FDC SICAV Actions EMMA – Actif 1
Transcription
FDC SICAV Actions EMMA – Actif 1
Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Société d’Investissement à Capital Variable – Fonds d’Investissement Spécialisé Annual Report (Audited) as of 31 December 2012 R.C.S. Luxembourg B 129 879 1RVXEVFULSWLRQVFDQEHUHFHLYHGRQWKHEDVLVRIWKLV¿QDQFLDOUHSRUW6XEVFULSWLRQVDUHRQO\YDOLGLIPDGHRQWKHEDVLVRIWKH current Issue Document accompanied with the latest annual and most recent semi-annual report, if published thereafter. Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Société d’Investissement à Capital Variable – Fonds d’Investissement Spécialisé Annual Report (Audited) as of 31 December 2012 Contents FDC SICAV Obligations EUR – Actif 2 General Information Information to the Shareholder Report of the Board of Directors Report of the Réviseur d’entreprises agréé Statement of Net Assets Statement of Operations and Changes in Net Assets Statement of Share Statistics Notes to the Financial Statements FDC SICAV Actions Monde – Actif 1 Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Actions Monde – Actif 2 Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Actions Monde – Actif 3* Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Actions EMMA – Actif 1* Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Actions EMMA – Actif 2* Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Actions EMMA – Indexé Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Obligations EUR – Actif 1 Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR 2 3 4 5 7 10 13 14 6FKHGXOHRI,QYHVWPHQWVDQG2WKHU1HW$VVHWV ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Obligations EUR – Actif 3 Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR FDC SICAV Obligations EUR – Indexé Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR 27 27 FDC SICAV Obligations Monde – Actif 1 31 31 FDC SICAV Obligations Monde – Actif 2 35 35 FDC SICAV Obligations Monde – Actif 3* 39 39 FDC SICAV Obligations Monde – Indexé 70 70 FDC SICAV Monétaire EUR – Actif 1 85 85 FDC SICAV Monétaire EUR – Actif 2 Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR Schedule of Investments and Other Net Assets ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLR 89 89 107 107 3OHDVHVHHQRWH 1 120 120 125 125 139 139 144 144 148 148 155 155 175 175 179 179 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS General Information 5HJLVWHUHG2I¿FH 0U&DUORV3HUHLUD Salarié ERXOHYDUG-).HQQHG\ /(VFKVXU$O]HWWH*UDQG'XFK\RI/X[HPERXUJ Fonds de Compensation de la Sécurité Sociale, SICAV-FIS $WULXP%XVLQHVV3DUN 31, Z.A. Bourmicht /%HUWUDQJH*UDQG'XFK\RI/X[HPERXUJ 0U5HQp3L]]DIHUUL Salarié 18, rue Auguste Lumière //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ Board of Directors Mr Jean-Marie Schneider Salarié 28, rue Léon Laval //HXGHODQJH*UDQG'XFK\RI/X[HPERXUJ Chairman Mr Robert Kieffer 3UpVLGHQWGX)RQGVGH&RPSHQVDWLRQ DYHQXHGHOD3RUWH1HXYH //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ 0U&ODXGH6H\ZHUW Fonctionnaire 125, route d’Esch //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ Members Mr Yves Wagner Directeur de Sociétés 19, rue de Bitbourg //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ Mr Serge De Cillia Salarié 12, rue Erasme //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ Mr Gabriel Di Letizia Salarié DYHQXH-).HQQHG\ //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ Administration and Management Administrative Agent &LWLEDQN,QWHUQDWLRQDOSOF/X[HPERXUJ%UDQFK $WULXP%XVLQHVV3DUN 31, Z.A. Bourmicht /%HUWUDQJH*UDQG'XFK\RI/X[HPERXUJ Mr François Engels Salarié 2, circuit de la Foire //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ Mr Marc Flammang Directeur de Banque 7, rue Thomas Edison /6WUDVVHQ*UDQG'XFK\RI/X[HPERXUJ Custodian Agent &LWLEDQN,QWHUQDWLRQDOSOF/X[HPERXUJ%UDQFK $WULXP%XVLQHVV3DUN 31, Z.A. Bourmicht /%HUWUDQJH*UDQG'XFK\RI/X[HPERXUJ Mr Armand Gobber Salarié 2, rue Thomas Edison /6WUDVVHQ*UDQG'XFK\RI/X[HPERXUJ Investment Managers Mr Luc-Henri Jamar Salarié 21, rue Léon Metz /(VFKVXU$O]HWWH*UDQG'XFK\RI/X[HPERXUJ FDC SICAV Actions Monde - Actif 1 -30RUJDQ$VVHW0DQDJHPHQW8./LPLWHG )LQVEXU\6WUHHW /RQGRQ(&<$38QLWHG.LQJGRP 0U*DU\.QHLS Indépendant 8, rue Henri M. Schnadt //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ FDC SICAV Actions Monde - Actif 2 Invesco Asset Management Deutschland GmbH %OHLFKVWUDVVH ')UDQNIXUWRQWKH0DLQ*HUPDQ\ Mr Fernand Lepage Fonctionnaire DERXOHYDUG3ULQFH+HQUL //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ FDC SICAV Actions Monde - Actif 3* ING Asset Management B.V. 6FKHQNNDGH NL-2595 AS, The Hague, The Netherlands Mr Jean Olinger Fonctionnaire 2, rue de la Congrégation //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ FDC SICAV Actions Monde - Indexé State Street Global Advisors France S.A. 23-25, rue Delarivière – Lefoullon )3DULVOD'pIHQVH)UDQFH 3OHDVHVHHQRWH 2 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS General InformationFRQWLQXHG FDC SICAV Obligations Monde - Actif 2 FDC SICAV Actions EMMA - Actif 1* Dimensional Fund Advisors Limited 7ULWRQ6WUHHW5HJHQW¶V3ODFH /RQGRQ1:%)8QLWHG.LQJGRP Franklin Templeton Investment Management Limited The Adelphi, 1-11 John Adam Street /RQGRQ:&1+78QLWHG.LQJGRP FDC SICAV Actions EMMA - Actif 2* AllianceBernstein Limited %HUNHOH\6WUHHW /RQGRQ:-+$8QLWHG.LQJGRP FDC SICAV Obligations Monde - Actif 3* Wellington Management International Limited 9LFWRULD6WUHHW&DUGLQDO3ODFH /RQGRQ6:(-/8QLWHG.LQJGRP FDC SICAV Actions EMMA - Indexé State Street Global Advisors France S.A. 23-25, rue Delarivière – Lefoullon )3DULVOD'pIHQVH)UDQFH FDC SICAV Obligations Monde - Indexé %ODFN5RFN,QYHVWPHQW0DQDJHPHQW8./LPLWHG 33, King William Street /RQGRQ(&5$68QLWHG.LQJGRP FDC SICAV Obligations EUR - Actif 1 Allianz Global Investors France S.A. UXH/H3HOHWLHU )3DULV)UDQFH FDC SICAV Monétaire EUR - Actif 1 $;$,QYHVWPHQW0DQDJHUV3DULV6$ Cœur Défense - Tour B - La Défense 4 100, esplanade du Général de Gaulle )3DULVOD'pIHQVH)UDQFH FDC SICAV Obligations EUR - Actif 2 %133DULEDV$VVHW0DQDJHPHQW 1, boulevard Haussmann )3DULV)UDQFH FDC SICAV Monétaire EUR - Actif 2 Amundi S.A. ERXOHYDUG3DVWHXU )3DULV)UDQFH FDC SICAV Obligations EUR - Actif 3 Amundi S.A. ERXOHYDUG3DVWHXU )3DULV)UDQFH Independent Auditor Deloitte Audit, Société à Responsabilité Limitée UXHGH1HXGRUI //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ FDC SICAV Obligations EUR - Indexé Credit Suisse AG 3DUDGHSODW] CH-8001 Zurich, Switzerland Legal Advisor FDC SICAV Obligations Monde - Actif 1** Aberdeen Asset Managers Limited 10, Queen’s Terrace $EHUGHHQ$%<*8QLWHG.LQJGRP (until 31 October 2012) $OOHQ2YHU\/X[HPERXUJ DYHQXH-).HQQHG\ //X[HPERXUJ*UDQG'XFK\RI/X[HPERXUJ Natixis Asset Management** 21, quai d’Austerlitz )3DULV)UDQFH (since 1 November 2012) Information to the Shareholder $VSHUWKH,VVXH'RFXPHQWDQQXDODXGLWHGUHSRUWVDUHDYDLODEOHIRULQVSHFWLRQE\WKH6KDUHKROGHUDWWKHUHJLVWHUHGRI¿FH RIWKH&RPSDQ\IRXUPRQWKVDIWHUWKHFORVHRIWKHDFFRXQWLQJ\HDU8QDXGLWHGKDOI\HDUO\UHSRUWVDUHDOVRDYDLODEOHLQWKH VDPHPDQQHUWZRPRQWKVDIWHUWKHHQGRIWKHSHULRGWRZKLFKWKH\UHIHU 3OHDVHVHHQRWH 3OHDVHVHHQRWH 3 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Report of the Board of Directors (QOHFRQVHLOG¶DGPLQLVWUDWLRQDSURFpGpjXQHDQDO\VHDSSURIRQGLHGHODVWUDWpJLHG¶LQYHVWLVVHPHQWHQSODFHGHSXLV 2008 et portant notamment sur: D XQHDFWXDOLVDWLRQGHVSDUDPqWUHVIRQGDPHQWDX[D\DQWSHUPLVGHGpYHORSSHUODVWUDWpJLHG¶LQYHVWLVVHPHQWGH particulièrement ceux à la base du calcul du rendement cible et espéré ainsi que des données de risque ;; E XQHLGHQWL¿FDWLRQGHVSRWHQWLHOVG¶RSWLPLVDWLRQUHVSHFWLYHPHQWG¶DI¿QHPHQWGHODVWUDWpJLHG¶LQYHVWLVVHPHQWDFWXHOOH JUkFHDX[HQVHLJQHPHQWVTXLRQWSXrWUHWLUpVGHODFULVH¿QDQFLqUH F OHVRSSRUWXQLWpVG¶LQFRUSRUHUGHQRXYHOOHVFODVVHVG¶DFWLIV Ainsi une mise à jour des paramètres fondamentaux a fait ressortir une diminution du rendement espéré et une augmenta- WLRQGXULVTXHFRQVpTXHQFHVORJLTXHVFRPSWHWHQXGHVIDLEOHVQLYHDX[GHWDX[G¶LQWpUrWHWGHVERXOHYHUVHPHQWV¿QDQFLHUV GHVGHUQLqUHVDQQpHV3RXUWDQWOHUHQGHPHQWHVSpUpGpSDVVHWRXMRXUVOHUHQGHPHQWPLQLPXPFLEOHFHGHUQLHUpWDQWUHVWp inchangé. Il a donc pu être conclu que la stratégie actuelle a bien résisté tout au long de cette crise et présente donc une solide base IRQGDPHQWDOH/DVHXOHRSWLPLVDWLRQDSSRUWDQWHQFRUHXQHFHUWDLQHSOXVYDOXHFRQVLVWHGDQVXQDI¿QHPHQWGHFHWWHGHUQ- LqUHSDUO¶LQWURGXFWLRQGHQRXYHOOHVFODVVHVG¶DFWLIVVSpFL¿TXHV(QFRQVpTXHQFHLODpWpGpFLGpG¶LQWURGXLUHFRXUDQW GHX[QRXYHOOHVFODVVHVG¶DFWLIVjVDYRLUFHOOHUHODWLYHDX[DFWLRQVjSHWLWHFDSLWDOLVDWLRQ©VPDOOFDSVªHWFHOOHUHODWLYH jODGHWWHGHVSD\VpPHUJHQWV 3DUDOOqOHPHQWDXFRXUVGHO¶H[HUFLFHVRXVUHYXHOH)RQGVGHFRPSHQVDWLRQDODQFpTXDWUHQRXYHDX[FRPSDUWLPHQWVDX VHLQGHOD6,&$9),6GRQWODJHVWLRQDpWpFRQ¿pHjGHVQRXYHDX[JpUDQWVTXLRQWpWpVpOHFWLRQQpVjODVXLWHG¶XQG¶DSSHO G¶RIIUHV$LQVLXQWURLVLqPHFRPSDUWLPHQWUHODWLIDX[DFWLRQVPRQGHDpWpFRQ¿pjING Asset Management, désormais pJDOHPHQWOHSUHPLHUJpUDQWGHOD6,&$9),6jWHQLUFRPSWHGHFULWqUHV(6*(QYLURQQHPHQW6RFLDOHW*RXYHUQDQFH dans son processus d’investissement. Les autres mandats ont été accordés à Dimensional Fund Advisors Limited et AllianceBernsteinSRXUOHVGHX[FRPSDUWLPHQWVUHODWLIVDX[DFWLRQVpPLVHVSDUGHVVRFLpWpVGHVSD\VpPHUJHQWVHWjWel- lington Management International Limited pour un troisième compartiment relatif aux obligations monde. 3RXUGHVUDLVRQVGHVRXVSHUIRUPDQFHVV\VWpPDWLTXHVHWGHFKDQJHPHQWVPDMHXUVGDQVOHSURFHVVXVGHJHVWLRQOHFRQVHLO d’administration du FDC a également décidé de révoquer le mandat du gérant en charge d’un compartiment obligataire monde, compartiment géré dorénavant par le mandataire de réserve Natixis Asset Management. Le conseil a poursuivi sa politique d’investisseur socialement responsable en collaboration étroite avec GES. Deux nou- velles listes d’exclusion des sociétés jugées non conformes aux conventions internationales signées par le Grand-duché de Luxembourg ont ainsi été validées au cours de l’année 2012 et transmise aux différents gérants de portefeuille pour application immédiate. Suite à une recommandation de l’Inspection générale de la sécurité sociale, précisant que les principes de gouvernance HWOHVQRUPHVG¶DXGLWJpQpUDOHPHQWDGPLVHVSUpYRLHQWHQPR\HQQHTXHOHUpYLVHXUH[WHUQHGRLWrWUHFKDQJpWRXWHVOHV trois à cinq années, le Fonds de compensation a lancé en 2012 un marché public portant sur l’attribution d’un mandat de UpYLVHXUG¶HQWUHSULVHVjSDUWLUGHO¶H[HUFLFH/¶DVVHPEOpHJpQpUDOHGHOD6,&$9),6D¿QDOHPHQWDWWULEXpFHPDQGDW à Deloitte Audit S.à r.l. (Q¿QOHFRQVHLOG¶DGPLQLVWUDWLRQGX)'&DRUGRQQDQFpGHVVRXVFULSWLRQVQHWWHVSRXUXQPRQWDQWWRWDOGHPLOOLRQVG¶HXURV et la valeur nette d’inventaire s’élevait à quelque 10,4 milliards d’euros au 31 décembre 2012. La SICAV a atteint un rende- PHQWDEVROXGHTXLpWDLWOpJqUHPHQWLQIpULHXUjVRQLQGLFHGHUpIpUHQFHVWUDWpJLTXH\DVVRFLp Dans un environnement de taux d’intérêt faibles, la performance des fonds monétaires a été de l’ordre de 0,71%. Malgré la crise souveraine en Europe, la performance des obligations libellées en euros a atteint 10,95%, rendement principalement VRXWHQXSDUOHVPHVXUHVSROLWLTXHVSULVHVDXVHLQGHO¶8QLRQHXURSpHQQHWDQGLVTXHOHVREOLJDWLRQVPRQGHDI¿FKDLHQWXQH SHUIRUPDQFHGH(QUDLVRQGHVERQQHVSHUIRUPDQFHVGHVPDUFKpVGHVDFWLRQVHQJpQpUDOODFODVVHG¶DFWLIVGHVDFWLRQV PRQGHDSHUIRUPpGHDORUVTXHFHOOHGHVDFWLRQVUHODWLYHVDX[PDUFKpVpPHUJHQWVDUpDOLVpXQUHQGHPHQWGH 4 Deloitte. Delo1tte Aud1t ~oCie\o ,; esponsab1l1\(. l1m1\ 560, rue de Neudorf L-2220 Luxembourg B P 1173 L-1 011 Luxembourg To the Shareholders of Fonds de Compensation de Ia Securite Sociale, SICAV-FIS 3 I, Z.A. Bourmicht Tel +352 451 451 Fax +352 451 452 992 wwwdelo1tte.lu L-8070 Bertrange Grand-Duchy of Luxembourg REPORT OF THE REVISEUR D'ENTREPRISES AGREE As at December 31, 2012 Following our appointment by the Shareholders on April 25 , 20 12, we have audited the accompanying financial statements of Fonds de Compensation de Ia Securite Sociale, SICA V-FIS and each of its subfunds, which comprise the statement of net assets and the statement of investments as at December 31 , 2012 and the statement of operations and the statement of changes in net assets for the year then ended and a summary of significant accounting policies and other explanatory information. Responsibility of the Board of Director·s for the financial statements The Board of Directors is responsible for the preparation and fair presentation of these financial statements in accordance with Luxembourg legal and regulatory requirements relating to the preparation of the financial statements and for such internal control as the Board of Directors determines is necessary to enable the preparation of financial statements that are free from material misstatement, whether due to fraud or error. Responsibility of the reviseur d 'entreprises agree Our responsibility is to express an opinion on these financial statements based on our audit. We conducted our audit in accordance with International Standards on Auditing as adopted for Luxembourg by the Commission de Surveillance du Secteur Financier. Those standards require that we comply with ethical requirements and plan and perform the audit to obtain reasonable assurance whether the annual accounts are free from material misstatement. Sooete a 1t?sponSdb1l1te hm1tee au cap1tal df:' 3S 000 € RCS LuxemboUJg B 67 895 Autor,sat,on d'E>tabhssement 10022179 Deloitte. An audit involves performing procedures to obtain audit evidence about the amounts and disclosures in the annual accounts. The procedures selected depend ofthe reviseur d entreprises agree's judgement, including the assessment of the risks of material misstatement of the annual accounts, whether due to fraud or error. In making those risk assessments, the reviseur d ' entreprises agree considers internal control relevant to the entity' s preparation and fair presentation of the annual accounts in order to design audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the entity's internal control. An audit also includes evaluating the appropriateness of accounting policies used and the reasonableness of accounting estimates made by the Board of Directors, as well as evaluating the overall presentation of the annual