERTEASE SRI DYN.BAL. | EUR | EUR-KAP-COMF.PTF | 3338410 |
| 20210705 | BE6323169308 | 600585 | HOR.KBC EXPERTEASE SRI DYN.BAL. | EUR | EUR-KAP-INST.FIE | 3396173 |
| 20210705 | BE6290496460 | 600585 | HOR.KBC EXPERTEASE SRI DYN.BAL. | EUR | EUR-KAP-RETAIL | 3267309 |
| 20210705 | BE6290488384 | 600586 | HOR.KBC EXPERTEASE BUS.DEF.BAL. | EUR | EUR-DIV-RETAIL | 3267409 |
| 20210705 | BE6290489390 | 600587 | HOR.KBC EXPERTEASE BUS.DYN.BAL. | EUR | EUR-DIV-RETAIL | 3267412 |
| 20210705 | BE6311841512 | 600593 | HOR KBC EXPERTEASE SRI DEF TOLERANT | EUR | EUR-DIV-COMF.PTF | 3338411 |
| 20210705 | BE6307331031 | 600593 | HOR KBC EXPERTEASE SRI DEF TOLERANT | EUR | EUR-DIV-RETAIL | 3327282 |
| 20210705 | BE6311840506 | 600593 | HOR KBC EXPERTEASE SRI DEF TOLERANT | EUR | EUR-KAP-COMF.PTF | 3338408 |
| 20210705 | BE6323166270 | 600593 | HOR KBC EXPERTEASE SRI DEF TOLERANT | EUR | EUR-KAP-INST.FIE | 3396172 |
| 20210705 | BE6307330025 | 600593 | HOR KBC EXPERTEASE SRI DEF TOLERANT | EUR | EUR-KAP-RETAIL | 3327285 |
| 20210705 | BE6311845554 | 600594 | HOR KBC EXPERTEASE SRI DYN TOLERANT | EUR | EUR-DIV-COMF.PTF | 3338407 |
| 20210705 | BE6307335073 | 600594 | HOR KBC EXPERTEASE SRI DYN TOLERANT | EUR | EUR-DIV-RETAIL | 3327289 |
| 20210705 | BE6311844540 | 600594 | HOR KBC EXPERTEASE SRI DYN TOLERANT | EUR | EUR-KAP-COMF.PTF | 3338414 |
| 20210705 | BE6323171320 | 600594 | HOR KBC EXPERTEASE SRI DYN TOLERANT | EUR | EUR-KAP-INST.FIE | 3396171 |
| 20210705 | BE6307334068 | 600594 | HOR KBC EXPERTEASE SRI DYN TOLERANT | EUR | EUR-KAP-RETAIL | 3327295 |
| 20210705 | BE6324086741 | 600595 | HOR KBC EXPERTEASE DEF TOLERANT | EUR | BGN-KAP-INST.FBG | 3396176 |
| 20210705 | BE6311835456 | 600595 | HOR KBC EXPERTEASE DEF TOLERANT | EUR | EUR-DIV-COMF.PTF | 3338418 |
| 20210705 | BE6307323921 | 600595 | HOR KBC EXPERTEASE DEF TOLERANT | EUR | EUR-DIV-RETAIL | 3327294 |
| 20210705 | BE6311834442 | 600595 | HOR KBC EXPERTEASE DEF TOLERANT | EUR | EUR-KAP-COMF.PTF | 3338417 |
| 20210705 | BE6324087756 | 600595 | HOR KBC EXPERTEASE DEF TOLERANT | EUR | EUR-KAP-INST.FBG | 3396182 |
| 20210705 | BE6307322915 | 600595 | HOR KBC EXPERTEASE DEF TOLERANT | EUR | EUR-KAP-RETAIL | 3327293 |
| 20210705 | BE6324091790 | 600596 | HOR KBC EXPERTEASE DYNAMIC TOLERANT | EUR | BGN-KAP-INST.FBG | 3396186 |
| 20210705 | BE6311837478 | 600596 | HOR KBC EXPERTEASE DYNAMIC TOLERANT | EUR | EUR-DIV-COMF.PTF | 3338412 |
| 20210705 | BE6307325942 | 600596 | HOR KBC EXPERTEASE DYNAMIC TOLERANT | EUR | EUR-DIV-RETAIL | 3327291 |
| 20210705 | BE6311836462 | 600596 | HOR KBC EXPERTEASE DYNAMIC TOLERANT | EUR | EUR-KAP-COMF.PTF | 3338409 |
| 20210705 | BE6324092806 | 600596 | HOR KBC EXPERTEASE DYNAMIC TOLERANT | EUR | EUR-KAP-INST.FBG | 3396185 |
| 20210705 | BE6307324937 | 600596 | HOR KBC EXPERTEASE DYNAMIC TOLERANT | EUR | EUR-KAP-RETAIL | 3327290 |
| 20210705 | BE6311862724 | 600597 | HOR KBC EXPERTEASE SRI HIGHLY DYN TO | EUR | EUR-DIV-COMF.PTF | 3338423 |
| 20210705 | BE6307337095 | 600597 | HOR KBC EXPERTEASE SRI HIGHLY DYN TO | EUR | EUR-DIV-RETAIL | 3327287 |
| 20210705 | BE6311861718 | 600597 | HOR KBC EXPERTEASE SRI HIGHLY DYN TO | EUR | EUR-KAP-COMF.PTF | 3338422 |
| 20210705 | BE6323175362 | 600597 | HOR KBC EXPERTEASE SRI HIGHLY DYN TO | EUR | EUR-KAP-INST.FIE | 3396179 |
| 20210705 | BE6307336089 | 600597 | HOR KBC EXPERTEASE SRI HIGHLY DYN TO | EUR | EUR-KAP-RETAIL | 3327288 |
| 20210705 | BE6324093812 | 600598 | HOR KBC EXPERTEASE HIGHLY DYN TOL | EUR | BGN-KAP-INST.FBG | 3396184 |
| 20210705 | BE6311860702 | 600598 | HOR KBC EXPERTEASE HIGHLY DYN TOL | EUR | EUR-DIV-COMF.PTF | 3338421 |
| 20210705 | BE6307327963 | 600598 | HOR KBC EXPERTEASE HIGHLY DYN TOL | EUR | EUR-DIV-RETAIL | 3327286 |
| 20210705 | BE6311859696 | 600598 | HOR KBC EXPERTEASE HIGHLY DYN TOL | EUR | EUR-KAP-COMF.PTF | 3338406 |
| 20210705 | BE6324094828 | 600598 | HOR KBC EXPERTEASE HIGHLY DYN TOL | EUR | EUR-KAP-INST.FBG | 3396183 |
| 20210705 | BE6321618314 | 600598 | HOR KBC EXPERTEASE HIGHLY DYN TOL | EUR | EUR-KAP-INST.FLU | 3381982 |
| 20210705 | BE6307326957 | 600598 | HOR KBC EXPERTEASE HIGHLY DYN TOL | EUR | EUR-KAP-RETAIL | 3327292 |
| 20210705 | BE6282470713 | 600863 | OPTIMUM FD CSOB OPATRNY | CZK | CZK-DIV-CSOB PRIV.BANKING | 3251993 |
| 20210705 | BE6285923320 | 600863 | OPTIMUM FD CSOB OPATRNY | CZK | CZK-KAP-CSOB PREM.BANKING | 3259283 |
| 20210705 | BE6241648862 | 600863 | OPTIMUM FD CSOB OPATRNY | CZK | CZK-KAP-CSOB PRIV.BANKING | 3200772 |
| 20210705 | BE6327056378 | 600863 | OPTIMUM FD CSOB OPATRNY | CZK | CZK-KAP-RETAIL | 3415205 |
| 20210705 | BE6285869754 | 600877 | OPTIMUM FD CSOB ODVAZNY | CZK | CZK-KAP-CSOB PREM.BANKING | 3258745 |
| 20210705 | BE6252470446 | 600877 | OPTIMUM FD CSOB ODVAZNY | CZK | CZK-KAP-CSOB PRIV.BANKING | 3212697 |
| 20210705 | BE6327054357 | 600877 | OPTIMUM FD CSOB ODVAZNY | CZK | CZK-KAP-RETAIL | 3415206 |
| 20210705 | BE6285921308 | 601106 | OPTIMUM FD CSOB VELMI ODVAZNY | CZK | CZK-KAP-CSOB PREM.BANKING | 3259105 |
| 20210705 | BE6270085051 | 601106 | OPTIMUM FD CSOB VELMI ODVAZNY | CZK | CZK-KAP-CSOB PRIV.BANKING | 3231550 |
| 20210705 | BE6327053342 | 601106 | OPTIMUM FD CSOB VELMI ODVAZNY | CZK | CZK-KAP-RETAIL | 3415207 |
| 20210705 | BE6277443881 | 601121 | OPTIMUM FD CSOB FLEX.PORTFOLIO | CZK | CZK-KAP-RETAIL | 3241186 |
| 20210705 | BE6277441869 | 601122 | OPTIMUM FD CSOB FLEXIBILNI PLAN | CZK | CZK-KAP-RETAIL | 3241236 |
| 20210705 | BE6316180254 | 601161 | OPTIMUM FD ENCHANCED INTELLIGENCE | EUR | EUR-DIV-RETAIL | 3353255 |
| 20210705 | BE6316179249 | 601161 | OPTIMUM FD ENCHANCED INTELLIGENCE | EUR | EUR-KAP-RETAIL | 3353256 |
| 20210705 | BE6309650917 | 601200 | HORIZON FLEXIBLE PORTFOLIO SRI JAN | EUR | EUR-DIV-RETAIL | 3333637 |
| 20210705 | BE6309647889 | 601200 | HORIZON FLEXIBLE PORTFOLIO SRI JAN | EUR | EUR-KAP-RETAIL | 3333638 |
| 20210705 | BE6319268098 | 601204 | HORIZON COMFORT SRI DYNAMIC HIGH | EUR | EUR-DIV-RETAIL | 3371688 |
| 20210705 | BE6327901094 | 601204 | HORIZON COMFORT SRI DYNAMIC HIGH | EUR | EUR-KAP-INST.FLU | 3422225 |
| 20210705 | BE6319267082 | 601204 | HORIZON COMFORT SRI DYNAMIC HIGH | EUR | EUR-KAP-RETAIL | 3371689 |
| 20210705 | BE6285342331 | 605000 | HORIZON COMFORT PRO MAY 90 | EUR | EUR-KAP-RETAIL | 3257586 |
| 20210705 | BE6302982192 | 605001 | HORIZON COMFORT DYNAMICH HIGH | EUR | EUR-DIV-CSOB.PB | 3317243 |
| 20210705 | BE6292611272 | 605001 | HORIZON COMFORT DYNAMICH HIGH | EUR | EUR-DIV-RETAIL | 3274224 |
| 20210705 | BE6302981186 | 605001 | HORIZON COMFORT DYNAMICH HIGH | EUR | EUR-KAP-CSOB PB | 3317242 |
| 20210705 | BE6292610266 | 605001 | HORIZON COMFORT DYNAMICH HIGH | EUR | EUR-KAP-RETAIL | 3274227 |
| 20210705 | BE6292869912 | 605002 | HORIZON COMFORT SRI DYNAMIC | EUR | EUR-DIV-RETAIL | 3274813 |
| 20210705 | BE6292870928 | 605002 | HORIZON COMFORT SRI DYNAMIC | EUR | EUR-KAP-INS.V | 3275526 |
| 20210705 | BE6292868906 | 605002 | HORIZON COMFORT SRI DYNAMIC | EUR | EUR-KAP-RETAIL | 3275551 |
| 20210705 | BE6292937628 | 605003 | HORIZON COMFORT SRI DEFENSIVE | EUR | EUR-DIV-RETAIL | 3275574 |
| 20210705 | BE6292867890 | 605003 | HORIZON COMFORT SRI DEFENSIVE | EUR | EUR-KAP-INS.V | 3275562 |
| 20210705 | BE6292936612 | 605003 | HORIZON COMFORT SRI DEFENSIVE | EUR | EUR-KAP-RETAIL | 3275059 |
| 20210705 | BE6294799810 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | EUR-KAP-INST.B EUR | 3278465 |
| 20210705 | BE6242917944 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | EUR-KAP-INST.EUR | 3201767 |
| 20210705 | BE6242915922 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | EUR-KAP-RETAIL | 3201732D |
| 20210705 | BE6300995691 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | USD-DIV-DISCR | 3312227 |
| 20210705 | BE6295941593 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | USD-DIV-RET.B | 3281208 |
| 20210705 | BE6295943615 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | USD-KAP-INSTIT.B | 3281196 |
| 20210705 | BE0947892080 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | USD-KAP-INSTITUTIONEEL | 3113021 |
| 20210705 | BE6295944621 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | USD-KAP-RET.B. | 3281200 |
| 20210705 | BE0940715098 | 700113 | PLATO INST.I.F. NORTH AMERICAN EQ. | USD | USD-KAP-RETAIL | 1051798 |
| 20210705 | BE6295951691 | 700116 | PLATO INST.I.F. WORLD | EUR | EUR-DIV-RET.B | 3281237 |
| 20210705 | BE6295952707 | 700116 | PLATO INST.I.F. WORLD | EUR | EUR-KAP-DISCR. | 3281244 |
| 20210705 | BE6295957755 | 700116 | PLATO INST.I.F. WORLD | EUR | EUR-KAP-INSTIT.B | 3281239 |
| 20210705 | BE6295956740 | 700116 | PLATO INST.I.F. WORLD | EUR | EUR-KAP-INSTITUTIONEEL | 3281242 |
| 20210705 | BE6295950685 | 700116 | PLATO INST.I.F. WORLD | EUR | EUR-KAP-RET.B | 3281235 |
| 20210705 | BE0146658910 | 700150 | SIVEK - GLOBAL HIGH | EUR | EUR-DIV-RETAIL | 146658 |
| 20210705 | BE0146657904 | 700150 | SIVEK - GLOBAL HIGH | EUR | EUR-KAP-RETAIL | 146657 |
| 20210705 | BE0146660932 | 700151 | SIVEK - GLOBAL MEDIUM | EUR | EUR-DIV-RETAIL | 146660 |
| 20210705 | BE0146659926 | 700151 | SIVEK - GLOBAL MEDIUM | EUR | EUR-KAP-RETAIL | 146659 |
| 20210705 | BE6307379519 | 700155 | Sivek SRI Global Medium | EUR | EUR-DIV-RETAIL | 3327438 |
| 20210705 | BE6323176378 | 700155 | Sivek SRI Global Medium | EUR | EUR-KAP-INST.FIE | 3396175 |
| 20210705 | BE6327337273 | 700155 | Sivek SRI Global Medium | EUR | EUR-KAP-INST.FSK | 3417092 |
| 20210705 | BE6307378503 | 700155 | Sivek SRI Global Medium | EUR | EUR-KAP-RETAIL | 3327437 |
| 20210705 | BE6307377497 | 700156 | Sivek SRI Global Low | EUR | EUR-DIV-RETAIL | 3327440 |
| 20210705 | BE6327336267 | 700156 | Sivek SRI Global Low | EUR | EUR-KAP-INST.FSK | 3417091 |
| 20210705 | BE6307376481 | 700156 | Sivek SRI Global Low | EUR | EUR-KAP-RETAIL | 3327439 |
| 20210705 | BE0174401928 | 700401 | KBC MASTER FD - CSOB VYVAZENY | CZK | CZK-KAP-RETAIL | 1034572 |
| 20210705 | BE0174397886 | 700403 | KBC MASTER FD - CSOB DYNAMICKY | CZK | CZK-KAP-RETAIL | 1034573 |
| 20210705 | BE0174398892 | 700404 | KBC MASTER FD - CSOB Rustovy | CZK | CZK-KAP-RETAIL | 1034574 |
| 20210705 | BE0943801887 | 700406 | KBC MASTER FD - MIXED FUND | CZK | CZK-KAP-RETAIL | 1055806 |
| 20210705 | BE0146662953 | 700470 | SIVEK - GLOBAL LOW | EUR | EUR-DIV-RETAIL | 146662 |