accounts. We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our audit opinion. Opinion In our opinion, the financial statements give a true and fair view ofthe financial position of Fonds de Compensation de Ia Securite Sociale, SICA V -FIS and each of its sub-funds, as of December 31 , 2012, and of the results of its operations and changes for the year then ended in accordance with Luxembourg legal and regulatory requirements relating to the preparation of the financial statements. Other matter Supplementary information included in the annual report has been reviewed in the context of our mandate but has not been subject to specific audit procedures carried out in accordance with the standards described above. Consequently, we express no opinion on such information . However, we have no observation to make concerning such infonnation in the context of the financial statements taken as a whole. For Deloitte Audit, Cabinet de revision agree April25 , 2013 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Statement of Net Assets as of 31 December 2012 FDC SICAV FDC SICAV FDC SICAV Actions Actions Actions Monde - Actif 1 Monde - Actif 2 Monde - Actif 3* EUR EUR EUR Assets Securities at cost 8QUHDOLVHGJDLQVORVVHV FDC SICAV FDC SICAV FDC SICAV Actions Actions Actions Monde - Indexé EMMA - Actif 1* EMMA - Actif 2* EUR EUR EUR 147,430,859 6HFXULWLHVDWPDUNHWYDOXH Liquid assets Term deposits Futures margins &DVKDWEURNHU Dividend accruals Interest accruals Receivables resulting from sales of securities Net unrealised gain on futures contracts Net unrealised gain on forward foreign exchange contracts Tax reclaim Other assets 529,809,993 9,490,935 – – – – – – 530,232,777 5,175,113 – – – 814,315 – – – 393,840,381 – – – – – – 1,501,221,741 – 1,534,959 – 1,791,448 – – 135,904 157,838,510 – – – 107,098 – 3,791 – 153,110,525 – – – 151,902 – 1,389,024 – – 151,729 – – – – – – – 225,845 – – – – – – – Total assets 540,171,277 536,299,461 405,434,408 1,538,768,843 158,423,105 157,807,357 Liabilities 3D\DEOHUHVXOWLQJIURPSXUFKDVHVRIVHFXULWLHV %DQNRYHUGUDIW Net unrealised loss on futures contracts Net unrealised loss on forward foreign exchange contracts Accrued expenses 2WKHUSD\DEOHV – – – – 1,053 – – – – – – – – – 1,133,738 – – 243,158 2,079 – 479,518 8,435 187,950 412 – 2,248 – 123,505 1,091 233,789 412 Total liabilities 893,652 483,257 196,797 814,805 124,596 1,593,555 539,277,625 535,816,204 405,237,611 1,537,954,038 158,298,509 156,213,802 Total Net Asset Value 3OHDVHVHHQRWH 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 7 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Statement of Net Assets as of 31 December 2012FRQWLQXHG FDC SICAV Actions EMMA - Indexé EUR FDC SICAV Obligations EUR - Actif 1 EUR FDC SICAV Obligations EUR - Actif 2 EUR FDC SICAV Obligations EUR - Actif 3 EUR FDC SICAV Obligations EUR - Indexé EUR 29,315,423 417,823,909 6HFXULWLHVDWPDUNHWYDOXH Liquid assets Term deposits Futures margins &DVKDWEURNHU Dividend accruals Interest accruals Receivables resulting from sales of securities Net unrealised gain on futures contracts Net unrealised gain on forward foreign exchange contracts Tax reclaim Other assets 8,214,280 – – – – 585,193,427 – – – – – 570,974,131 21,077,338 – – – – 10,233,015 – – 379,103 – – – 8,843,970 – 271,230 804,919,833 1,093,532 – – – – 15,734,833 – – 418,480,105 – – – – 3,800,435 – – – – – – – – – – – – – – – – – 979 Total assets 341,861,170 599,254,442 602,309,620 598,505,485 821,748,198 435,123,310 Assets Securities at cost 8QUHDOLVHGJDLQVORVVHV FDC SICAV Obligations Monde - Actif 1 EUR Liabilities 3D\DEOHUHVXOWLQJIURPSXUFKDVHVRIVHFXULWLHV %DQNRYHUGUDIW Net unrealised loss on futures contracts Net unrealised loss on forward foreign exchange contracts Accrued expenses 2WKHUSD\DEOHV – – – – – – – – – – – – – – – – – – 118,970 – 412 – 412 – 187,731 412 – 77,433 502 – 229,878 412 Total liabilities 122,629 372,972 166,245 188,143 77,935 230,290 341,738,541 598,881,470 602,143,375 598,317,342 821,670,263 434,893,020 Total Net Asset Value 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 8 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Statement of Net Assets as of 31 December 2012FRQWLQXHG FDC SICAV Obligations Monde - Actif 2 EUR FDC SICAV Obligations Monde - Actif 3* EUR FDC SICAV Obligations Monde - Indexé EUR 6HFXULWLHVDWPDUNHWYDOXH Liquid assets Term deposits Futures margins &DVKDWEURNHU Dividend accruals Interest accruals Receivables resulting from sales of securities Net unrealised gain on futures contracts Net unrealised gain on forward foreign exchange contracts Tax reclaim Other assets 7,042,433 – – – – 5,724,955 – – 419,203,481 1,720,074 – – – 4,140,213 – 10,351,394 – – Total assets Assets Securities at cost 8QUHDOLVHGJDLQVORVVHV FDC SICAV Monétaire EUR - Actif 1 EUR FDC SICAV Monétaire EUR - Actif 2 EUR Combined 1,128,927,198 399,933 307,859,514 1,311,827,990 8,341,483 – – – – 14,285,288 – 1,129,327,131 1,495,471 – 82,097 – – – 307,589,285 237,412 – – – – 1,142,485 – – 122,032,452 82,097 4,290,053 75,072,252 – – – – – – – – – – 979 487,732,520 435,369,554 1,371,970,286 1,168,880,690 308,969,182 10,508,628,908 EUR Liabilities 3D\DEOHUHVXOWLQJIURPSXUFKDVHVRIVHFXULWLHV %DQNRYHUGUDIW Net unrealised loss on futures contracts Net unrealised loss on forward foreign exchange contracts Accrued expenses 2WKHUSD\DEOHV – – – – – 43,010,584 – – – – – – – – 1,053 – 412 – 187,957 435 – 503 – 213,094 412 – 44,177 412 485,382 3,572,775 Total liabilities 187,026 804,523 43,205,923 213,506 44,589 49,720,443 487,545,494 434,565,031 1,328,764,363 1,168,667,184 308,924,593 10,458,908,465 Total Net Asset Value 3OHDVHVHHQRWH 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 9 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Statement of Operations and Changes in Net Assets for the year/period ended 31 December 2012 FDC SICAV Actions Monde - Actif 1 EUR Net assets at the beginning of the year/period Income Dividends, net Interest on securities ,QWHUHVWRQEDQNDFFRXQWV FDC SICAV FDC SICAV Actions Actions Monde - Actif 2 Monde - Actif 3* EUR EUR FDC SICAV FDC SICAV FDC SICAV Actions Actions Actions Monde - Indexé EMMA - Actif 1* EMMA - Actif 2* EUR EUR EUR 606,736,667 616,289,990 – 1,338,645,620 – – 17,447,445 – – 17,577,103 – – – – – 304 791,334 – 17,447,445 17,577,103 1,376,054 39,502,474 496,967 792,024 Expenses Management fees Custodian & administration fees 3URIHVVLRQDOIHHV Other charges 171,194 21,712 29,930 33,097 29,077 253,922 29,914 5,301 11,325 519,933 371,222 73,105 41,513 5,572 12,530 332,287 5,572 12,087 Total Expenses 2,784,711 2,105,742 300,462 1,004,727 235,622 378,614 14,662,734 15,471,361 1,075,592 38,497,747 261,345 413,410 – 38,334,889 Total Income Net operational income 1HWSUR¿WORVVRQ 1HWUHDOLVHGJDLQORVVRQVDOHVRIVHFXULWLHV 1HWUHDOLVHGJDLQORVVRQIXWXUHVFRQWUDFWV 1HWUHDOLVHGJDLQORVVRQIRUZDUGH[FKDQJH contracts 1HWUHDOLVHGJDLQORVVRQIRUHLJQH[FKDQJH Net realised loss on swap contracts 9DULDWLRQRIXQUHDOLVHGFDSLWDOJDLQORVVRQ 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQVHFXULWLHV 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQIXWXUH contracts 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQIRUZDUG foreign exchange contracts 3,230,049 2,402 – 30,347 – – – – – 244,380 – 55,332 – – 15,828,279 – – – – 157,712,989 – – – – Capital gain/(loss) on investments 67,878,224 54,054,853 4,162,019 160,810,671 8,037,164 5,800,392 Increase of net assets resulting from operations 82,540,958 69,526,214 5,237,611 199,308,418 8,298,509 6,213,802 Capital Movements Subscriptions Redemptions – 150,000,000 – 150,000,000 400,000,000 – – – 150,000,000 – 150,000,000 – Net assets at the end of the year/period 539,277,625 535,816,204 405,237,611 1,537,954,038 158,298,509 156,213,802 3OHDVHVHHQRWH 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 10 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Statement of Operations and Changes in Net Assets for the year/period ended 31 December 2012 FRQWLQXHG FDC SICAV Actions EMMA - Indexé EUR FDC SICAV Obligations EUR - Actif 1 EUR FDC SICAV Obligations EUR - Actif 2 EUR FDC SICAV Obligations EUR - Actif 3 EUR FDC SICAV Obligations EUR - Indexé EUR 475,327,927 439,513,501 446,270,065 437,133,435 305,566,126 428,897,042 13,175,872 37 – – – – – 20,587,011 – – 24,010,350 140 – 2,430 13,194,455 19,775,462 19,843,662 20,587,011 24,010,490 11,958,759 Expenses Management fees Custodian & administration fees 3URIHVVLRQDOIHHV Other charges 332,852 13,977 453,780 30,892 31,492 189,478 27,478 934,189 125,091 Total Expenses 837,177 651,575 760,709 841,409 421,695 1,093,382 12,357,278 19,123,887 19,082,953 19,745,602 23,588,795 10,865,377 – – – – – – – Net assets at the beginning of the year/period Income Dividends, net Interest on securities ,QWHUHVWRQEDQNDFFRXQWV Total Income Net operational income 1HWSUR¿WORVVRQ 1HWUHDOLVHGJDLQORVVRQVDOHVRIVHFXULWLHV 1HWUHDOLVHGJDLQORVVRQIXWXUHVFRQWUDFWV 1HWUHDOLVHGJDLQORVVRQIRUZDUGH[FKDQJH contracts 1HWUHDOLVHGJDLQORVVRQIRUHLJQH[FKDQJH Net realised loss on swap contracts 422,208 772,713 – – FDC SICAV Obligations Monde - Actif 1 EUR 39,997,792 – 11 – – 9DULDWLRQRIXQUHDOLVHGFDSLWDOJDLQORVVRQ 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQVHFXULWLHV 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQIXWXUH contracts 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQIRUZDUG foreign exchange contracts – 1,952,975 – – – – – – Capital gain/(loss) on investments 54,053,336 40,244,082 36,790,357 41,438,305 42,515,342 10,473,869 Increase of net assets resulting from operations 66,410,614 59,367,969 55,873,310 61,183,907 66,104,137 21,339,246 Capital Movements Subscriptions Redemptions – 200,000,000 100,000,000 – 100,000,000 – 100,000,000 – 450,000,000 – 205,000,000 Net assets at the end of the year/period 341,738,541 598,881,470 602,143,375 598,317,342 821,670,263 434,893,020 3OHDVHVHHQRWH 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 11 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Statement of Operations and Changes in Net Assets for the year/period ended 31 December 2012 FRQWLQXHG FDC SICAV FDC SICAV Obligations Obligations Monde - Actif 2 Monde - Actif 3* EUR EUR Net assets at the beginning of the year/period Income Dividends, net Interest on securities ,QWHUHVWRQEDQNDFFRXQWV FDC SICAV Obligations Monde - Indexé EUR FDC SICAV Monétaire EUR - Actif 1 EUR FDC SICAV Monétaire EUR - Actif 2 EUR Combined EUR 437,486,862 – 1,259,105,417 1,897,793,907 454,789,913 9,143,556,472 – 23,918 – 2,927,424 – 31,997 – – 5,159,749 – 90,240,478 444,243 16,561,202 2,929,520 41,618,521 13,932,237 5,159,749 266,763,135 Expenses Management fees Custodian & administration fees 3URIHVVLRQDOIHHV Other charges 135,201 25,473 239,017 5,281 14,385 304,540 28,085 842,051 373,504 130,840 27,333 212,992 437,785 Total Expenses 830,129 299,847 987,735 1,246,596 267,211 15,047,343 15,731,073 2,629,673 40,630,786 12,685,641 4,892,538 251,715,792 20,250,535 132,473 – – – – 7,194,292 – – – – – Total Income Net operational income 1HWSUR¿WORVVRQ 1HWUHDOLVHGJDLQORVVRQVDOHVRIVHFXULWLHV 1HWUHDOLVHGJDLQORVVRQIXWXUHVFRQWUDFWV 1HWUHDOLVHGJDLQORVVRQIRUZDUGH[FKDQJH contracts 1HWUHDOLVHGJDLQORVVRQIRUHLJQH[FKDQJH Net realised loss on swap contracts 9DULDWLRQRIXQUHDOLVHGFDSLWDOJDLQORVVRQ 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQVHFXULWLHV 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQIXWXUH contracts 1HWFKDQJHLQXQUHDOLVHGJDLQORVVRQIRUZDUG foreign exchange contracts – – 22,997,727 Capital gain/(loss) on investments 34,327,559 1,592,090 29,028,160 (1,812,364) Increase of net assets resulting from operations 50,058,632 4,221,763 69,658,946 10,873,277 4,134,680 840,351,993 – – – – – – 740,000,000 – 150,000,000 487,545,494 434,565,031 1,328,764,363 1,168,667,184 308,924,593 10,458,908,465 Capital Movements Subscriptions Redemptions Net assets at the end of the year/period 3OHDVHVHHQRWH 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 12 – – 3,058,999 – – (757,858) 588,636,201 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Statement of Share Statistics as of 31 December 2012 FDC SICAV Actions Européennes - Actif 1* EUR FDC SICAV Actions Monde - Actif 1 EUR FDC SICAV Actions Monde - Actif 2 EUR FDC SICAV Actions Monde - Actif 3** EUR FDC SICAV Actions Monde - Indexé EUR FDC SICAV Actions EMMA - Actif 1** EUR Net assets as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 – – 27,782,984 530,827,107 – – 1,537,954,038 158,298,509 – – Net asset value per share as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 – – 80.01 85.18 90.47 95.71 85.89 85.08 101.92 – – 91.95 93.85 – – Shares outstanding as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 – – 347,227.14 5,559,998.00 5,598,549.81 3,975,895.25 – – – – FDC SICAV FDC SICAV Actions EMMA - Obligations EUR - Indexé Actif 1 EUR EUR FDC SICAV Obligations EUR - Actif 2 EUR FDC SICAV Obligations EUR - Actif 3 EUR FDC SICAV Obligations EUR - Indexé EUR FDC SICAV Actions EMMA - Actif 2** EUR Net assets as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 – – 341,738,541 475,327,927 598,881,470 439,513,501 425,724,418 437,289,204 598,317,342 437,133,435 294,902,431 Net asset value per share as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 103.43 – – 111.73 115.45 133.73 120.33 135.70 122.93 134.04 120.22 117.74 113.18 102.30 98.73 Shares outstanding as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 1,510,305.11 – – 4,912,905.08 4,437,290.95 FDC SICAV Monétaire EUR - Actif 1 EUR FDC SICAV Monétaire EUR - Actif 2 EUR FDC SICAV FDC SICAV FDC SICAV FDC SICAV Obligations Monde - Obligations Monde - Obligations Monde - Obligations Monde - Actif 1 Actif 2 Actif 3** Indexé EUR EUR EUR EUR Net assets as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 434,893,020 428,897,042 412,741,955 487,545,494 428,737,329 – – 1,259,105,417 1,897,793,907 308,924,593 454,789,913 Net asset value per share as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 135.22 128.77 123.92 151.71 133.41 101.82 – – 105.77 99.80 110.84 110.14 108.83 109.33 108.19 Shares outstanding as of 31 December 2012 as of 31 December 2011 as of 31 December 2010 – – 10,543,952.27 17,230,892.02 15,732,287.12 4,159,801.10 &ORVHGVLQFH-DQXDU\ 3OHDVHVHHQRWH 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 13 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012 1. Organisation )RQGVGH&RPSHQVDWLRQGHOD6pFXULWp6RFLDOH6,&$9),6WKH³&RPSDQ\´ZDVLQFRUSRUDWHGRQ-XO\XQGHUWKH ODZVRIWKH*UDQG'XFK\RI/X[HPERXUJDVD³6RFLpWpG¶,QYHVWLVVHPHQWj&DSLWDO9DULDEOH´³6,&$9´ZLWKPXOWLSOH Sub-Funds for an unlimited period. 