| 20210705 | BE0146661948 | 700470 | SIVEK - GLOBAL LOW | EUR | EUR-KAP-RETAIL | 146661 |
| 20210705 | BE0177657500 | 700711 | KBC ECO FUND - WORLD | EUR | EUR-DIV-RETAIL | 1045518 |
| 20210705 | BE6257810497 | 700711 | KBC ECO FUND - WORLD | EUR | EUR-KAP-INSTITUTIONEEL | 3217570 |
| 20210705 | BE0133741752 | 700711 | KBC ECO FUND - WORLD | EUR | EUR-KAP-RETAIL | 133741 |
| 20210705 | BE6213776535 | 700720 | KBC EQUITY FD - WORLD | EUR | EUR-DIV-RETAIL | 3167899 |
| 20210705 | BE6321861807 | 700720 | KBC EQUITY FD - WORLD | EUR | EUR-KAP-INSTIT.B | 3381978 |
| 20210705 | BE6213775529 | 700720 | KBC EQUITY FD - WORLD | EUR | EUR-KAP-RETAIL | 3167894 |
| 20210705 | BE0145346400 | 700721 | KBC MASTER FD - MEDIUM | EUR | EUR-KAP-RETAIL | 145346 |
| 20210705 | BE0149027352 | 700731 | KBC MASTER FD - LOW | EUR | EUR-KAP-RETAIL | 149027 |
| 20210705 | BE6252265333 | 700740 | KBC EQUITY FD - NORTH AMERICA | USD | CZK-KAP-RET.CSOB | 3212091 |
| 20210705 | BE0152249562 | 700740 | KBC EQUITY FD - NORTH AMERICA | USD | USD-DIV-RETAIL | 1016874 |
| 20210705 | BE6228535686 | 700740 | KBC EQUITY FD - NORTH AMERICA | USD | USD-KAP-INSTIT.B | 3184663 |
| 20210705 | BE0126162628 | 700740 | KBC EQUITY FD - NORTH AMERICA | USD | USD-KAP-RETAIL | 126162 |
| 20210705 | BE0149028368 | 700741 | KBC MASTER FD - HIGH | EUR | EUR-KAP-RETAIL | 149028 |
| 20210705 | BE6328577067 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | CZK-KAP-RET.CSOB | * |
| 20210705 | BE0156154818 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | EUR-DIV-RETAIL | 1004662 |
| 20210705 | BE6228925705 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | EUR-KAP-INSTIT.B | 3185276 |
| 20210705 | BE0156153802 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | EUR-KAP-RETAIL | 156153 |
| 20210705 | BE6323645216 | 700764 | KBC EQUITY FD - TECHNOLOGY | USD | HUF-KAP-K&H RET | 3393732 |
| 20210705 | BE6213774514 | 700764 | KBC EQUITY FD - TECHNOLOGY | USD | USD-DIV-RETAIL | 3167885 |
| 20210705 | BE6228907521 | 700764 | KBC EQUITY FD - TECHNOLOGY | USD | USD-KAP-INSTIT.B | 3185147 |
| 20210705 | BE6213773508 | 700764 | KBC EQUITY FD - TECHNOLOGY | USD | USD-KAP-RETAIL | 3167883 |
| 20210705 | BE0166585365 | 700768 | KBC EQUITY FD - PHARMA | EUR | EUR-DIV-RETAIL | 1009313 |
| 20210705 | BE6228903488 | 700768 | KBC EQUITY FD - PHARMA | EUR | EUR-KAP-INSTIT.B | 3185130 |
| 20210705 | BE0166584350 | 700768 | KBC EQUITY FD - PHARMA | EUR | EUR-KAP-RETAIL | 1009225 |
| 20210705 | BE6323644201 | 700768 | KBC EQUITY FD - PHARMA | EUR | HUF-KAP-K&H RET | 3393731 |
| 20210705 | BE0166984477 | 700769 | KBC EQUITY FD - FINANCE | EUR | EUR-DIV-RETAIL | 1013701 |
| 20210705 | BE6228544779 | 700769 | KBC EQUITY FD - FINANCE | EUR | EUR-KAP-INSTIT.B | 3184760 |
| 20210705 | BE0166985482 | 700769 | KBC EQUITY FD - FINANCE | EUR | EUR-KAP-RETAIL | 1012494 |
| 20210705 | BE0168343482 | 700773 | KBC IF - SRI WORLD EQUITY | EUR | EUR-DIV-RETAIL | 1023998 |
| 20210705 | BE6295237349 | 700773 | KBC IF - SRI WORLD EQUITY | EUR | EUR-KAP-INSTIT.B | 3279243 |
| 20210705 | BE6221180852 | 700773 | KBC IF - SRI WORLD EQUITY | EUR | EUR-KAP-INSTITUTIONEEL | 3176309 |
| 20210705 | BE0168344498 | 700773 | KBC IF - SRI WORLD EQUITY | EUR | EUR-KAP-RETAIL | 1023995 |
| 20210705 | BE0945776269 | 700774 | KBC IF - GLOBAL | EUR | EUR-DIV-RETAIL | 1059395 |
| 20210705 | BE6225963188 | 700774 | KBC IF - GLOBAL | EUR | EUR-KAP-INSTITUTIONEEL | 3181456 |
| 20210705 | BE0174966755 | 700774 | KBC IF - GLOBAL | EUR | EUR-KAP-RETAIL | 1036727 |
| 20210705 | BE0167422972 | 700777 | KBC EQUITY FD COMM.SERVICES | EUR | EUR-DIV-RETAIL | 1011367 |
| 20210705 | BE6228908537 | 700777 | KBC EQUITY FD COMM.SERVICES | EUR | EUR-KAP-INSTIT.B | 3185138 |
| 20210705 | BE0167421966 | 700777 | KBC EQUITY FD COMM.SERVICES | EUR | EUR-KAP-RETAIL | 1010617 |
| 20210705 | BE0168098946 | 700779 | KBC EQUITY FD - BUYBACK AMERICA | USD | USD-DIV-RETAIL | 1023851 |
| 20210705 | BE6228536692 | 700779 | KBC EQUITY FD - BUYBACK AMERICA | USD | USD-KAP-INSTIT.B | 3184666 |
| 20210705 | BE0168099951 | 700779 | KBC EQUITY FD - BUYBACK AMERICA | USD | USD-KAP-RETAIL | 1011643 |
| 20210705 | BE6316203486 | 700784 | KBC IF - SRI North America | USD | EUR-KAP-INST.EUR | 3353325 |
| 20210705 | BE0058441479 | 700784 | KBC IF - SRI North America | USD | USD-DIV-RETAIL | 1047974 |
| 20210705 | BE0058442485 | 700784 | KBC IF - SRI North America | USD | USD-KAP-RETAIL | 1047971 |
| 20210705 | BE6277099352 | 700800 | KBC IF - GLOBAL DEFENSIVE | EUR | EUR-DIV-RETAIL | 3240405 |
| 20210705 | BE6225964194 | 700800 | KBC IF - GLOBAL DEFENSIVE | EUR | EUR-KAP-INSTITUTIONEEL | 3181465 |
| 20210705 | BE0945892454 | 700800 | KBC IF - GLOBAL DEFENSIVE | EUR | EUR-KAP-RETAIL | 1059797 |
| 20210705 | BE0175478057 | 700812 | KBC ECO FUND - WATER | EUR | EUR-DIV-RETAIL | 1038850 |
| 20210705 | BE6228912570 | 700812 | KBC ECO FUND - WATER | EUR | EUR-KAP-INSTIT.B | 3185164 |
| 20210705 | BE0175479063 | 700812 | KBC ECO FUND - WATER | EUR | EUR-KAP-RETAIL | 1038849 |
| 20210705 | BE0175717504 | 700813 | KBC ECO FUND - IMPACT INVESTING | EUR | EUR-DIV-RETAIL | 1039566 |
| 20210705 | BE6327153373 | 700813 | KBC ECO FUND - IMPACT INVESTING | EUR | EUR-KAP-INST.FLU | 3419516 |
| 20210705 | BE0175718510 | 700813 | KBC ECO FUND - IMPACT INVESTING | EUR | EUR-KAP-RETAIL | 1039565 |
| 20210705 | BE6315653806 | 700813 | KBC ECO FUND - IMPACT INVESTING | EUR | HUF-KAP-RETAIL | 3352171 |
| 20210705 | BE0946843266 | 700814 | KBC ECO FUND - CLIMATE CHANGE | EUR | EUR-DIV-RETAIL | 1062772 |
| 20210705 | BE6228923684 | 700814 | KBC ECO FUND - CLIMATE CHANGE | EUR | EUR-KAP-INSTIT.B | 3185281 |
| 20210705 | BE0946844272 | 700814 | KBC ECO FUND - CLIMATE CHANGE | EUR | EUR-KAP-RETAIL | 1062773 |
| 20210705 | BE0947249448 | 700815 | KBC ECO FUND - CSOB WATER | CZK | CZK-DIV-RETAIL | 3100441 |
| 20210705 | BE0947250453 | 700815 | KBC ECO FUND - CSOB WATER | CZK | CZK-KAP-RETAIL | 3100438 |
| 20210705 | BE0168341460 | 700826 | KBC EQUITY FD - US SMALL CAPS | USD | USD-DIV-RETAIL | 1012210 |
| 20210705 | BE6228910558 | 700826 | KBC EQUITY FD - US SMALL CAPS | USD | USD-KAP-INSTIT.B | 3185146 |
| 20210705 | BE0168342476 | 700826 | KBC EQUITY FD - US SMALL CAPS | USD | USD-KAP-RETAIL | 1012195 |
| 20210705 | BE0169740876 | 700828 | KBC EQUITY FD - UTILITIES | EUR | EUR-DIV-RETAIL | 1015135 |
| 20210705 | BE6306375179 | 700828 | KBC EQUITY FD - UTILITIES | EUR | EUR-KAP-INSTIT.B | 3325639 |
| 20210705 | BE0169742898 | 700828 | KBC EQUITY FD - UTILITIES | EUR | EUR-KAP-RETAIL | 1015134 |
| 20210705 | BE6306638865 | 700829 | KBC EQUITY FD - FOOD & PERS PRODUC | EUR | EUR-DIV-CORP W&I | 3326318 |
| 20210705 | BE0170242078 | 700829 | KBC EQUITY FD - FOOD & PERS PRODUC | EUR | EUR-DIV-RETAIL | 1016355 |
| 20210705 | BE6306637859 | 700829 | KBC EQUITY FD - FOOD & PERS PRODUC | EUR | EUR-KAP-CORP W&I | 3326317 |
| 20210705 | BE6228545784 | 700829 | KBC EQUITY FD - FOOD & PERS PRODUC | EUR | EUR-KAP-INSTIT.B | 3184767 |
| 20210705 | BE0170241062 | 700829 | KBC EQUITY FD - FOOD & PERS PRODUC | EUR | EUR-KAP-RETAIL | 1016354 |
| 20210705 | BE0170532064 | 700831 | KBC EQUITY FD - NEW SHARES | EUR | EUR-DIV-RETAIL | 1016716 |
| 20210705 | BE0170533070 | 700831 | KBC EQUITY FD - NEW SHARES | EUR | EUR-KAP-RETAIL | 1016714 |
| 20210705 | BE0170812920 | 700832 | KBC EQUITY FD - MEDIC TECHNOLOGIES | USD | USD-DIV-RETAIL | 1017278 |
| 20210705 | BE6228551840 | 700832 | KBC EQUITY FD - MEDIC TECHNOLOGIES | USD | USD-KAP-INSTIT.B | 3184948 |
| 20210705 | BE0170813936 | 700832 | KBC EQUITY FD - MEDIC TECHNOLOGIES | USD | USD-KAP-RETAIL | 1017276 |
| 20210705 | BE0170814942 | 700833 | KBC EQUITY FD - STRATEGIC SATELLIT | EUR | EUR-DIV-RETAIL | 1017281 |
| 20210705 | BE6258069176 | 700833 | KBC EQUITY FD - STRATEGIC SATELLIT | EUR | EUR-KAP-INSTIT.B | 3218022 |
| 20210705 | BE0170815956 | 700833 | KBC EQUITY FD - STRATEGIC SATELLIT | EUR | EUR-KAP-RETAIL | 1017280 |
| 20210705 | BE0171290852 | 700835 | KBC EQUITY FD - COMMODIT & MATERIA | EUR | EUR-DIV-RETAIL | 1021498 |
| 20210705 | BE6228540736 | 700835 | KBC EQUITY FD - COMMODIT & MATERIA | EUR | EUR-KAP-INSTIT.B | 3184684 |
| 20210705 | BE0171291868 | 700835 | KBC EQUITY FD - COMMODIT & MATERIA | EUR | EUR-KAP-RETAIL | 1021723 |
| 20210705 | BE0168207091 | 700837 | KBC EQUITY FD - LUXURY & TOURISM | EUR | EUR-DIV-RETAIL | 1011600 |
| 20210705 | BE6228550834 | 700837 | KBC EQUITY FD - LUXURY & TOURISM | EUR | EUR-KAP-INSTIT.B | 3184829 |
| 20210705 | BE0168205079 | 700837 | KBC EQUITY FD - LUXURY & TOURISM | EUR | EUR-KAP-RETAIL | 1011586 |
| 20210705 | BE6286992340 | 700838 | KBC EQUITY FD - TRENDS | EUR | CZK-KAP-RET.CSOB | 3261911 |
| 20210705 | BE0167244160 | 700838 | KBC EQUITY FD - TRENDS | EUR | EUR-DIV-RETAIL | 1009943 |
| 20210705 | BE6228927727 | 700838 | KBC EQUITY FD - TRENDS | EUR | EUR-KAP-INSTIT.B | 3185316 |
| 20210705 | BE0167243154 | 700838 | KBC EQUITY FD - TRENDS | EUR | EUR-KAP-RETAIL | 1009946 |
| 20210705 | BE6283257820 | 700839 | KBC EQUITY FD - CONSUMER DURABLES | EUR | CZK-KAP-CSOB PRIV.BANKING | 3253279 |
| 20210705 | BE0171889059 | 700839 | KBC EQUITY FD - CONSUMER DURABLES | EUR | EUR-DIV-RETAIL | 1025689 |
| 20210705 | BE6228539720 | 700839 | KBC EQUITY FD - CONSUMER DURABLES | EUR | EUR-KAP-INSTIT.B | 3184692 |
| 20210705 | BE0171890065 | 700839 | KBC EQUITY FD - CONSUMER DURABLES | EUR | EUR-KAP-RETAIL | 1025688 |
| 20210705 | BE0172710502 | 700840 | KBC EQUITY FD - USA & CANADA | EUR | EUR-DIV-RETAIL | 1028700 |
| 20210705 | BE6228541742 | 700840 | KBC EQUITY FD - USA & CANADA | EUR | EUR-KAP-INSTIT.B | 3184699 |
| 20210705 | BE0172711518 | 700840 | KBC EQUITY FD - USA & CANADA | EUR | EUR-KAP-RETAIL | 1028699 |
| 20210705 | BE0173085375 | 700842 | KBC EQUITY FD - STR.COMM.SERV & TECH | EUR | EUR-DIV-RETAIL | 1029846 |
| 20210705 | BE6228929749 | 700842 | KBC EQUITY FD - STR.COMM.SERV & TECH | EUR | EUR-KAP-INSTIT.B | 3185325 |
| 20210705 | BE0173086381 | 700842 | KBC EQUITY FD - STR.COMM.SERV & TECH | EUR | EUR-KAP-RETAIL | 1029845 |
| 20210705 | BE0174092743 | 700844 | KBC EQUITY FD - STRATEGIC FINANCE | EUR | EUR-DIV-RETAIL | 1033297 |
| 20210705 | BE6228542757 | 700844 | KBC EQUITY FD - STRATEGIC FINANCE | EUR | EUR-KAP-INSTIT.B | 3184741 |
| 20210705 | BE0174093758 | 700844 | KBC EQUITY FD - STRATEGIC FINANCE | EUR | EUR-KAP-RETAIL | 1033298 |