7KH&RPSDQ\KDVEHHQFUHDWHGXQGHUWKHODZRI)HEUXDU\RQ6SHFLDOL]HG,QYHVWPHQW)XQGVDVDPHQGHGE\WKH ODZRI0DUFKE\the Fonds de Compensation commun au régime général de pension, a public institution created E\WKHPRGL¿HGODZRI0D\IRUWKHDGPLQLVWUDWLRQRIJHQHUDOSHQVLRQDVVHWV 7KH&RPSDQ\¶VDUWLFOHVRILQFRUSRUDWLRQKDYHEHHQGHSRVLWHGZLWKWKH5HJLVWUDUDQGKDYHEHHQSXEOLVKHGLQWKHRecueil des Sociétés et Associations (“Mémorial C – No 1623”)RQ$XJXVW7KH&RPSDQ\KDVEHHQUHJLVWHUHGXQGHUQXPEHU B129879 at the Luxembourg Commercial Register. $VRI'HFHPEHUWKH&RPSDQ\KDVLVVXHGVKDUHVLQWKHIROORZLQJVHYHQWHHQ6XE)XQGV Equity Sub-Funds FDC SICAV Actions Monde - Actif 1 FDC SICAV Actions Monde - Actif 2 FDC SICAV Actions Monde - Actif 3* FDC SICAV Actions Monde - Indexé FDC SICAV Actions EMMA - Actif 1* FDC SICAV Actions EMMA - Actif 2* FDC SICAV Actions EMMA - Indexé Bond Sub-Funds )'&6,&$92EOLJDWLRQV(85$FWLI )'&6,&$92EOLJDWLRQV(85$FWLI )'&6,&$92EOLJDWLRQV(85$FWLI )'&6,&$92EOLJDWLRQV(85,QGH[p FDC SICAV Obligations Monde - Actif 1 FDC SICAV Obligations Monde - Actif 2 FDC SICAV Obligations Monde - Actif 3* FDC SICAV Obligations Monde - Indexé Money Market Sub-Funds )'&6,&$90RQpWDLUH(85$FWLI )'&6,&$90RQpWDLUH(85$FWLI 7KH&RPSDQ\PD\FUHDWHIXUWKHU6XE)XQGVDWWKHGLVFUHWLRQRIWKH%RDUGRI'LUHFWRUV7KH&RPSDQ\¶VVKDUHVDUHOLPLWHG to one unique shareholder, the Fonds de Compensation commun au régime général de pension. 7KH&RPSDQ\DVDZKROHFRQVWLWXWHVDVLQJOHOHJDOHQWLW\,QUHODWLRQWRWKLUGSDUWLHVWKHVHJUHJDWLRQRIOLDELOLWLHVRIWKH different Sub-Funds is ensured. 6LJQL¿FDQW$FFRXQWLQJ3ROLFLHV a) General 7KHVH¿QDQFLDOVWDWHPHQWVDUHSUHSDUHGLQDFFRUGDQFHZLWKJHQHUDOO\DFFHSWHGDFFRXQWLQJSULQFLSOHVLQWKH*UDQG'XFK\ of Luxembourg for Investment Funds. b) Foreign currency translation 7KH¿QDQFLDOVWDWHPHQWVDQGDFFRXQWLQJUHFRUGVRIHDFK6XE)XQGDUHH[SUHVVHGLQ(857UDQVDFWLRQVLQFXUUHQFLHVRWKHU WKDQWKH6XE)XQGV¶FXUUHQF\DUHWUDQVODWHGLQWR(85EDVHGRQWKHH[FKDQJHUDWHLQHIIHFWDWWKHGDWHRIWKHWUDQVDFWLRQ Assets and liabilities denominated in other currencies are translated at the rate of exchange at each balance sheet date. $Q\UHVXOWLQJJDLQVRUORVVHVDUHUHFRJQLVHGLQWKH6WDWHPHQWRI2SHUDWLRQVDQG&KDQJHVLQ1HW$VVHWVXQGHUWKHKHDGLQJ ³1HWUHDOLVHGJDLQORVVRQVDOHVRIVHFXULWLHV´ 3OHDVHVHHQRWH 14 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6LJQL¿FDQW$FFRXQWLQJ3ROLFLHV(continued) Exchange rates used as of 31 December 2012 are as follows: &XUUHQF\ Exchange Rate &XUUHQF\ Exchange Rate $8' BRL CAD CHF &/3 CNY &23 CZK DKK DEM (*3 *%3 HKD +8) IDR ILS INR -3< 1.312730 8.214023 1.955830 8.390772 0.811073 10.218729 291.214957 4.919091 72.233180 113.995488 KRW MAD MXN MYR NOK NZD 3(1 3+3 3/1 58% SEK SGD THB TRY TWD 86' ZAR 1,411.442275 17.120744 7.337244 4.080319 40.274935 2.352950 38.285515 1.318400 (85 c) Investment Valuation /LVWHGVHFXULWLHVDQGVHFXULWLHVGHDOWLQRQDQRWKHUUHJXODWHGPDUNHWDUHYDOXHGRQWKHEDVLVRIWKHLUODVWDYDLODEOHPDUNHWSULFH 6HFXULWLHVZKLFKDUHQHLWKHUOLVWHGRQDQ\VWRFNH[FKDQJHQRUGHDOWLQRQDQRWKHUUHJXODWHGPDUNHWDUHYDOXHGDWWKHLUODVW DYDLODEOHPDUNHWSULFHLIWKHUHLVQRVXFKPDUNHWSULFHWKH\DUHYDOXHGLQJRRGIDLWKRQWKHEDVLVRIWKHLUUHDVRQDEO\IRUH- seeable sale prices. 7KHYDOXHRIDQ\FDVKDWKDQGRURQGHSRVLWELOOVDQGDFFRXQWVUHFHLYDEOHSUHSDLGH[SHQVHVGLYLGHQGVDQGLQWHUHVWVGHFODUHG RUGXHEXWQRW\HWFROOHFWHGZLOOEHGHHPHGWREHWKHIXOOYDOXHWKHUHRIXQOHVVLWLVXQOLNHO\WKDWVXFKYDOXHVDUHUHFHLYHGLQ IXOOLQZKLFKFDVHWKHYDOXHWKHUHRIZLOOEHGHWHUPLQHGE\GHGXFWLQJVXFKDPRXQWWRUHÀHFWWKHWUXHYDOXHWKHUHRI 0RQH\PDUNHWLQVWUXPHQWVZKLFKDUHQHLWKHUOLVWHGRQDQ\VWRFNH[FKDQJHQRUGHDOWLQRQDQRWKHUUHJXODWHGDQGPDWXULQJ ZLWKLQRQH\HDUIURPWKHGDWHRISXUFKDVHDUHYDOXHGDWDPRUWLVHGFRVWZKLFKDSSUR[LPDWHVPDUNHWYDOXH 6KDUHVRUXQLWVRIXQGHUO\LQJ8&,76DUHYDOXHGRQWKHEDVLVRIWKHLUODVWDYDLODEOH1$9SHUVKDUHRUXQLW $Q\GLIIHUHQFHDULVLQJEHWZHHQWKHFRVWRIVHFXULWLHVKHOGDWWKHEDODQFHVKHHWGDWHDQGWKHLUPDUNHWYDOXHDWWKDWGDWHLV UHFRJQLVHGLQWKH6WDWHPHQWRI1HW$VVHWVXQGHUWKHKHDGLQJ³8QUHDOLVHGJDLQVORVVHV´ 7KHQHWPRYHPHQWLQWKHEDODQFHRIWKHXQUHDOLVHGDSSUHFLDWLRQRILQYHVWPHQWVDWWKHEHJLQQLQJDQGDWWKHHQGRIWKH\HDU SHULRGLVUHFRJQLVHGLQWKH6WDWHPHQWRI2SHUDWLRQVDQG&KDQJHVLQ1HW$VVHWVXQGHUWKHKHDGLQJ³1HWFKDQJHLQXQUHDOLVHG JDLQORVVRQVHFXULWLHV´6HFXULW\WUDQVDFWLRQVDUHDFFRXQWHGIRURQWKHGDWHWKHVHFXULWLHVDUHSXUFKDVHGRUVROG3XUFKDVHV RIVHFXULWLHVDUHUHFRUGHGDWFRVWLQFOXGLQJEURNHUDJHFRPPLVVLRQV $VRI'HFHPEHUQRQHRIWKH6XE)XQGVRZQFROODWHUDOL]HG¿QDQFLDOLQVWUXPHQWV$%60%6&'2 d) Interest Income ,QWHUHVWLQFRPHLVUHFRJQLVHGRQDQDFFUXDOEDVLVQHWRIDQ\XQUHFRYHUDEOHZLWKKROGLQJWD[ e) Dividend Income 'LYLGHQGVDUHDFFRXQWHGIRURQDQH[GLYLGHQGEDVLVQHWRIDQ\XQUHFRYHUDEOHZLWKKROGLQJWD[ f) Realised Gains and Losses 5HDOLVHGJDLQVDQGORVVHVFRPSULVHWKHSUR¿WRUORVVDULVLQJRQWKHGLVSRVDORIVHFXULWLHVGXULQJWKH\HDUSHULRGDQGGLI- IHUHQFHVDULVLQJRQWKHUHYDOXDWLRQRIRWKHUDVVHWVDQGOLDELOLWLHVGHQRPLQDWHGLQIRUHLJQFXUUHQF\ Realised gains or losses are determined on the basis of the weighted average cost of the securities sold. 15 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6LJQL¿FDQW$FFRXQWLQJ3ROLFLHV(continued) g) Derivatives Valuation Forward foreign exchange contracts 2XWVWDQGLQJIRUZDUGIRUHLJQH[FKDQJHFRQWUDFWVDUHYDOXHGDWWKHFORVLQJGDWHE\UHIHUHQFHWRWKHIRUZDUGH[FKDQJH rate applicable to the outstanding life of the contract. The unrealised appreciation or depreciation on open forward foreign exchange contracts is calculated as the difference EHWZHHQWKHFRQWUDFWUDWHDQGWKHUDWHWRFORVHRXWWKHFRQWUDFWRQDQ\YDOXDWLRQGD\ The unrealised appreciation or depreciation on such contracts is disclosed in the Statement of Net Assets under the KHDGLQJ³1HWXQUHDOLVHGJDLQRQIRUZDUGIRUHLJQH[FKDQJHFRQWUDFWV´RU³1HWXQUHDOLVHGORVVRQIRUZDUGIRUHLJQ H[FKDQJHFRQWUDFWV´ The realised gain or loss on forward foreign exchange contracts is disclosed in the Statement of Operations and Changes LQ1HW$VVHWVXQGHUWKHKHDGLQJ³1HWUHDOLVHGJDLQORVVRQIRUZDUGIRUHLJQH[FKDQJHFRQWUDFWV´ Futures contracts 2XWVWDQGLQJIXWXUHVFRQWUDFWVDUHYDOXHGDWWKHFORVLQJGDWHDWWKHODVWDYDLODEOHPDUNHWSULFHRIWKHLQVWUXPHQWV The unrealised appreciation or depreciation on futures contracts is included in the Statement of Net Assets under the KHDGLQJ³1HWXQUHDOLVHGJDLQRQIXWXUHVFRQWUDFWV´RU³1HWXQUHDOLVHGORVVRQIXWXUHVFRQWUDFWV´$OOPDUJLQVDUH LQFOXGHGLQ³)XWXUHVPDUJLQV´ The realised gain or loss on futures contracts is disclosed in the Statement of Operations and Changes in Net Assets XQGHUWKHKHDGLQJ³1HWUHDOLVHGJDLQORVVRQIXWXUHVFRQWUDFWV´ Swap contracts 2XWVWDQGLQJVZDSFRQWUDFWVLIDQ\DUHYDOXHGDWWKHFORVLQJGDWHDWWKHODVWDYDLODEOHPDUNHWSULFHRIWKHLQVWUXPHQWV The unrealised appreciation or depreciation on swap contracts is included in the Statement of Net Assets under the KHDGLQJ³1HWXQUHDOLVHGJDLQRQVZDSFRQWUDFWV´RU³1HWXQUHDOLVHGORVVRQVZDSFRQWUDFWV´ The realised gain or loss on swap contracts is disclosed in the Statement of Operations and Changes in Net Assets XQGHUWKHKHDGLQJ³1HWUHDOLVHGJDLQORVVRQVZDSFRQWUDFWV´ h) Combined Figures The combined Statement of Net Assets and the combined Statement of Operations and Changes in Net Assets are H[SUHVVHGLQ(85 3. Custody Fees 7KH&XVWRGLDQ%DQNFKDUJHVDFXVWRG\IHHWRHDFK6XE)XQGEDVHGRQWKHDYHUDJHQHWDVVHWV 4. Management Fees $PDQDJHPHQWIHHLVFKDUJHGDQGLVDOORFDWHGWRWKH,QYHVWPHQW0DQDJHUV7KHIHHLVDFFUXHGGDLO\DQGLVSDLGTXDUWHUO\ LQDUUHDUVDWWKHDSSOLFDEOHDYHUDJHDQQXDOUDWHVVHWRXWEHORZFDOFXODWHGRQWKHEDVLVRIWKHDYHUDJHGDLO\QHWDVVHWV attributable to each class of each Sub-Fund during the relevant month. Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 4. Management Fees (continued) $YHUDJHDSSOLFDEOHUDWHVIRUWKH\HDUSHULRGHQGHG'HFHPEHUDUHDVIROORZV Sub-Funds % FDC SICAV Actions Monde - Actif 1 FDC SICAV Actions Monde - Actif 2 FDC SICAV Actions Monde - Actif 3* FDC SICAV Actions Monde - Indexé FDC SICAV Actions EMMA - Actif 1* FDC SICAV Actions EMMA - Actif 2* FDC SICAV Actions EMMA - Indexé FDC SICAV Obligations EUR - Actif 1 FDC SICAV Obligations EUR - Actif 2 FDC SICAV Obligations EUR - Actif 3 FDC SICAV Obligations EUR - Indexé FDC SICAV Obligations Monde - Actif 1 FDC SICAV Obligations Monde - Actif 2 FDC SICAV Obligations Monde - Actif 3* FDC SICAV Obligations Monde - Indexé FDC SICAV Monétaire EUR - Actif 1 FDC SICAV Monétaire EUR - Actif 2 0.39% 0.28% 0.34% 0.03% 0.53% 1.02% 0.09% 0.08% 0.10% 0.12% 0.03% 0.22% 0.14% 0.21% 0.05% 0.05% 0.04% 3OHDVHVHHQRWH7KHUDWHLVDQQXDOLVHGIRUWKHQHZ6XE)XQGV 5. Taxation 7KH&RPSDQ\LVQRWOLDEOHWRDQ\WD[RQLQFRPHRUFDSLWDOJDLQVDQGLVH[HPSWIURPWKHtaxe d’abonnement as provided E\WKHDUWLFOHSDUDJUDSKRIWKHCode de la Sécurité Sociale in Luxembourg. 6. Forward Foreign Exchange Contracts As of 31 December 2012, the Sub-Funds have the following outstanding forward foreign exchange contracts: FDC SICAV Actions Monde - Actif 1 Maturity Date 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 07-Feb-13 Currency $8' CAD CHF CHF (85 (85 (85 (85 (85 (85 (85 (85 (85 (85 *%3 *%3 *%3 HKD -3< NOK SEK SGD Amount purchased Currency 34,771,347 7,035,180 11,279,554 14,770,441 4,583,807 78,082,575 25,011,355 2,487,799 2,015,281,814 22,051,035 (85 (85 (85 (85 $8' CAD CHF *%3 *%3 -3< -3< -3< 86' 86' (85 (85 86' (85 (85 (85 (85 (85 17 Amount sold 21,009,905 4,598,503 50,532,932 9,108,579 390,538,280 5,739,439 30,931,334 3,938,823 19,043,244 2,528,723 4,324,518 Unrealised Gain/(loss) (in Sub-fund Ccy) 434 133,422 10,294 790,833 54,385 323,447 992,949 108,594 2,183 1,839 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6. Forward Foreign Exchange Contracts (continued) Maturity Date 07-Feb-13 07-Feb-13 Currency 86' 86' Amount purchased Currency 19,000,248 (85 (85 Amount sold 14,823,203 Total Unrealised Loss on Forward Foreign Currency Contracts, Net Unrealised Gain/(loss) (in Sub-fund Ccy) (243,158) FDC SICAV Actions Monde - Actif 3 Maturity Date 10-Jan-13 10-Jan-13 Currency 86' 86' Amount purchased Currency 330,000 540,000 (85 (85 Amount sold 253,481 414,787 Total Unrealised Loss on Forward Foreign Currency Contracts Unrealised Gain/(loss) (in Sub-fund Ccy) (8,435) FDC SICAV Actions EMMA - Actif 2 Maturity Date 03-Jan-13 03-Jan-13 03-Jan-13 03-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 02-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 03-Jan-13 03-Jan-13 03-Jan-13 03-Jan-13 04-Feb-13 04-Feb-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 Currency BRL BRL BRL BRL &/3 &/3 &23 (85 (85 (85 (85 (85 (85 (85 (85 (85 (85 (85 INR INR MXN MXN MYR MYR 3(1 86' 86' 86' 86' 86' 86' 86' 86' 86' 86' Amount purchased Currency 10,130,000 3,785,000 531,992,000 3,944,482,000 913,715 230,713 719,412 520,943 957,803 132,912,000 22,405,000 55,123,000 10,839,000 5,380,000 1,532,000 807,858 4,849,442 804,873 928,457 5,388,441 1,147,259 86' 86' 86' 86' 86' 86' 86' IDR MXN THB THB THB TRY TRY TRY 86' 86' 86' 86' 86' (85 (85 86' 86' 86' BRL BRL BRL BRL BRL BRL CNY CNY (85 IDR 18 Amount sold 4,957,181 1,852,214 825,055 7,788,000 9,322,000 1,179,000 4,038,000 1,272,000 2,231,000 2,433,925 1,350,097 3,274,501 3,551,442 1,754,901 593,983 3,785,000 10,130,000 5,054,000 11,189,217,000 Unrealised Gain/(loss) (in Sub-fund Ccy) 11,721 452 11,034 11,577 7,172 774 14,402 3,739 4,252 13,394 1,874 1,433 4,598 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6. Forward Foreign Exchange Contracts (continued) Maturity Date 15-Jan-13 15-Jan-13 15-Jan-13 Currency 86' 86' ZAR Amount purchased Currency 17,398,000 IDR INR (85 Amount sold Total Unrealised Loss on Forward Foreign Currency Contracts, Net Unrealised Gain/(loss) (in Sub-fund Ccy) 13,140 (233,789) FDC SICAV Obligations Monde - Actif 1 Maturity Date 20-Mar-13 20-Mar-13 20-Mar-13 21-Mar-13 21-Mar-13 20-Mar-13 20-Mar-13 Currency (85 (85 (85 (85 (85 (85 (85 Amount purchased Currency 13,889,429 80,284,278 1,913,717 $8' CAD *%3 -3< -3< 86' 86' Amount sold 8,500,000 17,850,000 22,000,000 120,000,000 222,500,000 2,540,000 Total Unrealised Gain on Forward Foreign Currency Contracts, Net Unrealised Gain/(loss) (in Sub-fund Ccy) 325,024 217,852 4,172,892 2,383,559 7,193,726 FDC SICAV Obligations Monde - Actif 2 Maturity Date Currency Amount purchased Currency Amount sold 22-Jan-13 22-Jan-13 22-Jan-13 22-Jan-13 (85 (85 (85 (85 14,485,802 29,811,443 213,200,000 $8' CAD *%3 86' 10,150,000 18,300,000 24,000,000 274,822,049 22-Jan-13 22-Jan-13 22-Jan-13 22-Jan-13 22-Jan-13 22-Jan-13 22-Jan-13 22-Jan-13 22-Jan-13 *%3 KRW KRW MXN MYR 3/1 SGD 86' 86' 1,800,000 900,000,000 37,050,000,000 74,250,000 35,000,000 52,433,020 86' (85 86' 86' 86' (85 (85 $8' -3< 2,881,278 33,117,318 4,100,000,000 Total Unrealised Gain on Forward Foreign Currency Contracts, Net Unrealised Gain/(loss) (in Sub-fund Ccy) 22,338 228,839 4,791,341 1,201,800 10,351,394 FDC SICAV Obligations Monde - Actif 3 Maturity Date 04-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 Currency CAD CAD DKK (85 (85 (85 (85 (85 (85 (85 (85 (85 (85 Amount purchased Currency 808,814 3,880,000 80,437,000 80,425,000 80,437,000 3,000 305,000 80,433,000 253,000 390,000 86' 86' 86' 86' 86' 86' 86' 86' 86' 86' 86' 86' 86' 19 Amount sold 104,104,381 104,103,889 810,417 104,103,174 3,844 403,143 327,549 507,445 Unrealised Gain/(loss) (in Sub-fund Ccy) 1,485,131 1,473,503 13,229 85 1,529,898 4,590 5,158 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6. Forward Foreign Exchange Contracts (continued) Maturity Date Currency Amount purchased Currency Amount sold Unrealised Gain/(loss) (in Sub-fund Ccy) 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 15-Jan-13 (85 (85 (85 SEK 86' 86' 86' 86' 1,202,000 904,000 540,000 22,074,000 5,223,208 86' 86' 86' 86' $8' CAD CAD CHF 1,590,258 3,344,292 10,755,000 809,000 4,905,000 15-Jan-13 86' DKK 3,240,000 15-Jan-13 86' 218,301 DKK 1,270,000 15-Jan-13 86' 707,033 (85 540,000 15-Jan-13 86' 1,725,105 (85 1,300,000 8,308 15-Jan-13 86' (85 1,527,000 15-Jan-13 86' 1,021,077 (85 797,000 15-Jan-13 86' 278,187 (85 210,000 