| 20210705 | BE0174806126 | 700848 | KBC EQUITY FD - GLOBAL LEADERS | EUR | EUR-DIV-RETAIL | 1035827 |
| 20210705 | BE6228546790 | 700848 | KBC EQUITY FD - GLOBAL LEADERS | EUR | EUR-KAP-INSTIT.B | 3184774 |
| 20210705 | BE0174807132 | 700848 | KBC EQUITY FD - GLOBAL LEADERS | EUR | EUR-KAP-RETAIL | 1035826 |
| 20210705 | BE0174961707 | 700849 | KBC EQUITY FD - OIL | EUR | EUR-DIV-RETAIL | 1036726 |
| 20210705 | BE6228664031 | 700849 | KBC EQUITY FD - OIL | EUR | EUR-KAP-INSTIT.B | 3184990 |
| 20210705 | BE0174962713 | 700849 | KBC EQUITY FD - OIL | EUR | EUR-KAP-RETAIL | 1036725 |
| 20210705 | BE0176713767 | 700861 | KBC EQUITY FD - HI.DIV.NO-AMERICA | USD | USD-DIV-RETAIL | 1041798 |
| 20210705 | BE6228548812 | 700861 | KBC EQUITY FD - HI.DIV.NO-AMERICA | USD | USD-KAP-INSTIT.B | 3184780 |
| 20210705 | BE0176715788 | 700861 | KBC EQUITY FD - HI.DIV.NO-AMERICA | USD | USD-KAP-RETAIL | 1041796 |
| 20210705 | BE6306640887 | 700863 | KBC EQUITY FD - QUANT GLOBAL 1 | EUR | EUR-DIV-CORP W&I | 3326316 |
| 20210705 | BE0057592710 | 700863 | KBC EQUITY FD - QUANT GLOBAL 1 | EUR | EUR-DIV-RETAIL | 1050869 |
| 20210705 | BE6306639871 | 700863 | KBC EQUITY FD - QUANT GLOBAL 1 | EUR | EUR-KAP-CORP W&I | 3326315 |
| 20210705 | BE6228926711 | 700863 | KBC EQUITY FD - QUANT GLOBAL 1 | EUR | EUR-KAP-INSTIT.B | 3185285 |
| 20210705 | BE0057593726 | 700863 | KBC EQUITY FD - QUANT GLOBAL 1 | EUR | EUR-KAP-RETAIL | 1050868 |
| 20210705 | BE0940703946 | 700864 | KBC EQUITY FD - HIGH DIVIDEND | EUR | EUR-DIV-RETAIL | 1051796 |
| 20210705 | BE6228914592 | 700864 | KBC EQUITY FD - HIGH DIVIDEND | EUR | EUR-KAP-INSTIT.B | 3185171 |
| 20210705 | BE6297712844 | 700864 | KBC EQUITY FD - HIGH DIVIDEND | EUR | EUR-KAP-INSTITUTIONEEL | 3302217 |
| 20210705 | BE0940704951 | 700864 | KBC EQUITY FD - HIGH DIVIDEND | EUR | EUR-KAP-RETAIL | 1051794 |
| 20210705 | BE6215123421 | 700879 | KBC EQ FD NORTH AMERICAN CONTINENT | EUR | EUR-DIV-RETAIL | 3169850 |
| 20210705 | BE6228928733 | 700879 | KBC EQ FD NORTH AMERICAN CONTINENT | EUR | EUR-KAP-INSTIT.B | 3185320 |
| 20210705 | BE6215122415 | 700879 | KBC EQ FD NORTH AMERICAN CONTINENT | EUR | EUR-KAP-RETAIL | 3169847 |
| 20210705 | BE6216680478 | 700880 | KBC EQUITY FD - INDUST.& INFRASTRU | EUR | EUR-DIV-RETAIL | 3171701 |
| 20210705 | BE6228549828 | 700880 | KBC EQUITY FD - INDUST.& INFRASTRU | EUR | EUR-KAP-INSTIT.B | 3184797 |
| 20210705 | BE6216682490 | 700880 | KBC EQUITY FD - INDUST.& INFRASTRU | EUR | EUR-KAP-RETAIL | 3171704 |
| 20210705 | BE6239645235 | 700882 | KBC EQUITY FD - CSOB AKFO DIFIREM | CZK | CZK-DIV-RETAIL | 3199026 |
| 20210705 | BE6239644220 | 700882 | KBC EQUITY FD - CSOB AKFO DIFIREM | CZK | CZK-KAP-RETAIL | 3199022 |
| 20210705 | BE6295396962 | 700884 | KBC EQUITY FD - SRI MINIMUM VARIANCE | EUR | EUR-DIV-DISCR | 3280542 |
| 20210705 | BE6295398018 | 700884 | KBC EQUITY FD - SRI MINIMUM VARIANCE | EUR | EUR-DIV-INSTITUTIONEEL | 3280536 |
| 20210705 | BE6295401044 | 700884 | KBC EQUITY FD - SRI MINIMUM VARIANCE | EUR | EUR-DIV-WEALTH | 3280527 |
| 20210705 | BE6295394942 | 700884 | KBC EQUITY FD - SRI MINIMUM VARIANCE | EUR | EUR-KAP-DISCR. | 3280538 |
| 20210705 | BE6295397978 | 700884 | KBC EQUITY FD - SRI MINIMUM VARIANCE | EUR | EUR-KAP-INSTITUTIONEEL | 3280533 |
| 20210705 | BE6295392920 | 700884 | KBC EQUITY FD - SRI MINIMUM VARIANCE | EUR | EUR-KAP-RETAIL | 3280516 |
| 20210705 | BE6295400038 | 700884 | KBC EQUITY FD - SRI MINIMUM VARIANCE | EUR | EUR-KAP-WEALTH | 3280521 |
| 20210705 | BE6307729135 | 700887 | KBC EQ FD SRI WORLD | EUR | EUR-KAP-INSTIT.B | 3328881 |
| 20210705 | BE6307728129 | 700887 | KBC EQ FD SRI WORLD | EUR | EUR-KAP-RETAIL | 3328877 |
| 20210705 | BE6307777613 | 700889 | KBC EQ FD SRI NORTH AMERICA | USD | EUR-KAP-INSTIT.B | 3328883 |
| 20210705 | BE6307776607 | 700889 | KBC EQ FD SRI NORTH AMERICA | USD | USD-KAP-RETAIL | 3328882 |
| 20210705 | BE6307764488 | 700893 | KBC EQ FD SRI USA & CANADA | EUR | EUR-KAP-INSTIT.B | 3328870 |
| 20210705 | BE6307763472 | 700893 | KBC EQ FD SRI USA & CANADA | EUR | EUR-KAP-RETAIL | 3328869 |
| 20210705 | BE6313621854 | 700895 | KBC EQ FD WORLD DBI-RDT | EUR | EUR-DIV-CORP.WEALTH | 3346253 |
| 20210705 | BE6313620849 | 700895 | KBC EQ FD WORLD DBI-RDT | EUR | EUR-DIV-CORPORATE | 3346254 |
| 20210705 | BE6313622860 | 700895 | KBC EQ FD WORLD DBI-RDT | EUR | EUR-DIV-DISCR | 3346255 |
| 20210705 | BE6313623876 | 700895 | KBC EQ FD WORLD DBI-RDT | EUR | EUR-DIV-INSTITUTIONEEL | 3346257 |
| 20210705 | BE6313419770 | 700895 | KBC EQ FD WORLD DBI-RDT | EUR | EUR-DIV-RETAIL | 3346256 |
| 20210705 | BE6318122270 | 700896 | KBC EQ FD SRI NORTH AM CONTINENT | USD | EUR-KAP-INST.B EUR | 3366698 |
| 20210705 | BE6318121264 | 700896 | KBC EQ FD SRI NORTH AM CONTINENT | USD | USD-KAP-RETAIL | 3366697 |
| 20210705 | BE6321632455 | 700897 | KBC EQ FD SRI WORLD DBI-RDT | EUR | EUR-DIV-CORP.WEALTH | 3380654 |
| 20210705 | BE6321631440 | 700897 | KBC EQ FD SRI WORLD DBI-RDT | EUR | EUR-DIV-CORPORATE | 3380655 |
| 20210705 | BE6321635482 | 700897 | KBC EQ FD SRI WORLD DBI-RDT | EUR | EUR-DIV-DISCR | 3380652 |
| 20210705 | BE6321636498 | 700897 | KBC EQ FD SRI WORLD DBI-RDT | EUR | EUR-DIV-INSTITUTIONEEL | 3380651 |
| 20210705 | BE6321630434 | 700897 | KBC EQ FD SRI WORLD DBI-RDT | EUR | EUR-DIV-RETAIL | 3380650 |
| 20210705 | BE6322328624 | 700899 | KBC EQUITY FD FUNDAMENTAL OPPORT. | EUR | EUR-DIV-CORP W&I | 3384553 |
| 20210705 | BE6322325596 | 700899 | KBC EQUITY FD FUNDAMENTAL OPPORT. | EUR | EUR-DIV-RETAIL | 3384556 |
| 20210705 | BE6322326602 | 700899 | KBC EQUITY FD FUNDAMENTAL OPPORT. | EUR | EUR-KAP-CORP W&I | 3384555 |
| 20210705 | BE6326282397 | 700899 | KBC EQUITY FD FUNDAMENTAL OPPORT. | EUR | EUR-KAP-INST.FLU | 3413736 |
| 20210705 | BE6322323575 | 700899 | KBC EQUITY FD FUNDAMENTAL OPPORT. | EUR | EUR-KAP-RETAIL | 3384551 |
| 20210705 | BE0947167590 | 700960 | KBC MASTER FD-CSOB PP PRO SRPEN 95 | CZK | CZK-KAP-RETAIL | 1063611 |
| 20210705 | BE0947168606 | 700961 | KBC MASTER FD-CSOB PP PRO_SRPEN 90 | CZK | CZK-KAP-RETAIL | 1063614 |
| 20210705 | BE6201770755 | 700962 | KBC MASTER FD CSOB PP LISTOPAD 90 | CZK | CZK-KAP-RETAIL | 3160978 |
| 20210705 | BE6210259287 | 700963 | KBC MASTER FD-MIN.VARIANCE GLOBAL | EUR | EUR-DIV-INSTITUTIONEEL | 3166018 |
| 20210705 | BE6210257265 | 700963 | KBC MASTER FD-MIN.VARIANCE GLOBAL | EUR | EUR-DIV-RETAIL | 3165994 |
| 20210705 | BE6228919641 | 700963 | KBC MASTER FD-MIN.VARIANCE GLOBAL | EUR | EUR-KAP-INSTIT.B | 3185251 |
| 20210705 | BE6210258271 | 700963 | KBC MASTER FD-MIN.VARIANCE GLOBAL | EUR | EUR-KAP-INSTITUTIONEEL | 3166016 |
| 20210705 | BE6210255244 | 700963 | KBC MASTER FD-MIN.VARIANCE GLOBAL | EUR | EUR-KAP-RETAIL | 3165989 |
| 20210705 | BE6209681327 | 700964 | KBC MASTER FD-CSOB PORTF.PRO UNOR 95 | CZK | CZK-KAP-RETAIL | 3165248 |
| 20210705 | BE6216639060 | 700966 | KBC MASTER FD-CSOB PORT.PRO KVET.90 | CZK | CZK-KAP-RETAIL | 3171857 |
| 20210705 | BE6275295747 | 700969 | KBC MASTER FD-BUSIN.CORE SAT.DEFENSI | EUR | EUR-DIV-RETAIL | 3237158 |
| 20210705 | BE6275298774 | 700970 | KBC MASTER FD-BUSIN.CORE SAT.DYNAMIC | EUR | EUR-DIV-RETAIL | 3237182 |
| 20210705 | BE6297957381 | 700971 | KBC MASTER FD-BUSS.COMF.SRI. DEF | EUR | EUR-DIV-RETAIL | 3302666 |
| 20210705 | BE6297961425 | 700972 | KBC MASTER FD-BUSS.COMF.SRI. DYN | EUR | EUR-DIV-RETAIL | 3302665 |
| 20210705 | BE6326281381 | 701001 | KBC EQ FD FUNDAMENTAL OPP DBI-RDT | EUR | EUR-DIV-CORPORATE | 3410852 |
| 20210705 | BE6326280375 | 701001 | KBC EQ FD FUNDAMENTAL OPP DBI-RDT | EUR | EUR-DIV-RETAIL | 3410853 |
| 20210705 | BE6229029770 | 800002 | KBC INST.INVEST.MIXED DEFENSIVE | EUR | EUR-KAP-RETAIL | 3185369 |
| 20210705 | BE6298615178 | 800025 | KBC INST. INVEST BALANCED 2 | EUR | EUR-KAP-INSTITUTIONEEL | 3307952 |
| 20210705 | BE6300347034 | 800026 | KBC INST.INVEST SRI GL FL ALL JULY | EUR | EUR-KAP-INSTITUTIONEEL | 3311319 |
| 20210705 | BE6309410452 | 800028 | KBC Instit. Inves. Struc. Growth DBI | EUR | EUR-DIV-INSTITUTIONEEL | 3332694 |
| 20210705 | BE6314454453 | 800029 | KBC INSTIT INVEST GLOBAL GROWTH DBI | EUR | EUR-DIV-INSTITUTIONEEL | 3348970 |
| 20210705 | BE6325125464 | 800031 | KII - SRI WORLD EQUITIES EX-PHARMA | EUR | EUR-KAP-INSTITUTIONEEL | 3402468 |
| 20210705 | BE0940483689 | 800802 | KBC SELECT IMMO - WORLD PLUS | EUR | EUR-DIV-RETAIL | 1051651 |
| 20210705 | BE6294993819 | 800802 | KBC SELECT IMMO - WORLD PLUS | EUR | EUR-KAP-INSTIT.B | 3279053 |
| 20210705 | BE0166979428 | 800802 | KBC SELECT IMMO - WORLD PLUS | EUR | EUR-KAP-RETAIL | 1016929 |
| 20210706 | BE6224093888 | 600558 | HOR.ACCESS FD CSOB CESKY AKCIOVY(PX) | CZK | CZK-DIV-RETAIL | 3179473 |
| 20210706 | BE6224091866 | 600558 | HOR.ACCESS FD CSOB CESKY AKCIOVY(PX) | CZK | CZK-KAP-RETAIL | 3179469 |
| 20210709 | BE0152246535 | 700762 | KBC EQUITY FD - LATIN AMERICA | EUR | EUR-DIV-RETAIL | 152246 |
| 20210709 | BE0146026415 | 700762 | KBC EQUITY FD - LATIN AMERICA | EUR | EUR-KAP-RETAIL | 146026 |
| 20210715 | BE0946057164 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-DIV-RETAIL | 1060241 |
| 20210715 | BE6228909543 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-INSTIT.B | 3185143 |
| 20210715 | BE0946058170 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-RETAIL | 1060240 |
| 20210720 | BE0946057164 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-DIV-RETAIL | 1060241 |
| 20210720 | BE6228909543 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-INSTIT.B | 3185143 |
| 20210720 | BE0946058170 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-RETAIL | 1060240 |
| 20210722 | BE6294803851 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-INST.B EUR | 3278456 |
| 20210722 | BE6242923033 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-INST.EUR | 3201772 |
| 20210722 | BE6242921011 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-RETAIL | 3201769 |
| 20210722 | BE6300996707 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-DIV-DISCR | 3312224 |
| 20210722 | BE6295949679 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-DIV-RET.B | 3281214 |
| 20210722 | BE0947893096 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-INSTITUTIONEEL | 3113025 |
| 20210722 | BE6295948663 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-RET.B | 3281211 |