15-Jan-13 86' *%3 15-Jan-13 86' *%3 15-Jan-13 86' 1,752,872 *%3 1,094,000 15-Jan-13 86' *%3 587,000 15-Jan-13 86' -3< 7,558,501,000 15-Jan-13 86' 4,795,521 KRW 5,205,538,000 15-Jan-13 86' MXN 27,357,000 15-Jan-13 86' 1,128,812 MYR 15-Jan-13 86' NOK 1,542,000 15-Jan-13 86' 1,255,497 3/1 31-Jan-13 86' 923,120 3/1 2,970,000 31-Jan-13 86' 445,114 3/1 1,425,000 15-Jan-13 86' SEK 15-Jan-13 86' 4,174,585 SGD 5,118,000 15-Jan-13 86' THB 53,751,000 15-Jan-13 86' 1,511,332 ZAR 13,597,000 Total Unrealised Gain on Forward Foreign Currency Contracts, Net 7,822 9,312 975 3,893,010 8,716,591 FDC SICAV Obligations Monde - Indexé Maturity Date Currency Amount purchased Currency Amount sold Unrealised Gain/(loss) (in Sub-fund Ccy) 08-Jan-13 $8' (85 35,921 08-Jan-13 $8' 8,890,000 (85 08-Jan-13 $8' (85 38,944 08-Jan-13 CAD (85 502,714 08-Jan-13 CAD (85 08-Jan-13 CAD (85 517,948 08-Jan-13 CAD 18,250,000 (85 13,870,922 08-Jan-13 CAD 18,250,000 (85 08-Jan-13 CAD 18,805,000 (85 08-Jan-13 CHF 1,025,000 (85 848,033 1,394 08-Jan-13 CHF 995,000 (85 823,399 08-Jan-13 CHF 990,000 (85 819,311 1,111 20 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6. Forward Foreign Exchange Contracts (continued) Maturity Date 08-Jan-13 Currency Amount purchased CZK 12,540,000 Currency Amount sold Unrealised Gain/(loss) (in Sub-fund Ccy) (85 500,219 08-Jan-13 CZK 12,540,000 (85 500,813 08-Jan-13 CZK 12,920,000 (85 08-Jan-13 DKK 12,455,000 (85 08-Jan-13 DKK 12,835,000 (85 08-Jan-13 DKK (85 08-Jan-13 (85 21,104,095 $8' 05-Feb-13 (85 $8' 05-Feb-13 (85 $8' 05-Feb-13 (85 $8' 8,890,000 08-Jan-13 (85 43,057,809 CAD 55,305,000 05-Feb-13 (85 228,318 CAD 300,000 37 05-Feb-13 (85 CAD 78 05-Feb-13 (85 14,280,941 CAD 18,805,000 05-Feb-13 (85 13,852,003 CAD 18,250,000 05-Feb-13 (85 517,520 CAD 05-Feb-13 (85 502,304 CAD 05-Feb-13 (85 CAD 18,250,000 08-Jan-13 (85 2,501,827 CHF 3,010,000 05-Feb-13 (85 823,431 CHF 995,000 05-Feb-13 (85 848,278 CHF 1,025,000 05-Feb-13 (85 819,443 CHF 990,000 08-Jan-13 (85 1,504,223 CZK 38,000,000 05-Feb-13 (85 CZK 12,540,000 05-Feb-13 (85 515,475 CZK 12,920,000 05-Feb-13 (85 CZK 12,540,000 954 08-Jan-13 (85 DKK 37,750,000 05-Feb-13 (85 1,720,890 DKK 12,835,000 150 05-Feb-13 (85 DKK 05-Feb-13 (85 DKK 12,455,000 121 08-Jan-13 (85 91,138,357 *%3 341,122 05-Feb-13 (85 *%3 25,040,000 05-Feb-13 (85 893,547 *%3 725,000 05-Feb-13 (85 893,545 *%3 725,000 05-Feb-13 (85 *%3 24,305,000 05-Feb-13 (85 924,331 *%3 750,000 05-Feb-13 (85 *%3 24,305,000 05-Feb-13 (85 739,438 *%3 08-Jan-13 (85 1,707,487 ILS 8,500,000 05-Feb-13 (85 ILS 2,805,000 05-Feb-13 (85 584,484 ILS 2,890,000 05-Feb-13 (85 ILS 2,805,000 08-Jan-13 (85 304,553,103 -3< 32,172,000,000 22,329,751 08-Jan-13 (85 -3< 175,000,000 08-Jan-13 (85 1,025,583 -3< 110,000,000 08-Jan-13 (85 -3< 175,000,000 21 938,087 84 7,411 54 51 27 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6. Forward Foreign Exchange Contracts (continued) Maturity Date Currency Amount purchased Currency Amount sold Unrealised Gain/(loss) (in Sub-fund Ccy) 05-Feb-13 (85 1,759,594 -3< 05-Feb-13 (85 1,707,898 -3< 194,700,000 05-Feb-13 (85 -3< 11,094,880,000 05-Feb-13 (85 1,707,954 -3< 194,700,000 35 05-Feb-13 (85 -3< 230,857 05-Feb-13 (85 -3< 324,212 08-Jan-13 (85 MXN 78,350,000 05-Feb-13 (85 1,495,358 MXN 25,855,000 05-Feb-13 (85 1,497,018 MXN 25,855,000 05-Feb-13 (85 1,543,027 MXN 15-Jan-13 (85 2,543,958 MYR 10,200,000 13,591 08-Jan-13 (85 1,922,504 NOK 14,150,000 05-Feb-13 (85 NOK 4,810,000 05-Feb-13 (85 NOK 05-Feb-13 (85 NOK 08-Jan-13 (85 1,910,598 NZD 3,010,000 05-Feb-13 (85 NZD 990,000 05-Feb-13 (85 NZD 1,025,000 05-Feb-13 (85 NZD 995,000 08-Jan-13 (85 3,445,873 SEK 29,730,000 05-Feb-13 (85 1,137,227 SEK 9,810,000 05-Feb-13 (85 1,138,052 SEK 9,810,000 05-Feb-13 (85 1,173,408 SEK 10,110,000 08-Jan-13 (85 2,389,135 SGD 3,775,000 45,244 05-Feb-13 (85 SGD 1,285,000 05-Feb-13 (85 SGD 1,245,000 05-Feb-13 (85 SGD 1,245,000 08-Jan-13 (85 THB 129,000,000 05-Feb-13 (85 3,178,123 THB 129,000,000 08-Jan-13 (85 2,305,784 86' 3,000,000 30,459 08-Jan-13 (85 86' 05-Feb-13 (85 86' 05-Feb-13 (85 86' 200,795,000 05-Feb-13 (85 151,745,074 86' 200,795,000 08-Jan-13 (85 3,745,337 ZAR 43,050,000 05-Feb-13 (85 1,293,050 ZAR 05-Feb-13 (85 ZAR 14,210,000 05-Feb-13 (85 1,254,249 ZAR 14,205,000 08-Jan-13 *%3 25,040,000 (85 08-Jan-13 *%3 24,305,000 (85 350,808 08-Jan-13 *%3 725,000 (85 893,803 08-Jan-13 *%3 24,305,000 (85 08-Jan-13 *%3 725,000 (85 893,823 08-Jan-13 *%3 750,000 (85 08-Jan-13 ILS 2,805,000 (85 2,205 08-Jan-13 ILS 2,890,000 (85 585,274 2,012 08-Jan-13 ILS 2,805,000 (85 3,417 22 250,209 28,253 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 6. Forward Foreign Exchange Contracts (continued) Maturity Date Currency Amount purchased Currency Amount sold Unrealised Gain/(loss) (in Sub-fund Ccy) 08-Jan-13 -3< (85 08-Jan-13 -3< 11,094,880,000 (85 97,581,157 08-Jan-13 -3< (85 08-Jan-13 -3< 194,700,000 (85 08-Jan-13 -3< 45,000,000 (85 394,754 08-Jan-13 -3< 194,700,000 (85 1,707,972 08-Jan-13 -3< (85 1,759,747 08-Jan-13 MXN 25,855,000 (85 1,501,757 08-Jan-13 MXN 25,855,000 (85 1,500,199 8,812 08-Jan-13 MXN (85 1,547,829 08-Jan-13 NOK (85 3,521 08-Jan-13 NOK 4,810,000 (85 3,507 08-Jan-13 NOK (85 08-Jan-13 NZD 995,000 (85 8,055 08-Jan-13 NZD 1,025,000 (85 8,034 08-Jan-13 NZD 990,000 (85 08-Jan-13 SEK 9,810,000 (85 1,138,318 5,170 08-Jan-13 SEK 10,110,000 (85 1,174,508 3,949 4,334 9 1 7,255 08-Jan-13 SEK 9,810,000 (85 1,139,153 08-Jan-13 SGD 1,245,000 (85 3,159 08-Jan-13 SGD 1,245,000 (85 3,581 08-Jan-13 SGD 1,285,000 (85 794,343 3,513 08-Jan-13 THB 129,000,000 (85 3,184,399 12,590 08-Jan-13 86' 200,795,000 (85 151,724,550 08-Jan-13 86' 200,795,000 (85 151,779,944 08-Jan-13 86' (85 525,188 08-Jan-13 ZAR 14,210,000 (85 08-Jan-13 ZAR (85 1,298,531 8,304 08-Jan-13 ZAR 14,205,000 (85 1,259,580 Total Unrealised Gain on Forward Foreign Currency Contracts, Net 23 8,858 34,042,756 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 7. Futures Contracts As of 31 December 2012, the Sub-Funds have the following outstanding positions on futures contracts: FDC SICAV Actions Monde - Indexé Maturity Date Commitment Trade (in Sub-Fund Ccy Ccy) Long/(Short) Quantity Contract Local Market Price (in trade Ccy) Unrealised Gain/(Loss) (in Sub-Fund Ccy) 15-Mar-13 379 &0(63(0,1,)87 86' 1,420 130,592 15-Mar-13 379 '-(852672;; (85 9,910,850 5,312 Unrealised Gain on Open Futures Contracts 135,904 FDC SICAV Actions EMMA - Indexé Maturity Date 15-Mar-13 Commitment Trade (in Sub-Fund Ccy Ccy) Long/(Short) Quantity Contract 179 MINI MSCI EMERGING MARKETS 86' ,1'(; 7,287,489 Local Market Price (in trade Ccy) 1,074 Unrealised Gain on Open Futures Contracts Unrealised Gain/(Loss) (in Sub-Fund Ccy) 200,956 FDC SICAV Obligations EUR - Actif 1 Maturity Date 07-Mar-13 Commitment Trade (in Sub-Fund Ccy Ccy) Long/(Short) Quantity Contract (852%81')8785( (85 28,108,520 Local Market Price (in trade Ccy) Unrealised Loss on Open Futures Contracts Unrealised Gain/(Loss) (in Sub-Fund Ccy) (235,760) FDC SICAV Obligations EUR - Actif 3 Maturity Date 07-Mar-13 07-Mar-13 07-Mar-13 07-Mar-13 Commitment Trade (in Sub-Fund Ccy Ccy) Long/(Short) Quantity Contract (8;(852%2%/<5 (85 Local Market Price (in trade Ccy) Unrealised Gain/(Loss) (in Sub-Fund Ccy) 48,188,140 128 (85 15,729,120 (85 111 140 (8;%8;/<5'(& (85 137 108 (852%81')8785( (8;(8526&+$7=<5 Unrealised Gain on Open Futures Contracts, Net 271,230 24 Fonds de Compensation de la Sécurité Sociale, SICAV-FIS Notes to the Financial Statements as of 31 December 2012FRQWLQXHG 7. Futures Contracts (continued) FDC SICAV Obligations Monde - Actif 3 Maturity Date 15-Mar-13 Commitment Trade (in Sub-Fund Ccy Ccy) Long/(Short) Quantity Contract $867<5%21')87 15-Mar-13 Local Market Price (in trade Ccy) Unrealised Gain/(Loss) (in Sub-Fund Ccy) $8' 110 7 $8675$/,$<%21')87 $8' 123 08-Mar-13 24 <50,1,-*%)87 -3< 144 07-Mar-13 (852%73)8785( (85 5,423,320 111 07-Mar-13 (8;%8;/<5'(& (85 137 07-Mar-13 (8;(8526&+$7=<5 77 (85 8,535,835 111 07-Mar-13 (852%81')8785( (85 8,738,400 (85 128 8,450 07-Mar-13 (8;(852%2%/<5 07-Mar-13 13 (8522$7)8785( (85 1,770,080 19-Mar-13 &%786/21*%21'<50$5 30 86' 148 9,823,574 119 0DU /,)/21**,/7)8785( &%786<5127(6(3 55 28-Mar-13 19-Mar-13 19-Mar-13 &$1<5%21')87 86<5127()87 28-Mar-13 &%786<5127( *%3 86' 110 CAD 1,032,505 1,325 86' 84,599,704 133 86' 124 Unrealised Gain on Open Futures Contracts, Net 5,055 280,567 8. Changes in the Investment Portfolio &KDQJHVLQWKH,QYHVWPHQW3RUWIROLRGXULQJWKHUHSRUWLQJSHULRGDUHDYDLODEOHWRWKH6KDUHKROGHUDWWKHUHJLVWHUHGRI¿FHV RIWKH&RPSDQ\DQGWKH&XVWRGLDQ%DQN 9. 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On 1 November 2012, the residual 50% of the total net assets of Sub-Fund FDC SICAV Obligations Monde - Actif 1 KDYHRI¿FLDOO\EHHQWDNHQRYHUE\1DWL[LV$VVHW0DQDJHPHQW FDC SICAV Actions Monde – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ CAD Equities First Quantum Minerals Limited 0.95 5,116,794 0.95 7,095,404 7,202,289 1.32 1.34 14,297,693 2.66 2,239,482 0.42 2,239,482 0.42 5,772,384 4,851,312 3,212,313 5,917,583 5,995,287 2,014,321 2,191,794 1.07 0.90 1.20 1.12 1.10 1.11 1.82 0.37 0.30 1.70 0.41 76,214,075 14.12 3,739,944 7,120,052 5,327,510 5,481,305 11,999,020 8,015,383 1.32 1.82 0.99 1.02 1.01 1.57 0.79 0.73 0.97 2.22 0.87 0.83 1.48 88,040,724 16.31 CHF Equities 145,834 Compagnie Financiere Richemont AG Nestle SA - Reg DKK Equities &DUOVEHUJ$6 EUR Equities 55,080 90,837 95,284 84,737 94,088 90,204 317,918 Allianz SE - Reg ASML Holding NV BASF SE %D\HU$* GDF Suez 6DQR¿$YHQWLV Schneider Electric SA Sodexho 6ROYD\6$ 6WRUD(QVR2\M 6XH](QYLURQQHPHQW&RPSDQ\ 8QLOHYHU19 830.\PPHQH2\M 9RONVZDJHQ$*3IG GBP Equities 299,592 271,185 241,802 332,271 201,541 270,529 135,120 191,310 4,209,171 BG Group plc %+3%LOOLWRQSOF British American Tobacco plc Diageo plc Experian plc GlaxoSmithKline plc HSBC Holdings plc Intercontinental Hotels Group plc 3HDUVRQSOF 3UXGHQWLDOSOF 5R\DO'XWFK6KHOOSOF$ SABMiller plc Shire plc Vodafone Group plc HKD Equities 420,000 Hutchison Whampoa Limited 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 27 3,325,071 3,325,071 0.62 FDC SICAV Actions Monde – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity Description Market value % NAV 3,322,328 3,322,328 0.62 2,994,399 5,977,499 8,180,745 3,538,719 4,511,573 7,001,911 4,492,428 3,492,700 1.10 1.52 1.09 0.84 1.30 0.83 49,641,218 9.21 ILS Equities 7HYD3KDUPDFHXWLFDO,QGXVWULHV/LPLWHG JPY Equities 102,200 3,389 1,352,000 382,200 918,000 251,000 984,200 52,850 Canon Inc. 'DLLFKL0XWXDO/LIH,QVXUDQFH&RPSDQ\ Hitachi Limited Japan Tobacco Inc. Marubeni Corp. Mitsubishi Electric Corp. 0LWVXELVKL(VWDWH&RPSDQ\/LPLWHG 1LVVDQ0RWRU&RPSDQ\/LPLWHG Orix Corp. 6RIWEDQN&RUS SEK Equities 7HOHIRQDNWLHERODJHW/0(ULFVVRQ 5,007,815 0.93 5,007,815 0.93 4,595,117 4,959,558 4,300,231 13,753,904 3,727,913 2,591,458 3,951,710 4,791,208 8,540,777 5,754,405 5,451,971 5,377,424 4,410,154 7,124,907 7,073,953 5,440,471 5,008,379 3,352,800 4,502,841 1.27 0.73 0.85 0.85 0.92 0.80 2.55 1.47 1.07 0.48 1.15 0.73 0.83 0.89 1.58 0.92 1.07 1.01 1.00 0.82 1.17 1.32 1.31 1.01 0.93 1.40 0.83 1.28 USD Equities 112,907 34,019 898,748 51,755 102,878 140,897 182,293 83,199 202,959 124,487 141,504 13,242 150,789 182,758 244,249 180,223 338,924 ACE Limited $GREH6\VWHPV,QF $LU3URGXFWV&KHPLFDOV,QF Allergan Inc. Altera Corp. Amazon.com Inc. $PHULFDQ([SUHVV&RPSDQ\ Apple Inc. Autozone Inc. %DQNRI$PHULFD&RUS Biogen Idec Inc. Broadcom Corp. Capital One Financial Corp. CareFusion Corp. Carnival Corp. &LVFR6\VWHPV,QF Citigroup Inc. &RDFK,QF33$ &RJQL]DQW7HFKQRORJ\6ROXWLRQV&RUS$ Comcast Corp. Covidien Limited (PHUVRQ(OHFWULF&RPSDQ\ EOG Resources Inc. Fluor Corp. Google Inc. Home Depot Inc. Humana Inc. Johnson Controls Inc. Lam Research Corp. /LQNHGLQ&RUS Masco Corp. 0HUFN&RPSDQ\,QF MetLife Inc. Microsoft Corp. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 28 FDC SICAV Actions Monde – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 258,432 104,010 82,385 197,881 31,835 222,058 115,801 75,787 112,891 148,218 71,495 Description Market value % NAV 3,747,891 2,971,981 3,270,220 3,278,392 4,255,102 3,728,574 7,022,293 3,044,428 2,274,348 1.12 0.55 0.57 1.27 0.79 1.25 0.44 1.49 1.34 1.30 1.13 0.42 1.20 1.73 277,146,428 51.39 524,351,628 97.23 0RUJDQ6WDQOH\ 2FFLGHQWDO3HWUROHXP&RUS 3DFFDU,QF 3HDERG\(QHUJ\&RUS 3HQWDLU/LPLWHG5HJ Schlumberger Limited 6HPSUD(QHUJ\ 6XQ7UXVW%DQNV,QF Target Corp. Time Warner Cable Inc. - A Time Warner Inc. TJX Companies Inc. 8QLRQ3DFL¿F&RUS 8QLWHG7HFKQRORJLHV&RUS 8QLWHG+HDOWK*URXS,QF 9DOHUR(QHUJ\&RUS 9HUWH[3KDUPDFHXWLFDOV,QF VF Corp. :HOOV)DUJR&RPSDQ\ Total Equities AUD Funds Goodman Group Total Funds 1.01 5,458,365 1.01 5,458,365 1.01 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 529,809,993 98.24 Total Investment in securities 529,809,993 98.24 Other Net Assets Total Net Assets 9,467,632 1.76 539,277,625 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 29 FDC SICAV Actions Monde – Actif 1 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV %DQNV 3KDUPDFHXWLFDOV Oil and gas producers Retail Insurance Electrical equipment Chemicals Broadcasting, radio and television Tobacco Semiconductors Food services Auto manufacturers 0LQLQJQRQSUHFLRXV Internet software and services Computers and peripherals Beverages Commercial services Telecommunication services Oil and gas services Apparel Telecommunication equipment Healthcare supplies and equipment Software Financial services Leisure and entertainment Healthcare services %LRWHFKQRORJ\ Transportation Aerospace and defence Engineering and construction Automobile parts and equipment Real estate investment trust IT Consulting and services Real estate Forest products and paper Distribution and wholesale Building materials 'LYHUVL¿HGFRPSDQLHV Electrical utilities 0LVFHOODQHRXVPDFKLQHU\ %XVLQHVVDQGRI¿FHHTXLSPHQW Water utilities 8.98 7.09 5.41 4.80 4.29 3.75 3.73 3.34 3.04 3.01 2.88 2.85 2.55 2.28 2.13 2.13 1.88 1.85 1.82 1.74 1.59 1.49 1.34 1.30 1.17 1.01 1.01 0.92 0.84 0.78 0.57 0.30 Total Investment in Securities 98.24 Other Net Assets 1.76 Total Net Assets 100.00 30 FDC SICAV Actions Monde – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ AUD Equities 193,208 202,251 339,173 1,577,253 Coca-Cola Amatil Limited CSL Limited Insurance Australia Group Limited Lend Lease Corp. Limited Telstra Corp. Limited 1,111,530 2,478,581 5,427,710 0.38 0.21 1.01 19,648,643 3.66 1,453,427 0.27 0.21 0.44 1.23 0.99 1.35 29,152,948 5.45 2,581,158 1.91 0.48 12,764,836 2.39 3,237,421 8,904,041 1.13 18,188,120 3.39 8,377,104 2,200,111 1,371,177 1,701,529 1,373,225 0.70 0.32 0.39 0.38 0.73 0.41 0.48 0.21 1.50 0.32 0.37 0.40 0.52 57,568,035 10.75 1,135,851 1,880,302 4,593,535 0.21 0.35 0.20 CAD Equities 34,300 34,000 440,200 230,000 89,800 289,700 Agnico-Eagle Mines Limited BCE Inc. &DQDGLDQ1DWLRQDO5DLOZD\&RPSDQ\ EnCana Corp. +XVN\(QHUJ\,QF 1DWLRQDO%DQNRI&DQDGD 6XQFRU(QHUJ\,QF CHF Equities Nestle SA - Reg Roche Holding AG DKK Equities 72,485 $30ROOHU0DHUVN$6 &RORSODVW$6% 1RYR1RUGLVN$6 EUR Equities 174,523 280,737 28,927 94,101 273,495 19,940 795,425 79,884 15,204 99,953 Anheuser-Busch InBev NV ASML Holding NV Banco Santander Central Hispano SA %D\HU$* Compagnie Generale des Etablissements Michelin Continental AG Deutsche Lufthansa AG - Reg E.ON AG Fiat SpA Inditex SA Kabel Deutschland Holding AG .RQLQNOLMNH$KROG19 3LUHOOL&RPSDQ\6S$ 3URVLHEHQ6DW0HGLD$*3IG 5\DQDLU+ROGLQJVSOF Societe Bic SA Vinci SA Voestalpine AG GBP Equities 58,904 119,375 384,953 Associated British Foods plc %+3%LOOLWRQSOF British American Tobacco plc BT Group plc 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 31 FDC SICAV Actions Monde – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012 FRQWLQXHG H[SUHVVHGLQ(85 Quantity 448,338 145,703 172,075 180,491 281,007 Description Market value % NAV 1,220,519 3,317,991 7,351,947 0.23 1.47 0.27 0.85 1.37 34,442,455 6.43 1,358,705 2,134,903 0.25 0.40 3,493,608 0.65 1,945,182 5,741,455 2,359,147 4,747,205 1,247,418 1,459,005 1,250,014 1,770,491 1,974,539 4,138,051 7,778,503 0.55 1.20 1.07 0.45 0.89 0.23 0.27 0.23 0.37 0.77 0.33 0.37 0.77 0.97 1.45 58,797,595 10.96 2,512,908 0.47 2,512,908 0.47 4,300,929 7,783,807 5,835,132 0.80 1.45 1.09 22,497,479 4.20 Cobham plc Fresnillo plc Next plc Reed Elsevier plc 5R\DO'XWFK6KHOOSOF 5R\DO'XWFK6KHOOSOF$ HKD Equities 1,212,000 6LQR/DQG&RPSDQ\ SJM Holdings Limited JPY Equities 194,000 540,000 93,500 219,000 40,000 58,400 101,700 370,500 154,700 492,400 190,100 372,100 $MLQRPRWR&RPSDQ\,QF $VDKL*ODVV&RPSDQ\/LPLWHG Canon Inc. &HQWUDO-DSDQ5DLOZD\&RPSDQ\ &KL\RGD&RUS 'DLWR7UXVW&RQVWUXFWLRQ&RPSDQ\/LPLWHG )DPLO\0DUW&RPSDQ\/LPLWHG Fujitsu Limited Japan Tobacco Inc. Kao Corp. Mitsubishi Corp. Namco Bandai Holdings Nippon Telegraph & Telephone Corp. 6HJD6DPP\+ROGLQJV,QF 6RQ\&RUS Sumitomo Mitsui Financial Group Inc. 7RNLR0DULQH+ROGLQJV,QF NZD Equities Telecom Corp. of New Zealand Limited SEK Equities 321,550 594,013 Boliden AB 1RUGHD%DQN$% 6YHQVND+DQGHOVEDQNHQ$% 6ZHGEDQN$% SGD Equities 550,000 SembCorp Industries Limited 1,793,005 0.33 1,793,005 0.33 1,352,184 2,300,391 2,877,488 8,930,558 5,538,920 3,289,973 0.25 1.24 0.43 0.54 1.03 0.89 0.39 USD Equities 19,200 823,000 75,500 13,700 125,000 0&RPSDQ\ Activision Blizzard Inc. Allstate Corp. $PHULFDQ([SUHVV&RPSDQ\ Amgen Inc. Apple Inc. Assurant Inc. AT&T Inc. BMC Software Inc. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 32 FDC SICAV Actions Monde – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012 FRQWLQXHG H[SUHVVHGLQ(85 Quantity 47,400 334,900 573,700 41,900 221,200 32,200 83,700 339,500 574,500 93,800 157,900 135,900 32,400 82,300 324,000 148,800 558,300 140,100 592,700 75,500 229,400 54,900 20,800 182,500 313,300 34,500 59,900 Description Market value % NAV 7,304,144 10,049,032 2,159,833 7,219,353 1,500,827 2,242,327 7,993,083 5,198,481 4,707,388 2,435,790 7,110,437 11,319,295 1,305,999 1,745,479 7,508,192 8,392,002 8,108,158 1,552,929 1.88 2.09 0.82 0.40 1.34 1.54 1.30 0.28 0.42 1.49 0.97 1.71 0.38 0.42 0.40 0.88 2.14 0.34 1.00 0.45 1.41 1.33 2.11 0.24 2.11 1.75 1.21 0.33 1.38 0.40 0.22 1.40 1.57 1.51 0.74 0.29 CF Industries Holdings Inc. &LVFR6\VWHPV,QF Citigroup Inc. &RQRFR3KLOOLSV Dell Inc. Diamond Offshore Drilling Discover Financial Services (OL/LOO\&RPSDQ\ (QWHUJ\&RUS Expedia Inc. Forest Laboratories Inc. Gap Inc. Garmin Limited General Electric Capital Corp. General Motors Acceptance Corp. +5%ORFN,QF Intel Corp. International Business Machines Corp. -30RUJDQ&KDVH&RPSDQ\ KBR Inc. .H\FRUS 0DF\¶V,QF Marathon Oil Corp. 0DUDWKRQ3HWUROHXP&RUS Microsoft Corp. Nvidia Corp. 3¿]HU,QF 3KLOLS0RUULV,QWHUQDWLRQDO,QF 33*,QGXVWULHV,QF 6HDJDWH7HFKQRORJ\ TJX Companies Inc. 7RUFKPDUN&RUS 8QLWHG3DUFHO6HUYLFH,QF 8QLWHG+HDOWK*URXS,QF 86%DQFRUS 9DOHUR(QHUJ\&RUS Verizon Communications Inc. Visa Inc. :HOOV)DUJR&RPSDQ\ 269,373,145 50.28 Total Equities 530,232,777 98.96 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 530,232,777 98.96 Total Investment in securities 530,232,777 98.96 5,583,427 1.04 535,816,204 100.00 Other Net Assets Total Net Assets 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 33 FDC SICAV Actions Monde – Actif 2 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV %DQNV Oil and gas producers 3KDUPDFHXWLFDOV Retail Telecommunication services Food services Software %LRWHFKQRORJ\ Insurance Transportation Tobacco Financial services Chemicals Computers and peripherals Automobile parts and equipment Semiconductors 0LVFHOODQHRXVPDFKLQHU\ Telecommunication equipment Electrical utilities Real estate Engineering and construction %XVLQHVVDQGRI¿FHHTXLSPHQW Healthcare services 0LQLQJQRQSUHFLRXV Healthcare supplies and equipment Beverages Electronic equipment 3UHFLRXVPHWDOV IT Consulting and services Distribution and wholesale Home furnishings Leisure and entertainment 7R\VDQGJDPHV Auto manufacturers Building materials Iron and steel Commercial services Airlines Cosmetics and personal care Broadcasting, radio and television Internet software and services 3XEOLVKLQJDQGSULQWLQJ Aerospace and defence Media 12.50 12.50 5.50 4.87 3.98 3.74 3.27 3.10 2.84 2.57 2.45 2.32 2.20 1.71 1.52 1.40 1.21 1.13 1.08 0.97 0.89 0.88 0.77 0.77 0.77 0.55 0.52 0.42 0.37 0.37 0.32 0.28 0.27 0.23 0.21 Total Investment in Securities 98.96 Other Net Assets 1.04 Total Net Assets 100.00 34 FDC SICAV Actions Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ AUD Equities 170,419 :HVWSDF%DQNLQJ&RUS 3,494,563 0.86 2,577,559 4,032,054 1.70 0.99 13,507,131 3.33 8,449,703 4,459,127 2.08 1.10 20,493,571 5.06 5,044,700 3,885,502 5,099,098 4,491,835 1,881,772 1,942,990 2,871,792 2,178,720 1,555,039 4,740,931 2,107,709 1.24 0.40 0.28 0.25 1.11 0.47 1.05 0.30 0.48 0.71 0.54 0.77 0.89 0.38 1.50 1.17 0.52 0.45 75,454,932 18.63 4,872,155 5,133,310 3,195,222 4,558,505 821,029 1,230,129 1.21 1.10 0.79 1.12 1.09 0.20 1.43 0.30 1.21 CAD Equities 200,500 Rogers Communications Inc. 7HFN&RPLQFR/LPLWHG 7RURQWR'RPLQLRQ%DQN CHF Equities 171,092 137,578 Julius Baer Group Limited Nestle SA - Reg Novartis AG - Reg Roche Holding AG EUR Equities 74,925 120,292 82,403 51,571 85,297 928,341 55,514 828,051 323,109 53,073 11,584 492,912 Adidas AG AXA SA %DQFR%LOEDR9L]FD\D$UJHQWDULD BASF SE Beiersdorf AG Credit Agricole Fresenius SE Fugro NV Groupe Danone Intesa Sanpaolo SpA -HURQLPR0DUWLQV6*366$ K+S AG Linde AG 0XHQFKHQHU5XHFNYHUVLFKHUXQJV$*5HJ 3RUWXJDO7HOHFRP6*366$5HJ Red Electrica Corp. SA Reed Elsevier NV Saipem SpA 6DQR¿$YHQWLV 6$3$* Schneider Electric SA 8QLEDLO5RGDPFR6( 8QL&UHGLW6S$ GBP Equities 514,541 411,209 170,015 1,121,402 509,970 201,343 234,477 725,032 ARM Holdings plc BG Group plc %+3%LOOLWRQSOF BT Group plc Compass Group plc Diageo plc Eurasian Natural Resources Corp. HSBC Holdings plc Land Securities Group plc National Grid plc 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 35 FDC SICAV Actions Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012 FRQWLQXHG H[SUHVVHGLQ(85 Quantity 505,438 1,312,394 250,185 117,923 338,097 432,838 Description Market value % NAV 5,393,551 2,743,533 1.32 0.50 1.08 0.35 1.39 61,016,500 15.03 1,977,232 1,999,101 3,303,933 0.49 0.49 0.57 0.82 9,582,862 2.37 4,011,124 3,258,094 2,754,495 0.99 0.80 0.80 1.37 0.40 0.51 0.53 0.37 0.41 30,527,568 7.53 5,331,058 1.32 1.17 10,080,922 2.49 4,410,030 12,290,740 2,352,731 3,954,745 2,311,384 3,591,723 3,151,851 2,145,132 4,888,543 4,824,417 1,315,850 1.25 1.09 3.03 1.57 0.58 0.98 0.57 0.89 0.78 0.53 1.21 1.19 0.48 0.45 1.23 0.32 0.72 0.82 1.18 1.32 0.72 3UXGHQWLDOSOF RSA Insurance Group 6FRWWLVK6RXWKHUQ(QHUJ\SOF Shire plc Tesco plc Xstrata plc HKD Equities 172,100 1,720,000 510,000 +DQJ/XQJ3URSHUWLHV/LPLWHG +DQJ6HQJ%DQN/LPLWHG Li & Fung Limited 3RZHU$VVHWV+ROGLQJ/WG JPY Equities 118,000 111,200 201,300 120,000 337,000 100,000 78,800 $VWHOODV3KDUPD,QF Canon Inc. (DVW-DSDQ5DLOZD\&RPSDQ\ +RQGD0RWRU&RPSDQ\/LPLWHG +R\D&RUS Kurita Water Industries Limited 0LWVXELVKL(VWDWH&RPSDQ\/LPLWHG 0LWVXELVKL8)-)LQDQFLDO*URXS,QF Nomura Holdings Inc. 6RIWEDQN&RUS 7RNLR0DULQH+ROGLQJV,QF SEK Equities 337,941 Alfa Laval AB SKF AB - B USD Equities 177,300 30,400 249,300 72,800 28,800 145,300 224,100 133,300 48,800 35,200 124,000 72,800 213,300 32,800 124,000 199,300 199,300 $GREH6\VWHPV,QF $LU3URGXFWV&KHPLFDOV,QF Apple Inc. AT&T Inc. %DQNRI$PHULFD&RUS BorgWarner Inc. %RVWRQ3URSHUWLHV,QF %ULVWRO0\HUV6TXLEE&RPSDQ\ &LWUL[6\VWHPV,QF Corning Inc. &96&DUHPDUN&RUS 'HHUH&RPSDQ\ 'HYRQ(QHUJ\&RUS Diamond Offshore Drilling (PHUVRQ(OHFWULF&RPSDQ\ Goldman Sachs Group Inc. Hess Corp. Intel Corp. International Business Machines Corp. Johnson & Johnson -30RUJDQ&KDVH&RPSDQ\ Lowe’s Cos Inc. Marathon Oil Corp. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012 FRQWLQXHG H[SUHVVHGLQ(85 Quantity Market value % NAV 5,191,972 1,329,193 2,091,735 1,801,924 5,578,397 3,289,235 7,955,859 3,234,527 0.73 1.28 0.33 1.22 0.52 0.70 0.44 1.37 0.81 1.03 0.92 1.55 0.22 0.80 1.53 169,682,332 41.89 Total Equities 393,840,381 97.19 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 393,840,381 97.19 Total Investment in securities 53,200 242,900 79,200 193,300 124,800 154,500 200,100 102,000 154,500 54,800 70,000 238,900 Description 0DUDWKRQ3HWUROHXP&RUS McDonald’s Corp. MetLife Inc. Microsoft Corp. Noble Corp. 1RUWKHDVW8WLOLWLHV Nvidia Corp. 2FFLGHQWDO3HWUROHXP&RUS Omnicom Group Inc. 3HSVL&R,QF 3URFWHU*DPEOH&RPSDQ\ 6SHFWUD(QHUJ\&RUS St Jude Medical Inc. 86%DQFRUS VF Corp. Weatherford International Limited :HOO3RLQW,QF :HOOV)DUJR&RPSDQ\ 393,840,381 97.19 Other Net Assets 11,397,230 2.81 Total Net Assets 405,237,611 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 37 FDC SICAV Actions Monde – Actif 3 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV %DQNV 3KDUPDFHXWLFDOV Oil and gas producers Food services Telecommunication services Software Retail Insurance 0LQLQJQRQSUHFLRXV Oil and gas services Chemicals Electrical utilities Cosmetics and personal care Computers and peripherals Apparel Beverages Semiconductors Electrical equipment Healthcare supplies and equipment Real estate investment trust Auto manufacturers 0LVFHOODQHRXVPDFKLQHU\ 0DFKLQHU\ IT Consulting and services Metal fabrication Real estate Automobile parts and equipment 3XEOLVKLQJDQGSULQWLQJ Advertising %XVLQHVVDQGRI¿FHHTXLSPHQW Healthcare services Transportation Distribution and wholesale Telecommunication equipment Environment control and services Electronic equipment Financial services 10.98 8.57 5.51 4.75 3.81 3.50 3.33 3.31 3.24 3.24 3.22 3.03 2.79 2.47 2.40 1.80 1.39 1.37 1.32 1.19 1.18 1.17 1.02 0.98 0.89 0.81 0.80 0.80 0.80 0.57 0.53 0.51 0.40 0.37 Total Investment in Securities 97.19 Other Net Assets 2.81 Total Net Assets 100.00 38 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ AUD Equities 44,559 44,773 113,349 12,751 219,728 28,280 142,175 104,707 41,745 2,989 128,917 33,510 23,958 488,475 51,342 97,349 132,072 25,138 151,230 47,341 184,081 23,183 11,032 108,018 77,183 123,138 42,175 51,342 100,805 402,838 $*/(QHUJ\/LPLWHG Alumina Limited Amcor Limited $03/LPLWHG $3$*URXS Asciano Group ASX Limited $XVWUDOLD1HZ=HDODQG%DQNLQJ*URXS/LPLWHG %HQGLJR%DQN/LPLWHG %+3%LOOLWRQ/LPLWHG Boral Limited Brambles Limited Caltex Australia Limited Campbell Brothers Limited Centro Retail Group &)65HWDLO3URSHUW\7UXVW Coca-Cola Amatil Limited Cochlear Limited &RPPRQZHDOWK%DQNRI$XVWUDOLD Computershare Limited Crown Limited CSL Limited 'H[XV3URSHUW\*URXS Echo Entertainment Group Limited Fortescue Metals Group Limited Goodman Group *37*URXS +DUYH\1RUPDQ+ROGLQJV/LPLWHG ,OXND5HVRXUFHV/LPLWHG Insurance Australia Group Limited James Hardie Industries SE Leighton Holdings Limited Lend Lease Corp. Limited Macquarie Group Limited Metcash Limited Mirvac Group 1DWLRQDO$XVWUDOLD%DQN/LPLWHG Newcrest Mining Limited Orica Limited 2ULJLQ(QHUJ\/LPLWHG OZ Minerals Limited QBE Insurance Group Limited QR National Limited 5DPVD\+HDOWK&DUH/LPLWHG Santos Limited Sims Metal Management Ltd Sonic Healthcare Limited 63$XV1HW 6WRFNODQG 6XQFRUS0HWZD\/LPLWHG 6\GQH\$LUSRUW Tabcorp Holdings Limited Tatts Group Limited Telstra Corp. Limited 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 39 127,907 194,973 313,380 4,334,380 189,292 130,987 840,808 402,099 187,170 442,141 237,229 201,302 1,823,251 390,429 139,080 485,429 331,935 382,730 255,871 558,528 339,990 144,573 304,503 1,095,123 122,315 855,484 378,379 295,343 112,255 123,312 0.04 0.01 0.04 0.07 0.01 0.03 0.02 0.28 0.01 0.51 0.01 0.05 0.03 0.02 0.01 0.02 0.03 0.01 0.41 0.02 0.01 0.12 0.03 0.01 0.03 0.02 0.02 0.00 0.02 0.04 0.02 0.01 0.02 0.01 0.02 0.24 0.07 0.05 0.07 0.01 0.02 0.02 0.00 0.02 0.00 0.03 0.01 0.01 0.02 0.09 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 51,331 95,190 53,413 251,804 88,425 54,393 Description Market value % NAV 184,323 500,403 243,712 1,451,177 2,277,891 0.01 0.03 0.01 0.10 0.03 0.34 0.02 0.09 0.15 0.04 57,103,009 3.73 440,794 1,147,934 480,828 552,945 290,559 2,512,787 404,948 587,785 301,893 117,410 1,424,034 204,130 89,751 541,708 2,229,710 792,830 90,779 328,531 235,488 994,427 71,850 2,339,878 1,013,904 243,317 784,449 328,454 415,232 145,373 385,822 251,514 0.03 0.07 0.03 0.04 0.02 0.27 0.03 0.04 0.01 0.02 0.01 0.09 0.01 0.01 0.04 0.13 0.14 0.05 0.08 0.02 0.02 0.04 0.12 0.01 0.02 0.02 0.02 0.03 0.00 0.07 0.02 0.02 0.05 0.02 0.03 0.01 0.02 0.12 0.03 0.02 Toll Holdings Limited Transurban Group 7UHDVXU\:LQH(VWDWHV/LPLWHG :HVW¿HOG*URXS :HVW¿HOG5HWDLO7UXVW :HVWSDF%DQNLQJ&RUS Whitehaven Coal Limited :RRGVLGH3HWUROHXP/LPLWHG Woolworths Limited :RUOH\SDUVRQV/LPLWHG CAD Equities 11,100 15,200 12,900 29,700 54,200 94,800 12,400 18,100 105,400 10,400 51,300 15,800 11,700 32,200 102,200 5,800 73,100 12,800 18,800 12,400 34,700 5,800 54,000 71,400 25,200 13,000 47,000 2,700 9,000 20,800 13,700 Agnico-Eagle Mines Limited Agrium Inc. Alimentation Couche Tard Inc. $UF(QHUJ\7UXVW Athabasca Oil Sands Corp. %DQNRI0RQWUHDO %DQNRI1RYD6FRWLD %D\WH[(QHUJ\7UXVW BCE Inc. Bell Aliant Inc. Bombardier Inc. %RQDYLVWD(QHUJ\&RUS %URRN¿HOG$VVHW0DQDJHPHQW,QF %URRN¿HOG3URSHUWLHV&RUS CAE Inc. Cameco Corp. &DQDGLDQ,PSHULDO%DQNRI&RPPHUFH &DQDGLDQ1DWLRQDO5DLOZD\&RPSDQ\ Canadian Natural Resources Limited Canadian Oil Sands Trust &DQDGLDQ3DFL¿F5DLOZD\/LPLWHG Canadian Tire Corp. Limited &DQDGLDQ8WLOLWLHV/LPLWHG Catamaran Corp. &HQRYXV(QHUJ\,QF Centerra Gold Inc. CGI Group Inc. Ci Finance Corp. &UHVFHQW3RLQW(QHUJ\&RUS Dollarama Inc. Eldorado Gold Corp. (PSLUH&RPSDQ\/LPLWHG Enbridge Inc. EnCana Corp. Enerplus Resources Fund Finning International Inc. First Quantum Minerals Limited Fortis Inc. Franco-Nevada Corp. George Weston Limited Gildan Activewear Inc. Goldcorp Inc. Great-West Lifeco Inc. H&R Real Estate Investment Trust 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 40 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 28,400 8,800 24,500 4,100 3,900 13,500 44,725 103,981 11,500 19,900 14,300 11,500 15,700 39,000 47,900 5,300 3,000 25,700 25,700 7,800 23,500 47,115 28,800 18,100 34,000 13,800 4,500 37,800 119,300 10,800 25,500 15,700 18,200 10,900 50,800 127,548 95,700 51,447 10,400 12,700 73,950 12,200 11,500 58,300 23,000 11,400 Description Market value % NAV 797,487 98,008 219,877 258,934 753,111 1,519,029 331,593 554,794 923,775 327,097 127,132 110,755 509,480 241,329 375,587 289,723 71,130 1,300,380 5,441,852 413,907 511,880 917,855 0 334,789 3,178,181 820,142 512,422 472,405 290,239 132,457 2,088,218 451,317 843,294 0.04 0.01 0.02 0.05 0.01 0.01 0.04 0.02 0.05 0.02 0.05 0.10 0.02 0.04 0.02 0.01 0.01 0.01 0.03 0.01 0.03 0.02 0.03 0.04 0.02 0.02 0.02 0.00 0.08 0.35 0.02 0.03 0.03 0.00 0.02 0.07 0.21 0.05 0.09 0.03 0.05 0.03 0.31 0.02 0.01 0.14 0.07 0.03 0.05 76,557,426 4.99 +XVN\(QHUJ\,QF Iamgold Corp. IGM Financial Inc. Imperial Oil Limited Industrial Alliance Insurance & Financial Services Inc. Inmet Mining Corp. Intact Financial Corp. Ivanhoe Mines Limited Kinross Gold Corp. Loblaw Companies Limited Magna International Inc. Manulife Financial Corp. 0(*(QHUJ\&RUS Metro Inc. - A 1DWLRQDO%DQNRI&DQDGD New Gold Inc. Nexen Inc. Onex Corp. Open Text Corp. 2VLVNR0LQLQJ&RUS 3DFL¿F5XELDOHV(QHUJ\&RUS 3DQ$PHULFDQ6LOYHU&RUS 3HPELQD3LSHOLQH&RUS 3HQJURZWK(QHUJ\7UXVW 3HQQ:HVW3HWUROHXP/LPLWHG 3RZHU&RUSRI&DQDGD 3RZHU)LQDQFLDO&RUS Research In Motion Limited RioCan Real Estate Investment Trust Ritchie Bros Auctioneers Inc. Rogers Communications Inc. 5R\DO%DQNRI&DQDGD Saputo Inc. Shaw Communications Inc. Shoppers Drug Mart Corp. Silver Wheaton Corp. Sino-Forest Corp.* SNC-Lavalin Group Inc. Sun Life Financial Inc. 6XQFRU(QHUJ\,QF 7DOLVPDQ(QHUJ\,QF 7HFN&RPLQFR/LPLWHG Telus Corp. Thomson Reuters Corp. Tim Hortons Inc. 7RURQWR'RPLQLRQ%DQN Tourmaline Oil Corp. TransAlta Corp. TransCanada Corp. 9DOHDQW3KDUPDFHXWLFDOV,QWHUQDWLRQDO,QF 9HUPLOLRQ(QHUJ\7UXVW Yamana Gold Inc. * Illiquid securities 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 41 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 2,708,019 2,515,275 455,103 1,178,457 440,292 359,223 98,774 257,404 150,109 328,841 8,893,858 395,082 108,203 272,755 230,097 1,115,932 253,001 254,522 2,337,581 0.17 0.02 0.02 0.02 0.02 0.01 0.12 0.03 0.03 0.07 0.03 0.02 0.01 0.02 0.01 0.87 0.58 0.00 0.02 0.58 0.03 0.01 0.04 0.02 0.02 0.01 0.01 0.07 0.02 0.02 0.11 0.04 0.15 0.23 0.15 57,956,950 3.74 310,501 4,303,937 80,030 71,344 0.05 0.01 0.04 0.02 0.04 0.02 0.28 0.02 0.01 0.01 0.00 7,946,466 0.50 0.04 0.00 CHF Equities 174,295 8,883 8,943 4,408 129 42,513 103,492 2,727 571 21,258 3,941 40 9 271,887 1,879 58,332 394 1,927 2,920 2,515 4,023 30,987 1,921 299,849 11,737 ABB Limited - Reg Actelion Limited - Reg Adecco SA - Reg $U\]WD$* %DORLVH+ROGLQJ$*33$5HJ %DUU\&DOOHEDXW$*5HJ Compagnie Financiere Richemont AG Credit Suisse - Reg Geberit AG - Reg Givaudan - Reg Holcim Limited - Reg Julius Baer Group Limited Kuehne & Nagel International AG - Reg Lindt & Spruengli AG Lindt & Spruengli AG - Reg Lonza Group AG - Reg Nestle SA - Reg Novartis AG - Reg 3DUJHVD+ROGLQJ6$ 3DUWQHUV*URXS5HJ Roche Holding AG Schindler Holding AG Schindler Holding AG - Reg SGS SA - Reg 6LND$* Sonova Holding AG - Reg Sulzer AG - Reg Swatch Group AG - Reg Swatch Group AG - B Swiss Life Holding - Reg 6ZLVV3ULPH6LWH$*5HJ Swiss Re Limited Swisscom AG - Reg 6\QJHQWD$*5HJ 8%6$*5HJ Zurich Financial Services AG - Reg DKK Equities 132 29 8,813 9,380 53,971 15,900 35,037 17,000 40,000 1,400 1,100 $30ROOHU0DHUVN$6 $30ROOHU0DHUVN$6$ &DUOVEHUJ$6 &RORSODVW$6% 'DQVNH%DQN$6 '69$6 1RYR1RUGLVN$6 1RYR]\PHV$6 7'&$6 7U\J9HVWD$6 William Demant Holding EUR Equities 43,985 Abertis Infraestructuras SA Acciona SA 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 42 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 10,880 11,141 18,172 124,209 24,993 22,370 37,948 78,093 5,520 28,301 85,739 24,438 2,112 142,739 173,092 11,358 275,408 851,739 27,124 4,809 7,508 11,401 3,819 3,808 4,117 4,255 7,179 13,805 5,819 247,053 17,159 17,511 8,398 5,237 18,472 Description Market value % NAV 290,442 212,125 1,223,521 423,418 2,375,585 492,557 4,357,181 1,010,133 437,239 1,358,448 1,178,054 119,229 457,525 14,288 23,239 5,431,450 1,978,153 253,159 379,723 322,347 355,414 588,155 83,312 244,349 218,213 354,274 1,173,451 1,228,413 735,581 179,708 180,722 3,085,530 0.02 0.01 0.08 0.04 0.01 0.03 0.15 0.07 0.25 0.03 0.28 0.08 0.03 0.09 0.08 0.02 0.01 0.12 0.01 0.00 0.20 0.03 0.00 0.01 0.34 0.00 0.34 0.32 0.13 0.02 0.03 0.02 0.22 0.02 0.02 0.02 0.02 0.07 0.02 0.00 0.04 0.01 0.02 0.01 0.02 0.08 0.02 0.09 0.09 0.05 0.01 0.03 0.02 0.01 0.21 Accor SA $&6$FWLYLGDGHVGH&RQVWUXFFLRQ\6HUYLFLRV Adidas AG Aegon NV $HURSRUWVGH3DULV Ageas Air Liquide SA $N]R1REHO19 Allianz SE - 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Enagas (QHO*UHHQ3RZHU6S$ Enel SpA (QHUJLDVGH3RUWXJDO6$ ENI SpA (UVWH*URXS%DQN$* Eurazeo Ferrovial SA Fiat Industrial SpA Fiat SpA )RUWXP2\M France Telecom SA )UDSRUW$*)UDQNIXUW$LUSRUW6HUYLFHV:RUOGZLGH Fresenius Medical Care AG Fresenius SE Fugro NV *DOS(QHUJLD6*366$% Gas Natural SDG SA GDF Suez GEA Group AG Gecina SA Gemalto NV Grifols SA Groupe Bruxelles Lambert SA Groupe Danone Groupe Eurotunnel SA +DQQRYHU5XHFNYHUVLFKHUXQJ$*5HJ HeidelbergCement AG +HLQHNHQ+ROGLQJ19 +HLQHNHQ19 +HQNHO.*D$ +HQNHO.*D$3IG Hochtief AG Hugo Boss AG Iberdrola SA Iliad SA ,PHU\V6$ ,PPR¿QDQ]$* Inditex SA ,Q¿QHRQ7HFKQRORJLHV$* ING Groep NV International Consolidated Airlines Group SA 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 44 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 715,372 72,257 4,033 17,227 12,425 7,305 11,933 10,549 3,700 8,231 11,259 89,419 11,780 84,155 8,918 23,229 15,524 20,180 21,000 4,355 31,972 9,331 9,300 15,473 45,741 8,310 11,132 17,180 8,007 13,518 11,299 7,528 11,173 51,790 7,270 13,533 12,150 8,235 8,101 183 Description Market value % NAV 929,984 77,098 72,534 251,514 434,875 413,244 312,048 247,095 221,204 294,591 798,978 225,492 740,424 2,800,983 74,015 198,788 195,951 297,972 2,104,328 902,987 250,131 92,772 177,595 73,957 97,793 84,841 1,023,980 135,212 228,974 531,914 15,140 527,481 0.01 0.00 0.02 0.03 0.03 0.02 0.03 0.01 0.02 0.04 0.01 0.04 0.10 0.02 0.05 0.01 0.03 0.05 0.13 0.13 0.18 0.04 0.02 0.00 0.01 0.04 0.01 0.02 0.14 0.01 0.00 0.02 0.02 0.01 0.01 0.10 0.00 0.01 0.01 0.04 0.01 0.07 0.01 0.02 0.04 0.01 0.00 0.01 0.02 0.03 0.00 0.03 0.07 0.01 Intesa Sanpaolo SpA Intesa Sanpaolo SpA - NVDR JC Decaux SA -HURQLPR0DUWLQV6*366$ K+S AG Kabel Deutschland Holding AG KBC Groep NV .HUU\*URXSSOF$ .HVNR2\M% Klepierre .RQH2\M .RQLQNOLMNH$KROG19 .RQLQNOLMNH%RVNDOLV:HVWPLQVWHU19 .RQLQNOLMNH'6019 .RQLQNOLMNH3KLOLSV(OHFWURQLFV19 .RQLQNOLMNH9RSDN19 Lafarge SA Lagardere SCA Lanxess AG Legrand SA Linde AG L’Oreal SA /RXLV9XLWWRQ0RHW+HQQHVV\6$ Luxottica Group SpA MAN AG Mapfre SA Mediobanca SpA 0HUFN.*D$ Metro AG 0HWVR2\M 0XHQFKHQHU5XHFNYHUVLFKHUXQJV$*5HJ Natixis 1HVWH2LO2\M 1RNLD2\M 1RNLDQ5HQNDDW2\M OMV AG 23$36$ 2ULRQ2\M 3HUQRG5LFDUG6$ 3HXJHRW6$ 3LUHOOL&RPSDQ\6S$ 3RKMROD%DQNSOF 3RUVFKH$XWRPRELO+ROGLQJ6(3IG 3RUWXJDO7HOHFRP6*366$5HJ 3356$ 3URVLHEHQ6DW0HGLD$*3IG 3U\VPLDQ6S$ 3XEOLFLV*URXSH Qiagen NV 5DLIIHLVHQ,QWHUQDWLRQDO%DQN+ROGLQJ$* Randstad Holdings NV Red Electrica Corp. SA Reed Elsevier NV 5HP\&RLQWUHDX Renault SA 5HSVRO<3)6$ Rexel SA 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 45 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 82,577 40,032 1,585 25,174 1,912 40,380 99,210 77,307 43,739 21,899 132,403 1,241 4,377 43,450 20,072 7,108 497,307 18,303 42,908 97,037 27,829 25,427 174,293 7,870 8,450 7,185 4,535 37,121 104,409 8,248 2,078 11,854 11,720 2,722 22,134 9,903 2,805 Description Market value % NAV 45,220 737,598 75,381 982,849 2,398,210 475,318 5,587,135 112,087 441,898 251,888 227,895 297,141 3,401,025 105,059 293,440 494,243 214,350 340,141 352,281 1,307,311 3,949,472 225,378 85,077 1,334,871 228,140 338,195 383,478 342,524 245,198 234,021 0.02 0.08 0.00 0.05 0.00 0.31 0.02 0.03 0.37 0.03 0.01 0.10 0.03 0.03 0.02 0.01 0.01 0.01 0.04 0.04 0.02 0.22 0.01 0.01 0.05 0.02 0.01 0.03 0.01 0.43 0.02 0.02 0.09 0.07 0.02 0.02 0.03 0.01 0.01 0.09 0.12 0.01 0.02 0.13 0.02 0.01 0.02 0.00 0.02 0.02 188,414,130 12.23 5R\DO.3119 RWE AG 5:($*3IG Saipem SpA Salzgitter AG 6DPSR2\M$ 6DQR¿$YHQWLV 6$3$* Schneider Electric SA SCOR SE SES SA Siemens AG - Reg Snam Rete Gas SpA Societe Bic SA Societe Generale SA Sodexho 6ROYD\6$ STMicroelectronics NV 6WRUD(QVR2\M 6XHG]XFNHU$* 6XH](QYLURQQHPHQW&RPSDQ\ Technip SA Telecom Italia SpA Telecom Italia SpA - NVDR Telefonica SA 7HOHNRP$XVWULD$* Telenet Group Holding NV Tenaris SA Terna Rete Elettrica Nazionale SpA Thales SA 7K\VVHQ.UXSS$* TNT Express NV Total SA 8&%6$ 8PLFRUH 8QLEDLO5RGDPFR6( 8QL&UHGLW6S$ 8QLOHYHU19 8QLRQHGL%DQFKH,WDOLDQHVFSD 830.\PPHQH2\M Vallourec SA Veolia Environnement 9HUEXQG2HVWHUUHLFKLVFKH(OHNWUL]LWDHWVZLUWVFKDIWV$* Vinci SA Vivendi SA Voestalpine AG 9RONVZDJHQ$* 9RONVZDJHQ$*3IG :DUWVLOD2\M Wendel Wolters Kluwer NV =DUGR\D2WLV6$ Ziggo NV Zodiac SA 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 195,430 319,452 319,818 2,714,432 1,133,980 3,857,232 1,138,402 335,252 181,240 3,015,991 3,508,738 450,370 1,003,128 1,952,254 415,220 419,393 191,802 1,448,009 325,843 4,570,538 1,134,028 400,701 331,823 417,230 1,294,352 2,231,294 322,134 12,052,242 127,880 357,000 2,387,355 422,123 377,031 440,443 0.01 0.02 0.01 0.03 0.02 0.18 0.04 0.07 0.03 0.25 0.07 0.02 0.01 0.20 0.23 0.30 0.41 0.03 0.07 0.13 0.03 0.03 0.03 0.01 0.02 0.11 0.02 0.09 0.05 0.02 0.30 0.00 0.07 0.03 0.02 0.03 0.45 0.08 0.04 0.15 0.02 0.01 0.78 0.01 0.02 0.01 0.03 0.03 0.02 0.01 0.02 0.02 0.03 0.01 GBP Equities 72,978 70,580 15,139 38,703 119,758 107,527 247,541 53,708 932,237 281,071 174,295 33,377 45,054 44,422 424,857 89,279 48,207 11,123 207,445 19,771 93,855 104,925 147,904 298,837 8,999 209,098 53,507 19,572 1,511,092 33,785 81,598 22,599 20,057 12,158 37,341 15,035 3i Group plc Aberdeen Asset Management plc Admiral Group plc $JJUHNRSOF Amec plc Anglo American plc Antofagasta plc ARM Holdings plc Associated British Foods plc AstraZeneca plc Aviva plc %DEFRFN,QWHUQDWLRQDO*URXS %DOIRXU%HDWW\SOF %DUFOD\V%DQNSOF BG Group plc %+3%LOOLWRQSOF British American Tobacco plc %ULWLVK/DQG&RPSDQ\SOF %ULWLVK6N\%URDGFDVWLQJSOF BT Group plc Bunzl plc %XUEHUU\*URXSSOF Capita Group plc Capital Shopping Centres Group LII LN Carnival plc Centrica plc Cobham plc Compass Group plc CRH plc Croda International Diageo plc Eurasian Natural Resources Corp. Experian plc Fresnillo plc G4S plc GKN plc GlaxoSmithKline plc Glencore International plc *UXSR$HURSRUWXDULRGHO3DFL¿FR6$%GH&9 Grupo Aeroportuario del Sureste SAB de CV Hammerson plc Hargreaves Lansdown plc HSBC Holdings plc ,&$3SOF IMI plc Imperial Tobacco Group plc Inmarsat plc Intercontinental Hotels Group plc ,QWHUWHN*URXSSOF ,QYHQV\VSOF Investec plc ITV plc -6DLQVEXU\SOF -RKQVRQ0DWWKH\SOF .D]DNKP\VSOF 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 47 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 574,024 110,031 288,084 13,598 470,535 31,974 54,218 118,823 115,887 220,973 317,774 279,354 95,789 85,711 28,452 175,840 28,493 105,744 50,227 4,158,337 17,959 210,847 95,397 Description Market value % NAV 580,492 109,810 409,797 303,202 1,033,807 1,034,902 2,593,004 940,535 1,800,550 8,313,878 432,942 347,573 321,311 1,111,345 3,881,285 719,990 99,242 1,253,252 7,918,581 541,821 1,044,449 2,190,848 0.04 0.04 0.07 0.13 0.01 0.04 0.03 0.02 0.04 0.07 0.07 0.04 0.17 0.07 0.02 0.02 0.12 0.04 0.39 0.53 0.03 0.17 0.02 0.01 0.10 0.01 0.02 0.07 0.03 0.03 0.25 0.05 0.02 0.18 0.01 0.08 0.20 0.03 0.51 0.02 0.04 0.04 0.05 0.07 0.14 141,528,855 9.19 92,282 792,427 1,478,951 1,040,775 0.17 0.01 0.02 0.05 0.10 0.01 0.07 0.01 .LQJ¿VKHUSOF Land Securities Group plc Legal & General Group plc /OR\GV76%%DQNSOF /RQGRQ6WRFN([FKDQJH*URXSSOF 0DUNV6SHQFHU*URXSSOF Meggitt plc Melrose plc National Grid plc Next plc Old Mutual plc 3HDUVRQSOF 3HWURIDF/LPLWHG 5HFNLWW%HQFNLVHUSOF Reed Elsevier plc Resolution Limited Rexam plc 5ROOV5R\FH+ROGLQJVSOF 5R\DO%DQNRI6FRWODQGSOF 5R\DO'XWFK6KHOOSOF 5R\DO'XWFK6KHOOSOF$ RSA Insurance Group SABMiller plc Sage Group plc Schroders plc 6FRWWLVK6RXWKHUQ(QHUJ\SOF Segro plc Severn Trent plc Shire plc Smith & Nephew plc Smiths Group plc 6WDQGDUG&KDUWHUHG%DQNSOF Standard Life plc 7DWH/\OHSOF Tesco plc 78,7UDYHOSOF Tullow Oil plc 8QLOHYHUSOF 8QLWHG8WLOLWLHVSOF Vodafone Group plc Weir Group plc Whitbread plc :00RUULVRQ6XSHUPDUNHWVSOF :ROVHOH\SOF :33SOF Xstrata plc HKD Equities 10,000 114,121 127,000 25,000 124,000 AIA Group Limited $603DFL¿F7HFKQRORJ\ %DQNRI(DVW$VLD/LPLWHG BOC Hong Kong Holdings Limited Cheung Kong Holdings Limited Cheung Kong Infrastructure Holdings Limited &/3+ROGLQJV/LPLWHG )LUVW3DFL¿F&RPSDQ\ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 48 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 174,000 500,935 27,000 191,000 55,500 105,000 288,550 71,200 14,000 100,000 192,140 74,000 128,000 131,233 51,500 71,000 34,000 Description Market value % NAV 530,477 441,059 1,194,295 87,853 313,395 339,413 111,810 305,039 1,492,287 244,255 928,831 270,973 218,137 0.03 0.03 0.03 0.07 0.08 0.01 0.10 0.01 0.01 0.04 0.04 0.02 0.02 0.01 0.00 0.04 0.04 0.01 0.02 0.01 0.09 0.03 0.02 0.02 0.01 0.01 20,772,749 1.36 113,739 293,372 54,451 134,919 73,273 0.01 0.00 0.02 0.00 0.01 0.00 0.14 2,833,886 0.18 49,541 379,231 70,213 329,508 491,309 53,213 178,323 454,434 373,418 409,174 103,425 0.00 0.01 0.02 0.00 0.00 0.01 0.02 0.03 0.00 0.01 0.01 0.03 0.02 0.03 0.01 *DOD[\(QWHUWDLQPHQW*URXS +DQJ/XQJ3URSHUWLHV/LPLWHG +DQJ6HQJ%DQN/LPLWHG +HQGHUVRQ/DQG'HYHORSPHQW&RPSDQ\/LPLWHG$'5 Hong Kong & China Gas Hong Kong Exchanges & Clearing Limited Hopewell Holdings Limited Hutchison Whampoa Limited +\VDQ'HYHORSPHQW&RPSDQ\/LPLWHG .HUU\3URSHUWLHV/LPLWHG Li & Fung Limited /LQN5(,7 MTR Corp. New World Development Limited NWS Holdings Limited Orient Overseas International Limited 3RZHU$VVHWV+ROGLQJV/WG Sands China Limited Shangri-La Asia Limited 6LQR/DQG&RPSDQ\ SJM Holdings Limited 6XQ+XQJ.DL3URSHUWLHV/LPLWHG 6ZLUH3DFL¿F/LPLWHG 6ZLUH3URSHUWLHV/LPLWHG Wharf Holdings Limited :KHHORFN&RPSDQ\/LPLWHG :\QQ0DFDX/LPLWHG Yue Yuen Industrial Holdings ILS Equities 131,029 227 32,328 110 2,951 2,928 Bezeq Israeli Telecommunication Corp. Limited 'HOHN*URXS/LPLWHG Israel Chemicals Limited Israel Corp. Limited Mellanox Technologies Limited 1LFH6\VWHPV/LPLWHG 7HYD3KDUPDFHXWLFDO,QGXVWULHV/LPLWHG JPY Equities 1,500 12,400 43,800 3,800 8,000 14,100 49,000 1,800 18,000 77,000 28,200 92,000 9,000 ABC-Mart Inc. Advantest Corp. $HRQ&RPSDQ\/LPLWHG $HRQ&UHGLW6HUYLFH&RPSDQ\/LPLWHG $HRQ0DOO&RPSDQ\/LPLWHG Air Water Inc. $LVLQ6HLNL&RPSDQ\/LPLWHG $MLQRPRWR&RPSDQ\,QF Alfresa Holdings Corp. $PDGD&RPSDQ\/LPLWHG $R]RUD%DQN/LPLWHG Asahi Breweries Limited $VDKL*ODVV&RPSDQ\/LPLWHG Asahi Kasei Corp. Asics Corp. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 49 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 38,000 15,000 90,000 3,100 11,100 94,000 12,900 14,300 57,000 10,000 17,100 8,000 22,000 230,470 13,500 3,100 158,000 7,000 41,000 13,000 14,000 20,000 841 59,000 17,000 8,800 5,700 120,000 4,500 22,000 42,200 12,500 30,200 18,200 9,000 2,900 15,500 3,800 35,000 45,000 44,300 182,000 35,000 29,000 8,700 20,000 18,000 22,000 1,300 7,000 113,000 13,000 2,500 3,400 4,800 Description Market value % NAV 1,291,718 95,793 315,802 89,582 2,754,144 85,211 878,105 252,010 107,724 84,284 53,528 242,053 53,300 300,187 438,737 79,898 500,020 112,189 1,100,575 252,751 90,438 728,029 424,754 48,844 102,115 83,179 191,587 442,105 88,153 127,952 54,402 0.08 0.01 0.02 0.01 0.01 0.18 0.01 0.02 0.01 0.04 0.02 0.01 0.02 0.04 0.00 0.00 0.02 0.01 0.02 0.00 0.00 0.02 0.04 0.03 0.01 0.03 0.02 0.03 0.01 0.00 0.07 0.02 0.10 0.04 0.01 0.01 0.14 0.05 0.00 0.03 0.04 0.04 0.01 0.00 0.01 0.00 0.00 0.01 0.00 0.01 0.03 0.01 0.01 0.01 0.00 $VWHOODV3KDUPD,QF %DQNRI.\RWR/LPLWHG %DQNRI<RNRKDPD/LPLWHG Benesse Holdings Inc. Brother Industries Limited Canon Inc. &DVLR&RPSXWHU&RPSDQ\/LPLWHG &HQWUDO-DSDQ5DLOZD\&RPSDQ\ &KLED%DQN/LPLWHG &KL\RGD&RUS &KXEX(OHFWULF3RZHU&RPSDQ\,QF &KXJDL3KDUPDFHXWLFDO&RPSDQ\/LPLWHG &KXJRNX%DQN/LPLWHG &KXJRNX(OHFWULF3RZHU&RPSDQ\,QF Chuo Mitsui Trust Holdings Inc. &LWL]HQ:DWFK&RPSDQ\/LPLWHG &RFD&ROD:HVW-DSDQ&RPSDQ\/LPLWHG &RVPR2LO&RPSDQ\/LPLWHG &UHGLW6DLVRQ&RPSDQ\/LPLWHG 'DL1LSSRQ3ULQWLQJ&RPSDQ\/LPLWHG Daicel Chemical Industries Limited 'DLGR6WHHO&RPSDQ\/LPLWHG 'DLKDWVX0RWRU&RPSDQ\/LPLWHG 'DLLFKL0XWXDO/LIH,QVXUDQFH&RPSDQ\ 'DLLFKL6DQN\R&RPSDQ\/LPLWHG 'DLNLQ,QGXVWULHV/LPLWHG 'DLQLSSRQ3KDUPDFHXWLFDO&RPSDQ\/LPLWHG 'DLWR7UXVW&RQVWUXFWLRQ&RPSDQ\/LPLWHG 'DLZD+RXVH,QGXVWU\&RPSDQ\/LPLWHG Daiwa Securities Group Inc. - ADR 'HQD&RPSDQ\/LPLWHG 'HQNL.DJDNX.RJ\R.. Denso Corp. Dentsu Inc. (DVW-DSDQ5DLOZD\&RPSDQ\ (LVDL&RPSDQ\/LPLWHG (OHFWULF3RZHU'HYHORSPHQW&RPSDQ\ )DPLO\0DUW&RPSDQ\/LPLWHG Fanuc Limited )DVW5HWDLOLQJ&RPSDQ\/LPLWHG )XML(OHFWULF+ROGLQJV&RPSDQ\/LPLWHG )XML+HDY\,QGXVWULHV/LPLWHG )XML¿OP+ROGLQJV&RUS Fujitsu Limited )XNXRND)LQDQFLDO*URXS,QF )XUXNDZD(OHFWULF&RPSDQ\/LPLWHG Gree Inc. GS Yuasa Corp. *XQPD%DQN/LPLWHG +DFKLMXQL%DQN/LPLWHG +DNXKRGR'<+ROGLQJV,QF +DPDPDWVX3KRWRQLFV.. +DQN\X&RUS Hino Motors Limited +LURVH(OHFWULF&RPSDQ\/LPLWHG +LVDPLWVX3KDUPDFHXWLFDO&RPSDQ\,QF +LWDFKL&KHPLFDO&RPSDQ\/LPLWHG 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 50 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 4,800 3,800 395,000 9,000 14,200 13,400 39,400 9,900 5,100 74,000 181 28,480 89,000 131,400 14,000 25,000 5,000 41 37 90 14,000 74,800 45,900 35,000 18,700 12,300 9,000 130 185,870 39,000 12,000 14,000 72,100 10,000 49,000 107,000 24,300 45,000 13,000 4,422 7,000 7,000 122,000 74,000 182,000 5,000 82,900 5,100 112,000 39,700 8,800 Description Market value % NAV 57,713 120,135 3,741,042 144,111 398,954 1,045,478 49,897 83,881 307,310 275,888 125,215 375,594 125,575 123,049 787,533 72,319 53,423 81,319 1,298,183 241,904 83,021 925,941 75,529 34,449 378,857 174,024 54,739 1,588,252 194,534 391,792 0.00 0.00 0.11 0.00 0.01 0.01 0.25 0.04 0.01 0.02 0.01 0.05 0.01 0.03 0.07 0.00 0.01 0.01 0.01 0.02 0.01 0.02 0.01 0.00 0.10 0.04 0.02 0.01 0.02 0.01 0.00 0.01 0.05 0.01 0.00 0.00 0.04 0.01 0.01 0.08 0.02 0.02 0.01 0.00 0.00 0.02 0.04 0.01 0.00 0.11 0.01 0.01 0.03 0.01 +LWDFKL&RQVWUXFWLRQ0DFKLQHU\&RPSDQ\/LPLWHG Hitachi High-Technologies Corp. Hitachi Limited Hitachi Metals Limited +RNNDLGR(OHFWULF3RZHU&RPSDQ\,QF +RNXULNX(OHFWULF3RZHU&RPSDQ\ +RQGD0RWRU&RPSDQ\/LPLWHG +R\D&RUS ,ELGHQ&RPSDQ\/LPLWHG ,GHPLWVX.RVDQ&RPSDQ\/LPLWHG IHI Corp. Inpex Corp. ,VHWDQ0LWVXNRVKL+ROGLQJV/LPLWHG Isuzu Motors Limited Itochu Corp. Itochu Techno-Science Corp. ,\R%DQN/LPLWHG -)URQW5HWDLOLQJ&RPSDQ\/LPLWHG -DSDQ$LUOLQHV&RPSDQ\/LPLWHG -DSDQ3HWUROHXP([SORUDWLRQ&RPSDQ\ -DSDQ3ULPH5HDOW\,QYHVWPHQW&RUS Japan Real Estate Investment Corp. Japan Retail Fund Investment Corp. -DSDQ6WHHO:RUNV/LPLWHG Japan Tobacco Inc. JFE Holdings Inc. JGC Corp. -R\R%DQN/LPLWHG JS Group Corp. JSR Corp. JTEKT Corp. -XSLWHU7HOHFRPPXQLFDWLRQV&RPSDQ\/LPLWHG Jx Holdings Inc. Kajima Corp. .DPLJXPL&RPSDQ\/LPLWHG .DQHND&RUS .DQVDL(OHFWULF3RZHU&RPSDQ\,QF .DQVDL3DLQW&RPSDQ\/LPLWHG Kao Corp. .DZDVDNL+HDY\,QGXVWULHV/LPLWHG KDDI Corp. .HLKLQ(OHFWULF([SUHVV5DLOZD\&RPSDQ\/LPLWHG Keio Corp. .HLVHL(OHFWULF5DLOZD\&RPSDQ\/LPLWHG .H\HQFH&RUS .LNNRPDQ&RUS Kinden Corp. Kintetsu Corp. .LULQ%UHZHU\&RPSDQ\/LPLWHG Kobe Steel Limited .RLWR0DQXIDFWXULQJ&RPSDQ\/LPLWHG Komatsu Limited Konami Corp. Konica Minolta Holdings Inc. Kubota Corp. .XUDUD\&RPSDQ\/LPLWHG Kurita Water Industries Limited 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 51 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 14,300 12,000 27,500 1,500 8,500 12,800 2,700 212,000 3,700 3,417 4,700 93,000 114,700 173,000 104,000 22,000 285,000 87,000 288,000 12,000 1,070,300 2,710 143,400 40,000 73,000 83,000 51,550 19,400 8,200 8,900 190,000 13,000 7,000 7,000 10,700 28,100 9,200 38 8,000 4,700 40,700 112,000 32,000 219,100 8,500 3,900 1,950 12,000 38,525 Description Market value % NAV 89,372 237,137 329,557 48,094 77,140 323,592 57,805 143,273 347,540 101,320 1,037,541 222,851 224,851 118,531 4,328,314 87,722 78,249 184,937 771,020 859,420 137,391 87,208 70,003 43,353 471,194 111,075 205,534 49,187 1,153,830 197,482 59,792 1,558,747 80,380 112,044 108,281 444,228 0.01 0.02 0.02 0.00 0.02 0.01 0.00 0.02 0.00 0.00 0.01 0.01 0.02 0.12 0.07 0.11 0.01 0.07 0.00 0.01 0.01 0.01 0.28 0.01 0.10 0.01 0.09 0.01 0.05 0.17 0.01 0.01 0.02 0.01 0.00 0.00 0.03 0.04 0.04 0.02 0.01 0.01 0.01 0.00 0.09 0.08 0.01 0.00 0.10 0.01 0.01 0.01 0.03 0.04 .\RFHUD&RUS .\RZD+DNNR.RJ\R&RPSDQ\/LPLWHG .\XVKX(OHFWULF3RZHU&RPSDQ\,QF Lawson Inc. 0DEXFKL0RWRU&RPSDQ\/LPLWHG 0DNLWD&RUS Marubeni Corp. 0DUXL&RPSDQ\/LPLWHG Maruichi Steel Tube Limited Mazda Motor Corp. 0F'RQDOG¶V+ROGLQJV&RPSDQ\-DSDQ/LPLWHG Medipal Holdings Corp. 0HLML+ROGLQJV&RPSDQ\/LPLWHG Miraca Holdings Inc. Mitsubishi Chemical Holding Mitsubishi Corp. Mitsubishi Electric Corp. 0LWVXELVKL(VWDWH&RPSDQ\/LPLWHG 0LWVXELVKL*DV&KHPLFDO&RPSDQ\,QF 0LWVXELVKL+HDY\,QGXVWULHV/LPLWHG Mitsubishi Logistics Corp. Mitsubishi Materials Corp. Mitsubishi Motors Corp. 0LWVXELVKL7DQDEH3KDUPD&RUS 0LWVXELVKL8)-)LQDQFLDO*URXS,QF 0LWVXELVKL8)-/HDVH)LQDQFH&RPSDQ\/LPLWHG 0LWVXL&RPSDQ\/LPLWHG Mitsui Chemicals Inc. 0LWVXL)XGRVDQ&RPSDQ\/LPLWHG Mitsui OSK Lines Limited Mitsui Sumitomo Insurance Group Holdings Inc. Mizuho Financial Group Inc. 0XUDWD0DQXIDFWXULQJ&RPSDQ\/LPLWHG Nabtesco Corp. Namco Bandai Holdings NEC Corp. NGK Insulators Limited 1*.6SDUN3OXJ&RPSDQ\/LPLWHG 1+.6SULQJ&RPSDQ\/LPLWHG Nidec Corp. 1LNRQ&RUS 1LQWHQGR&RPSDQ\/LPLWHG Nippon Building Fund Inc. 1LSSRQ(OHFWULF*ODVV&RPSDQ\/LPLWHG 1LSSRQ([SUHVV&RPSDQ\/LPLWHG 1LSSRQ0HDW3DFNHUV,QF 1LSSRQ3DSHU*URXS,QF Nippon Steel Corp. Nippon Telegraph & Telephone Corp. 1LSSRQ<XVHQ.DEXVKLNL.DLVKD 1LVKL1LSSRQ&LW\%DQN/LPLWHG 1LVVDQ0RWRU&RPSDQ\/LPLWHG Nisshin Seifun Group Inc. 1LVVLQ)RRG3URGXFWV&RPSDQ\/LPLWHG 1LWRUL&RPSDQ\/LPLWHG 1LWWR'HQNR&RUS 1NVM+ROGLQJV,QF 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 52 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 4,900 344,700 5,300 15 5,700 34,000 1,247 33,000 15,900 15,200 1,800 5,700 142,000 900 29,800 53,400 134,200 45,000 7,200 2,900 3,800 9,070 19,000 43,000 34,000 98,000 20,900 12,000 1,200 9,000 30,000 54,000 22,200 24,800 45,000 123,000 55,400 3,900 70,800 90,500 8,800 3,500 Description Market value % NAV 57,513 1,520,973 48,170 140,111 232,233 274,144 251,457 523,520 733,579 391,138 897,508 315,728 358,040 82,109 87,131 153,999 110,504 722,529 302,240 355,330 252,093 88,214 435,807 85,003 81,003 279,848 331,987 141,348 532,337 1,950,182 118,882 0.00 0.10 0.00 0.00 0.01 0.01 0.01 0.09 0.00 0.01 0.02 0.01 0.02 0.02 0.02 0.00 0.03 0.05 0.03 0.00 0.04 0.02 0.03 0.02 0.01 0.01 0.01 0.01 0.01 0.00 0.05 0.01 0.02 0.02 0.09 0.00 0.02 0.02 0.00 0.01 0.03 0.01 0.11 0.01 0.02 0.02 0.02 0.01 0.02 0.03 0.13 0.00 0.05 0.01 0.00 0.00 NOK Corp. Nomura Holdings Inc. Nomura Real Estate Holdings Inc. 1RPXUD5HDO(VWDWH2I¿FH)XQG,QF Nomura Research Institute Limited NSK Limited NTT Data Corp. NTT DoCoMo Inc. 1778UEDQ'HYHORSPHQW&RUS 2ED\DVKL&RUS 2GDN\X(OHFWULF5DLOZD\&RPSDQ\/LPLWHG 2-,3DSHU&RPSDQ\/LPLWHG 2O\PSXV&RUS Omron Corp. 2QR3KDUPDFHXWLFDO&RPSDQ\/LPLWHG Oracle Corp. 2ULHQWDO/DQG&RPSDQ\/LPLWHG Orix Corp. 2VDND*DV&RPSDQ\/LPLWHG 2WVXND&RUS 2WVXND+ROGLQJV&RPSDQ\/LPLWHG 3DQDVRQLF&RUS 5DNXWHQ,QF Resona Holdings Inc. 5LFRK&RPSDQ\/LPLWHG Rinnai Corp. 5RKP&RPSDQ\/LPLWHG 6DQN\R&RPSDQ\/LPLWHG 6DQULR&RPSDQ\/LPLWHG 6DQWHQ3KDUPDFHXWLFDO&RPSDQ\/LPLWHG SBI Holdings Inc. 6HFRP&RPSDQ\/LPLWHG 6HJD6DPP\+ROGLQJV,QF 6HNLVXL&KHPLFDO&RPSDQ\/LPLWHG 6HNLVXL+RXVH/LPLWHG 6HYHQ,+ROGLQJV&RPSDQ\/LPLWHG 6HYHQ%DQN/LPLWHG Sharp Corp. 6KLNRNX(OHFWULF3RZHU&RPSDQ\,QF Shimadzu Corp. 6KLPDPXUD&RPSDQ\/LPLWHG Shimano Inc. Shimizu Corp. 6KLQ(WVX&KHPLFDO&RPSDQ\/LPLWHG 6KLQVHL%DQN/LPLWHG 6KLRQRJL&RPSDQ\/LPLWHG 6KLVHLGR&RPSDQ\/LPLWHG 6KL]XRND%DQN/LPLWHG 6KRZD'HQNR.. 6KRZD6KHOO6HNL\X.. SMC Corp. 6RIWEDQN&RUS Sojitz Corp. 6RQ\&RUS 6RQ\)LQDQFLDO+ROGLQJV,QF 6TXDUH(QL[&RPSDQ\/LPLWHG 6WDQOH\(OHFWULF&RPSDQ\/LPLWHG 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 53 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 115,000 98,800 53,000 107,400 8,100 10,000 23,200 40,000 92,000 47,000 1,800 11,000 17,000 8,900 72,000 12,200 4,900 23,000 29,200 220,000 85,000 25,000 23,000 42,000 13,000 8,100 4,000 3,100 3,700 13,400 11,300 2,800 51,000 11,000 4,900 1,080 1,080 8,000 10,000 7,500 19,900 Description Market value % NAV 271,370 953,371 538,221 92,828 2,934,774 73,542 92,898 125,215 117,917 93,477 2,137,242 242,808 134,532 83,540 248,554 538,495 150,515 47,290 32,198 321,025 304,131 433,745 40,491 85,172 375,804 178,215 59,739 0.00 0.02 0.03 0.01 0.04 0.19 0.04 0.00 0.01 0.00 0.03 0.01 0.02 0.01 0.01 0.01 0.00 0.01 0.14 0.02 0.01 0.02 0.01 0.02 0.00 0.01 0.01 0.09 0.04 0.05 0.02 0.01 0.01 0.01 0.03 0.07 0.00 0.01 0.01 0.00 0.00 0.02 0.02 0.02 0.00 0.01 0.03 0.00 0.01 0.02 0.02 0.02 0.01 0.00 0.00 0.01 Sumco Corp. 6XPLWRPR&KHPLFDO&RPSDQ\/LPLWHG Sumitomo Corp. Sumitomo Electric Industries Limited 6XPLWRPR+HDY\,QGXVWULHV/LPLWHG 6XPLWRPR0HWDO0LQLQJ&RPSDQ\/LPLWHG Sumitomo Mitsui Financial Group Inc. 6XPLWRPR5HDOW\'HYHORSPHQW&RPSDQ\/LPLWHG Sumitomo Rubber Industries Inc. 6XUXJD%DQN/LPLWHG 6X]XNHQ&RPSDQ\/LPLWHG 6X]XNL0RWRU&RUS 6\VPH[&RUS T&D Holdings Inc. 7DLKHL\R&HPHQW&RUS Taisei Corp. 7DLVKR3KDUPDFHXWLFDO+ROGLQJV&RPSDQ\/LPLWHG 7DL\R1LSSRQ6DQVR&RUS 7DNDVKLPD\D&RPSDQ\/LPLWHG 7DNHGD3KDUPDFHXWLFDO&RPSDQ\/LPLWHG TDK Corp. Teijin Limited Terumo Corp. 7+.