| 20210722 | BE0940717110 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-RETAIL | 1051800 |
| 20210722 | BE0152250578 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-DIV-RETAIL | 1013247 |
| 20210722 | BE6228564975 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-KAP-INSTIT.B | 3184873 |
| 20210722 | BE0126163634 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-KAP-RETAIL | 126163 |
| 20210722 | BE0946057164 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-DIV-RETAIL | 1060241 |
| 20210722 | BE6228909543 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-INSTIT.B | 3185143 |
| 20210722 | BE0946058170 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-RETAIL | 1060240 |
| 20210722 | BE6307773570 | 700892 | KBC EQ FD SRI ASIA PACIFIC | JPY | EUR-KAP-INSTIT.B | 3328874 |
| 20210722 | BE6307772564 | 700892 | KBC EQ FD SRI ASIA PACIFIC | JPY | JPY-KAP-RETAIL | 3328873 |
| 20210722 | BE6325119400 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-DIV-INSTITUTIONEEL | 3402473 |
| 20210722 | BE6325117388 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-DIV-RETAIL | 3402471 |
| 20210722 | BE6325118394 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-KAP-INSTITUTIONEEL | 3402475 |
| 20210722 | BE6325116372 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-KAP-RETAIL | 3402472 |
| 20210723 | BE6294803851 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-INST.B EUR | 3278456 |
| 20210723 | BE6242923033 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-INST.EUR | 3201772 |
| 20210723 | BE6242921011 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-RETAIL | 3201769 |
| 20210723 | BE6300996707 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-DIV-DISCR | 3312224 |
| 20210723 | BE6295949679 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-DIV-RET.B | 3281214 |
| 20210723 | BE0947893096 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-INSTITUTIONEEL | 3113025 |
| 20210723 | BE6295948663 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-RET.B | 3281211 |
| 20210723 | BE0940717110 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-RETAIL | 1051800 |
| 20210723 | BE0152250578 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-DIV-RETAIL | 1013247 |
| 20210723 | BE6228564975 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-KAP-INSTIT.B | 3184873 |
| 20210723 | BE0126163634 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-KAP-RETAIL | 126163 |
| 20210723 | BE0946057164 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-DIV-RETAIL | 1060241 |
| 20210723 | BE6228909543 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-INSTIT.B | 3185143 |
| 20210723 | BE0946058170 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-RETAIL | 1060240 |
| 20210723 | BE6307773570 | 700892 | KBC EQ FD SRI ASIA PACIFIC | JPY | EUR-KAP-INSTIT.B | 3328874 |
| 20210723 | BE6307772564 | 700892 | KBC EQ FD SRI ASIA PACIFIC | JPY | JPY-KAP-RETAIL | 3328873 |
| 20210723 | BE6325119400 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-DIV-INSTITUTIONEEL | 3402473 |
| 20210723 | BE6325117388 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-DIV-RETAIL | 3402471 |
| 20210723 | BE6325118394 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-KAP-INSTITUTIONEEL | 3402475 |
| 20210723 | BE6325116372 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-KAP-RETAIL | 3402472 |
| 20210809 | BE6294803851 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-INST.B EUR | 3278456 |
| 20210809 | BE6242923033 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-INST.EUR | 3201772 |
| 20210809 | BE6242921011 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | EUR-KAP-RETAIL | 3201769 |
| 20210809 | BE6300996707 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-DIV-DISCR | 3312224 |
| 20210809 | BE6295949679 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-DIV-RET.B | 3281214 |
| 20210809 | BE0947893096 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-INSTITUTIONEEL | 3113025 |
| 20210809 | BE6295948663 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-RET.B | 3281211 |
| 20210809 | BE0940717110 | 700114 | PLATO INST.I.F. PACIFIC EQUITY | JPY | JPY-KAP-RETAIL | 1051800 |
| 20210809 | BE0152250578 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-DIV-RETAIL | 1013247 |
| 20210809 | BE6228564975 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-KAP-INSTIT.B | 3184873 |
| 20210809 | BE0126163634 | 700750 | KBC EQUITY FD - ASIA PASCIFIC | JPY | JPY-KAP-RETAIL | 126163 |
| 20210809 | BE6307773570 | 700892 | KBC EQ FD SRI ASIA PACIFIC | JPY | EUR-KAP-INSTIT.B | 3328874 |
| 20210809 | BE6307772564 | 700892 | KBC EQ FD SRI ASIA PACIFIC | JPY | JPY-KAP-RETAIL | 3328873 |
| 20210809 | BE6325119400 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-DIV-INSTITUTIONEEL | 3402473 |
| 20210809 | BE6325117388 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-DIV-RETAIL | 3402471 |
| 20210809 | BE6325118394 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-KAP-INSTITUTIONEEL | 3402475 |
| 20210809 | BE6325116372 | 701101 | KBC INST FD SRI ASIA PACIFIC | EUR | EUR-KAP-RETAIL | 3402472 |
| 20210816 | BE0152245529 | 700761 | KBC EQUITY FD - NEW ASIA | EUR | EUR-DIV-RETAIL | 1010090 |
| 20210816 | BE6228552855 | 700761 | KBC EQUITY FD - NEW ASIA | EUR | EUR-KAP-INSTIT.B | 3184958 |
| 20210816 | BE0146025409 | 700761 | KBC EQUITY FD - NEW ASIA | EUR | EUR-KAP-RETAIL | 146025 |
| 20210819 | BE0944665794 | 700708 | HOR.ACCESS INDIA FUND | USD | USD-DIV-RETAIL | 1057212 |
| 20210819 | BE6228534671 | 700708 | HOR.ACCESS INDIA FUND | USD | USD-KAP-INSTIT.B | 3184658 |
| 20210819 | BE0944666800 | 700708 | HOR.ACCESS INDIA FUND | USD | USD-KAP-RETAIL | 1057211 |
| 20210820 | BE0176432863 | 700860 | KBC EQUITY FD - CENTRAL EUROPE | EUR | EUR-DIV-RETAIL | 1041396 |
| 20210820 | BE6228538714 | 700860 | KBC EQUITY FD - CENTRAL EUROPE | EUR | EUR-KAP-INSTIT.B | 3184679 |
| 20210820 | BE0176434885 | 700860 | KBC EQUITY FD - CENTRAL EUROPE | EUR | EUR-KAP-RETAIL | 1041395 |
| 20210830 | BE6300991658 | 700112 | PLATO INST.I.F. EUROPEAN EQUITY | EUR | EUR-DIV-DISCR | 3312226 |
| 20210830 | BE6295947657 | 700112 | PLATO INST.I.F. EUROPEAN EQUITY | EUR | EUR-DIV-RET.B | 3281185 |
| 20210830 | BE6294796782 | 700112 | PLATO INST.I.F. EUROPEAN EQUITY | EUR | EUR-KAP-INSTIT.B | 3278771 |
| 20210830 | BE0947891074 | 700112 | PLATO INST.I.F. EUROPEAN EQUITY | EUR | EUR-KAP-INSTITUTIONEEL | 3113019 |
| 20210830 | BE6295945636 | 700112 | PLATO INST.I.F. EUROPEAN EQUITY | EUR | EUR-KAP-RET.B | 3281186 |
| 20210830 | BE0059883349 | 700112 | PLATO INST.I.F. EUROPEAN EQUITY | EUR | EUR-KAP-RETAIL | 1049991 |
| 20210830 | BE6264650027 | 700730 | KBC EQUITY FD - EUROPE | EUR | CZK-KAP-RET.CSOB | 3225553 |
| 20210830 | BE0152247541 | 700730 | KBC EQUITY FD - EUROPE | EUR | EUR-DIV-RETAIL | 1024000 |
| 20210830 | BE6258422797 | 700730 | KBC EQUITY FD - EUROPE | EUR | EUR-KAP-INSTIT.B | 3218211 |
| 20210830 | BE0126161612 | 700730 | KBC EQUITY FD - EUROPE | EUR | EUR-KAP-RETAIL | 126161 |
| 20210830 | BE6328577067 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | CZK-KAP-RET.CSOB | * |
| 20210830 | BE0156154818 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | EUR-DIV-RETAIL | 1004662 |
| 20210830 | BE6228925705 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | EUR-KAP-INSTIT.B | 3185276 |
| 20210830 | BE0156153802 | 700763 | KBC EQUITY FD - EMERGING EUROPE | EUR | EUR-KAP-RETAIL | 156153 |
| 20210830 | BE6295242398 | 700772 | KBC IF - EURO SATELLITE EQUITY | EUR | EUR-KAP-INSTIT.B | 3279273 |
| 20210830 | BE0947889052 | 700772 | KBC IF - EURO SATELLITE EQUITY | EUR | EUR-KAP-INSTITUTIONEEL | 3113006 |
| 20210830 | BE0166983461 | 700772 | KBC IF - EURO SATELLITE EQUITY | EUR | EUR-KAP-RETAIL | 1016931 |
| 20210830 | BE0947127198 | 700785 | KBC IF - EUROPEAN REAL ESTATE | EUR | EUR-DIV-RETAIL | 3097864 |
| 20210830 | BE6213915950 | 700785 | KBC IF - EUROPEAN REAL ESTATE | EUR | EUR-KAP-INSTITUTIONEEL | 3168066 |
| 20210830 | BE0168584952 | 700785 | KBC IF - EUROPEAN REAL ESTATE | EUR | EUR-KAP-RETAIL | 1023849 |
| 20210830 | BE0174961707 | 700849 | KBC EQUITY FD - OIL | EUR | EUR-DIV-RETAIL | 1036726 |
| 20210830 | BE6228664031 | 700849 | KBC EQUITY FD - OIL | EUR | EUR-KAP-INSTIT.B | 3184990 |
| 20210830 | BE0174962713 | 700849 | KBC EQUITY FD - OIL | EUR | EUR-KAP-RETAIL | 1036725 |
| 20210830 | BE0946057164 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-DIV-RETAIL | 1060241 |
| 20210830 | BE6228909543 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-INSTIT.B | 3185143 |
| 20210830 | BE0946058170 | 700866 | KBC EQUITY FD - TURKEY | TRY | TRY-KAP-RETAIL | 1060240 |
| 20210830 | BE6307780641 | 700890 | KBC EQ FD SRI REST OF EUROPE | EUR | EUR-KAP-INSTIT.B | 3328878 |
| 20210830 | BE6307779635 | 700890 | KBC EQ FD SRI REST OF EUROPE | EUR | EUR-KAP-RETAIL | 3328884 |
| 20210830 | BE6321883058 | 700898 | KBC EQ FD REST OF EUROPE | EUR | EUR-DIV-RETAIL | 3382135 |
| 20210830 | BE6321859785 | 700898 | KBC EQ FD REST OF EUROPE | EUR | EUR-KAP-INSTIT.B | 3381981 |
| 20210830 | BE6321882043 | 700898 | KBC EQ FD REST OF EUROPE | EUR | EUR-KAP-RETAIL | 3382136 |
| 20210830 | BE6325123444 | 701102 | KBC INST FD SRI REST OF EUROPE | EUR | EUR-DIV-INSTITUTIONEEL | 3402476 |
| 20210830 | BE6325121422 | 701102 | KBC INST FD SRI REST OF EUROPE | EUR | EUR-DIV-RETAIL | 3402469 |
| 20210830 | BE6325122438 | 701102 | KBC INST FD SRI REST OF EUROPE | EUR | EUR-KAP-INSTITUTIONEEL | 3402474 |
| 20210830 | BE6325120416 | 701102 | KBC INST FD SRI REST OF EUROPE | EUR | EUR-KAP-RETAIL | 3402470 |
| 20210830 | BE0948241667 | 800000 | KBC INST.INVEST.BALANCED SUSTAIN.1 | EUR | EUR-KAP-RETAIL | 3122334 |
| 20210830 | BE6277014476 | 800100 | VLADUBEL ZORGVERZEKERING | EUR | EUR-DIV-RETAIL | 3240208 |
| 20210830 | BE6222626762 | 800100 | VLADUBEL ZORGVERZEKERING | EUR | EUR-KAP-INSTITUTIONEEL | 3177292 |
| 20210830 | BE0948426573 | 800100 | VLADUBEL ZORGVERZEKERING | EUR | EUR-KAP-RETAIL | 3130048 |
| 20210830 | BE6270119397 | 800801 | KBC SELECT IMMO - EUROPE PLUS | EUR | EUR-DIV-RETAIL | 3231587 |
| 20210830 | BE6294997851 | 800801 | KBC SELECT IMMO - EUROPE PLUS | EUR | EUR-KAP-INSTIT.B | 3279054 |
| 20210830 | BE0166978412 | 800801 | KBC SELECT IMMO - EUROPE PLUS | EUR | EUR-KAP-RETAIL | 1012726 |