&RPSDQ\/LPLWHG 7REX5DLOZD\&RPSDQ\/LPLWHG 7RKR&RPSDQ\/LPLWHG 7RKR*DV&RPSDQ\/LPLWHG 7RKRNX(OHFWULF3RZHU&RPSDQ\,QF 7RNLR0DULQH+ROGLQJV,QF 7RN\R(OHFWURQ/LPLWHG 7RN\R*DV&RPSDQ\/LPLWHG 7RN\X&RUS 7RN\X/DQG&RUS 7RQHQ*HQHUDO6HNL\X.. 7RSSDQ3ULQWLQJ&RPSDQ\/LPLWHG 7RUD\,QGXVWULHV,QF Toshiba Corp. Toto Limited 7R\R6HLNDQ.DLVKD/LPLWHG 7R\R6XLVDQ.DLVKD/LPLWHG 7R\RGD*RVHL&RPSDQ\/LPLWHG 7R\RWD%RVKRNX&RUS 7R\RWD,QGXVWULHV&RUS 7R\RWD7VXVKR&RUS Trend Micro Inc. 7VXPXUD&RPSDQ\ 8EH,QGXVWULHV/LPLWHG 8QLFKDUP&RUS 8VKLR,QF 866&RPSDQ\/LPLWHG :HVW-DSDQ5DLOZD\&RPSDQ\ Yahoo! Japan Corp. <DNXOW+RQVKD&RPSDQ\/LPLWHG <DPDGD'HQNL&RPSDQ\/LPLWHG Yamaguchi Financial Group Inc. Yamaha Corp. <DPDKD0RWRU&RPSDQ\/LPLWHG 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 54 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 2,500 7,000 11,000 12,000 Description Market value % NAV 55,002 59,073 79,415 99,057 0.02 0.00 0.00 0.01 0.01 122,845,644 8.00 117,820 372,473 837,993 0.01 0.04 0.01 0.02 0.02 0.05 0.13 0.02 0.05 0.03 6,080,810 0.38 51,842 250,105 143,838 0.00 0.00 0.02 0.00 0.01 587,542 0.03 383,335 1,288,230 291,840 350,252 347,335 2,153,203 392,993 147,844 125,571 743,820 408,385 152,883 1,141,797 1,098,530 301,829 0.02 0.04 0.08 0.03 0.02 0.02 0.02 0.02 0.14 0.03 0.01 0.01 0.02 0.03 0.02 0.11 0.01 0.02 0.01 0.05 0.02 0.03 0.05 0.08 0.07 0.02 <DPDWR+ROGLQJV&RPSDQ\/LPLWHG <DPDWR.RJ\R&RPSDQ\/LPLWHG <DPD]DNL%DNLQJ&RPSDQ\/LPLWHG <DVNDZD(OHFWULF&RUS <RNRJDZD(OHFWULF&RUS NOK Equities 29,889 54,800 13,550 $NHU.YDHUQHU$6$ 'Q%1RU%DQN$6$ *MHQVLGLJH)RUVLNULQJ$6$ 1RUVN+\GUR$6$ 2UNOD$6$ Seadrill Limited Statoil ASA Subsea 7 SA Telenor ASA Yara International ASA NZD Equities 44,705 15,932 28,353 101,038 $XFNODQG,QWHUQDWLRQDO$LUSRUW/LPLWHG &RQWDFW(QHUJ\/LPLWHG Fletcher Building Limited 6N\&LW\(QWHUWDLQPHQW*URXS/LPLWHG Telecom Corp. of New Zealand Limited SEK Equities 24,300 20,500 13,541 10,000 37,527 23,429 224,450 20,980 23,400 24,400 29,200 42,889 74,188 Alfa Laval AB $VVD$EOR\$% Atlas Copco AB - A Atlas Copco AB - B Boliden AB Electrolux AB (OHNWD$% Getinge AB - B Hennes & Mauritz AB Hexagon AB Husqvarna AB - B Industrivarden AB Investor AB - B .LQQHYLN,QYHVWPHQW$% /XQGLQ3HWUROHXP$% Millicom International Cellular SA 1RUGHD%DQN$% Ratos AB 6DQGYLN$% Scania AB - B Securitas AB 6NDQGLQDYLVND(QVNLOGD%DQNHQ$% 6NDQVND$% SKF AB - B 6YHQVND&HOOXORVD$% 6YHQVND+DQGHOVEDQNHQ$% 6ZHGEDQN$% Swedish Match AB 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 55 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 23,135 243,925 199,920 Description Market value % NAV 1,851,450 1,027,012 1,311,148 0.02 0.12 0.07 0.09 21,689,326 1.40 231,051 171,594 430,787 253,945 77,098 172,427 1,487,912 445,721 179,394 940,559 82,581 1,400,001 134,250 447,938 1,458,994 1,413,384 408,575 57,227 0.02 0.01 0.03 0.02 0.01 0.02 0.01 0.10 0.03 0.02 0.01 0.01 0.01 0.01 0.01 0.09 0.02 0.01 0.02 0.02 0.03 0.09 0.09 0.01 0.03 0.00 11,905,755 0.79 325,431 1,317,542 722,880 983,313 415,458 409,924 254,414 0.42 0.17 0.12 0.02 0.09 0.05 0.02 0.03 0.11 0.02 0.07 0.08 0.03 0.03 0.03 0.04 0.07 0.02 Tele2 AB 7HOHIRQDNWLHERODJHW/0(ULFVVRQ Teliasonera AB Volvo AB - B SGD Equities 157,000 187,500 192,000 41,000 74,000 414,400 128,000 334,880 137,700 33,000 288,037 47,000 40,000 179,000 712,000 114,899 23,000 197,000 Ascendas Real Estate Investment Trust CapitaCommercial Trust CapitaLand Limited CapitaMall Trust CapitaMalls Asia Limited &LW\'HYHORSPHQWV/LPLWHG ComfortDelgro Corp. Limited DBS Group Holdings Limited Fraser & Neave Limited Genting International plc *OREDO/RJLVWLF3URSHUWLHV/LPLWHG Golden Agri-Resources Limited -DUGLQH&\FOH&DUULDJH/LPLWHG Keppel Corp. Limited Keppel Land Limited Noble Group Limited 2YHUVHD&KLQHVH%DQNLQJ&RUS SembCorp Industries Limited SembCorp Marine Limited Singapore Airlines Limited Singapore Exchange Limited 6LQJDSRUH3UHVV+ROGLQJV/LPLWHG Singapore Telecommunications Limited 8QLWHG2YHUVHDV%DQN/LPLWHG 82/*URXS/LPLWHG Wilmar International Limited Yangzijiang Shipbuilding Holdings Limited USD Equities 55,800 128,500 51,900 29,700 40,400 20,500 5,000 28,000 5,100 41,500 7,100 32,700 19,300 13,100 8,700 103,000 14,400 1,000 0&RPSDQ\ Abbott Laboratories Accenture plc ACE Limited Activision Blizzard Inc. $GREH6\VWHPV,QF ADT Corp. $GYDQFH$XWR3DUWV,QF Aetna Inc. $I¿OLDWHG0DQDJHUV*URXS $ÀDF,QF Agco Corp. Agilent Technologies Inc. $LU3URGXFWV&KHPLFDOV,QF Airgas Inc. $NDPDL7HFKQRORJLHV,QF Albemarle Corp. Alcoa Inc. $OH[LRQ3KDUPDFHXWLFDOV,QF $OOHJKDQ\&RUS 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 4,100 13,000 45,700 28,900 172,000 30,100 17,500 21,700 40,700 89,400 115,825 33,000 17,000 17,000 20,100 12,500 29,000 5,900 27,400 30,700 77,480 114,100 8,400 5,300 41,000 2,900 8,509 11,400 40,100 8,700 39,924 12,800 101,900 49,100 11,000 19,800 20,000 75,300 23,500 18,800 10,900 8,400 8,300 Description Market value % NAV 154,287 450,179 432,972 1,392,422 754,942 4,099,090 5,733,702 3,101,200 1,934,094 807,577 301,355 1,155,522 1,827,935 31,325,215 1,248,589 184,854 12,173,339 439,730 270,909 1,772,915 875,103 201,299 2,482,559 1,324,788 509,701 1,174,273 848,149 211,222 2,091,471 1,708,995 450,884 0.01 0.12 0.03 0.03 0.09 0.05 0.27 0.03 0.03 0.09 0.25 0.19 0.13 0.04 0.05 0.04 0.03 0.27 0.04 0.05 0.02 0.08 0.12 2.05 0.02 0.08 0.01 0.01 0.79 0.03 0.02 0.11 0.05 0.03 0.01 0.02 0.03 0.01 0.08 0.03 0.50 0.13 0.17 0.09 0.03 0.08 0.32 0.01 0.14 0.11 0.02 0.03 $OOHJKHQ\7HFKQRORJLHV,QF Allergan Inc. $OOLDQFH'DWD6\VWHPV&RUS $OOLDQW(QHUJ\&RUS Allstate Corp. Altera Corp. Altria Group Inc. Amazon.com Inc. Ameren Corp. $PHULFDQ&DSLWDO$JHQF\&RUS $PHULFDQ(OHFWULF3RZHU&RPSDQ\,QF $PHULFDQ([SUHVV&RPSDQ\ American International Group Inc. American Tower Corp. $PHULFDQ:DWHU:RUNV&RPSDQ\,QF Ameriprise Financial AmerisourceBergen Corp. $PHWHN,QF Amgen Inc. Amphenol Corp. Analog Devices Inc. $QQDO\&DSLWDO0DQDJHPHQW,QF $QV\V,QF AON Corp. Apache Corp. Apple Inc. Applied Materials Inc. Arch Capital Group Limited $UFKHU'DQLHOV0LGODQG&RPSDQ\ Arrow Electronics Inc. Assurant Inc. AT&T Inc. $XWRGHVN,QF Autoliv Inc. $XWRPDWLF'DWD3URFHVVLQJ,QF Autozone Inc. Avago Technologies Limited $YDORQ%D\&RPPXQLWLHV,QF $YHU\'HQQLVRQ&RUS Avnet Inc. $YRQ3URGXFWV,QF Axis Capital Holdings Limited %DNHU+XJKHV,QF Ball Corp. %DQNRI$PHULFD&RUS %DQNRI1HZ<RUN0HOORQ&RUS Baxter International Inc. BB&T Corp. Beam Inc %HFWRQ'LFNLQVRQ&RPSDQ\ %HG%DWK%H\RQG,QF %HUNVKLUH+DWKDZD\,QF %HVW%X\&RPSDQ\,QF Biogen Idec Inc. %ODFNURFN,QF BMC Software Inc. BorgWarner Inc. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 57 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 12,800 103,500 143,200 41,000 9,075 18,100 7,300 23,000 14,900 48,700 31,900 15,700 39,300 53,800 21,400 57,100 34,900 29,500 51,180 10,400 5,900 95,200 55,800 2,900 22,900 27,000 10,000 10,500 442,400 13,800 241,150 15,100 14,300 10,800 24,900 15,100 338,200 23,400 27,000 38,700 173,500 50,500 12,900 11,300 30,200 8,900 Description Market value % NAV 1,027,282 449,829 3,539,812 1,032,775 435,371 804,971 493,483 205,108 394,312 347,929 447,040 323,013 391,799 2,083,835 430,730 700,100 703,425 1,308,274 430,705 1,094,827 437,879 344,551 404,454 753,053 418,240 599,800 281,292 1,377,029 543,829 0.07 0.03 0.23 0.07 0.03 0.05 0.03 0.01 0.04 0.02 0.02 0.03 0.14 0.02 0.03 0.08 0.25 0.02 0.11 0.03 0.14 0.03 0.10 0.04 0.05 0.07 0.05 0.04 0.09 0.03 0.07 0.03 0.02 0.02 0.43 0.03 0.47 0.05 0.03 0.04 0.07 0.03 0.07 0.02 0.04 0.10 0.20 0.32 0.09 0.02 0.02 0.04 0.04 %RVWRQ3URSHUWLHV,QF %RVWRQ6FLHQWL¿F&RUS %ULVWRO0\HUV6TXLEE&RPSDQ\ Broadcom Corp. Brown-Forman Corp. Bunge Limited CA Inc. &DEOHYLVLRQ6\VWHPV&RUS Cabot Oil & Gas Corp. Calpine Corp. &DPGHQ3URSHUW\7UXVW Cameron International Corp. &DPSEHOO6RXS&RPSDQ\ Capital One Financial Corp. Cardinal Health Inc. CareFusion Corp. &DUPD[,QF33$ Carnival Corp. Caterpillar Inc. CB Richard Ellis Group Inc. CBS Corp. Celanese Corp. Celgene Corp. &HQWHUSRLQW(QHUJ\,QF &HQWXU\7HO,QF Cerner Corp. CF Industries Holdings Inc. CH Robinson Worldwide Inc. Charles Schwab Corp. &KHVDSHDNH(QHUJ\&RUS Chipotle Mexican Grill Inc. Chubb Corp. Church & Dwight Inc. Cigna Corp. &LPDUH[(QHUJ\&RPSDQ\ Cincinnati Financial Corp. Cintas Corp. &LVFR6\VWHPV,QF CIT Group Inc. Citigroup Inc. &LWUL[6\VWHPV,QF Cliffs Natural Resources Inc. &ORUR[&RPSDQ\ CME Group Inc. &06(QHUJ\&RUS &RDFK,QF33$ &REDOW,QWHUQDWLRQDO(QHUJ\ &RFD&ROD&RPSDQ\ Coca-Cola Enterprises Inc. &RJQL]DQW7HFKQRORJ\6ROXWLRQV&RUS$ &ROJDWH3DOPROLYH&RPSDQ\ Comcast Corp. Comcast Corp. - A Comerica Inc. Computer Sciences Corp. ConAgra Foods Inc. Concho Resources Inc. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 58 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 101,500 21,200 24,900 10,500 4,500 130,900 35,000 12,900 43,500 7,500 23,900 12,100 91,000 15,900 107,100 9,700 7,500 34,000 143,100 27,000 47,300 10,300 31,700 10,800 7,900 10,100 51,801 44,800 10,100 2,500 21,700 49,200 18,000 94,900 12,300 13,200 3,800 10,800 37,797 9,100 93,400 27,300 29,400 8,200 77,700 24,700 83,100 171,400 Description Market value % NAV 1,048,958 281,853 351,173 373,100 1,253,002 1,905,105 504,120 193,302 1,308,119 337,835 3,927,704 1,958,874 331,598 1,099,517 581,204 309,453 272,581 520,092 1,970,827 1,309,951 470,343 444,509 572,221 897,133 294,059 437,812 2,723,115 557,448 1,553,851 219,838 1,488,827 272,217 3,289,153 0.29 0.03 0.07 0.02 0.02 0.02 0.08 0.17 0.03 0.12 0.03 0.01 0.09 0.02 0.09 0.08 0.13 0.02 0.04 0.15 0.07 0.05 0.04 0.02 0.08 0.04 0.02 0.03 0.13 0.09 0.03 0.03 0.03 0.00 0.05 0.04 0.12 0.15 0.02 0.03 0.04 0.18 0.01 0.01 0.04 0.10 0.01 0.24 0.10 0.07 0.04 0.17 0.02 0.20 0.21 &RQRFR3KLOOLSV &RQVRO(QHUJ\,QF Consolidated Edison Inc. Constellation Brands Inc. Continental Resources Inc. Core Laboratories NV Corning Inc. Costco Wholesale Corp. &RYHQWU\+HDOWK&DUH,QF Covidien Limited CR Bard Inc. Cree Inc. Crown Castle International Corp. Crown Holdings Inc. CSX Corp. Cummins Inc. &96&DUHPDUN&RUS Danaher Corp. Darden Restaurants Inc. DaVita Inc. 'HHUH&RPSDQ\ Dell Inc. Delphi Automotive plc 'HQEXU\5HVRXUFHV,QF 'HQWVSO\,QWHUQDWLRQDO,QF 'HYRQ(QHUJ\&RUS Diamond Offshore Drilling 'LFNV6SRUWLQJ*RR&RP8VG 'LJLWDO5HDOW\7UXVW,QF DirecTV Group Inc. Discover Financial Services 'LVFRYHU\&RPPXQLFDWLRQV,QF 'LVFRYHU\+ROGLQJ&RPSDQ\$ ',6+1HWZRUN&RUS 'ROE\/DERUDWRULHV,QF Dollar General Corp. Dollar Tree Inc. Dominion Resources Inc. Dover Corp. 'RZ-RQHV&RPSDQ\,QF DR Horton Inc. 'U3HSSHU6QDSSOH*URXS,QF '7((QHUJ\&RPSDQ\ 'XNH(QHUJ\&RUS 'XNH5HDOW\&RUS Dun & Bradstreet Corp. (DVWPDQ&KHPLFDO&RPSDQ\ Eaton Corp. Eaton Vance Corp. (%D\,QF Ecolab Inc. Edison International Edwards Lifesciences Corp. (,'X3RQWGH1HPRXUV&RPSDQ\ Electronic Arts Inc. (OL/LOO\&RPSDQ\ EMC Corp. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 59 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 9,100 5,000 22,100 22,300 14,000 9,500 3,400 25,200 19,000 4,400 7,700 19,300 5,800 81,700 9,300 24,800 18,595 18,300 81,200 7,500 37,571 10,800 58,100 12,000 4,100 12,200 25,900 281,000 20,500 4,900 13,400 71,452 7,100 24,100 9,000 875,800 38,043 52,400 70,900 11,400 38,800 12,300 9,200 83,800 17,100 9,500 34,900 Description Market value % NAV 311,225 303,322 807,513 2,043,095 389,973 1,083,195 1,515,851 358,893 578,971 427,389 447,294 945,557 935,549 1,190,052 543,559 1,277,594 231,959 135,118 13,943,449 572,780 1,550,400 3,754,041 128,840 247,900 352,791 594,020 0.02 0.02 0.05 0.13 0.04 0.03 0.03 0.07 0.02 0.10 0.02 0.04 0.18 0.03 0.11 0.03 0.02 0.11 0.03 0.02 0.01 0.08 0.04 0.02 0.01 0.03 0.04 0.05 0.18 0.04 0.02 0.08 0.02 0.01 0.04 0.02 0.92 0.04 0.10 0.10 0.04 0.23 0.24 0.01 0.75 0.02 0.02 0.14 0.03 0.04 0.02 0.04 (PHUVRQ(OHFWULF&RPSDQ\ Energen Corp. Energizer Holdings Inc. Ensco International Inc. (QWHUJ\&RUS EOG Resources Inc. EQT Corp. Equifax Inc. Equinix Inc. (TXLW\5HVLGHQWLDO Estee Lauder Companies Inc. Everest Re Group Limited Exelon Corp. Expedia Inc. Expeditors International Washington Inc. Express Scripts Inc. )1HWZRUNV,QF )DFHERRN,QF )DPLO\'ROODU6WRUHV,QF )DVWHQDO&RPSDQ\ )HGHUDO5HDOW\,QYHVWPHQW7UXVW FedEx Corp. )LGHOLW\1DWLRQDO,QIRUPDWLRQ6HUYLFHV,QF )LGHOLW\1DWLRQDO7LWOH*URXS,QF Fifth Third BanCorp. )LUVW5HSXEOLF%DQN )LUVW(QHUJ\&RUS Fiserv Inc. Flextronics International Limited )OLU6\VWHPV,QF Flowserve Corp. Fluor Corp. FMC Technologies Inc. )RUG0RWRU&RPSDQ\ Forest Laboratories Inc. Fossil Inc. )UDQNOLQ5HVRXUFHV,QF Frontier Communications Corp GameStop Corp. Gap Inc. Garmin Limited General Electric Capital Corp. *HQHUDO*URZWK3URSHUWLHV,QF General Mills Inc. General Motors Acceptance Corp. *HQXLQH3DUWV&RPSDQ\ Gilead Sciences Inc. Goldman Sachs Group Inc. *RRG\HDU7LUH5XEEHU&RPSDQ\ Google Inc. Green Mountain Coffee Roasters Inc. +5%ORFN,QF +DOOLEXUWRQ&RPSDQ\ Hansen Natural Corp. +DUOH\'DYLGVRQ,QF Harris Corp. Hartford Financial Services Group Inc. 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 9,700 35,100 21,100 12,500 8,200 15,000 21,900 25,400 173,200 27,500 17,800 19,500 125,200 11,400 11,300 35,100 15,400 400,000 5,000 8,800 7,300 90,800 8,100 20,400 39,400 23,300 3,400 44,732 9,700 8,700 227,200 7,500 312,400 40,200 10,800 11,800 23,900 34,000 29,800 10,114 12,300 18,500 7,400 Description Market value % NAV 311,220 1,202,835 980,900 531,041 408,891 1,872,041 1,203,125 5,873,497 371,050 13,192,310 408,809 219,257 305,090 1,051,540 885,208 351,291 439,311 233,219 12,080,341 1,313,319 1,012,451 411,292 2,177,351 578,910 1,057,852 0.02 0.02 0.08 0.03 0.03 0.01 0.05 0.02 0.07 0.12 0.08 0.04 0.02 0.37 0.02 0.02 0.05 0.01 0.05 0.02 0.02 0.11 0.02 0.02 0.42 0.04 0.03 0.01 0.09 0.02 0.07 0.08 0.02 0.03 0.02 0.04 0.78 0.10 0.02 0.04 0.04 0.02 0.07 0.03 0.14 0.03 0.09 0.04 0.03 0.04 0.07 0.03 Hasbro Inc. HCA Inc. +&3,QF Health Care REIT Inc. +HOPHULFK3D\QH,QF +HQU\6FKHLQ,QF Herbalife Limited +HUVKH\)RRGV&RUS Hertz Global Holdings Inc. Hess Corp. +HZOHWW3DFNDUG&RPSDQ\ +-+HLQ]&RPSDQ\ +ROO\)URQWLHU&RUS Hologic Inc. Home Depot Inc. Hormel Foods Corp. Hospira Inc. Host Hotels & Resorts Inc. +XGVRQ&LW\%DQFRUS,QF Humana Inc. +XWFKLVRQ3RUW+ROGLQJV7UXVW IHS Inc. ,OOLQRLV7RRO:RUNV,QF Illumina Inc. Ingersoll-Rand plc ,QWHJU\V(QHUJ\*URXS,QF Intel Corp. IntercontinentalExchange Inc. International Business Machines Corp. International Flavors & Fragrances Inc. ,QWHUQDWLRQDO*DPH7HFKQRORJ\ ,QWHUQDWLRQDO3DSHU&RPSDQ\ Interpublic Group of Companies Inc. Intuit Inc. Intuitive Surgical Inc. Invesco Limited Iron Mountain Inc. JB Hunt Transport Services Inc. -&3HQQH\&RPSDQ\,QF+ROGLQJ&RPSDQ\ -06PXFNHU&RPSDQ\ Johnson & Johnson Johnson Controls Inc. -R\*OREDO,QF -30RUJDQ&KDVH&RPSDQ\ -XQLSHU1HWZRUNV,QF .DQVDV&LW\6RXWKHUQGH0H[LFR6$GH&9 KBR Inc. .HOORJJ&RPSDQ\ .H\FRUS .LPEHUO\&ODUN&RUS .LPFR5HDOW\&RUS Kinder Morgan Inc. Kinder Morgan Management Kla-Tencor Corp. Kohl’s Corp. .URJHU&RPSDQ\ /DERUDWRU\&RUSRI$PHULFD+ROGLQJV 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 33,100 11,500 11,500 13,200 14,500 10,300 13,900 15,800 41,000 9,000 8,900 13,154 22,900 24,500 30,500 99,000 49,400 20,000 9,200 25,800 8,200 9,700 34,700 58,200 33,800 19,545 3,500 37,400 27,100 9,000 25,900 21,800 9,000 84,900 22,500 22,000 13,900 18,700 13,000 85,700 252,974 72,500 19,100 18,200 13,700 4,500 11,800 139,793 Description Market value % NAV 454,914 1,158,903 224,348 237,432 180,547 791,937 449,871 574,797 392,104 942,715 938,032 531,945 1,117,204 428,937 552,519 250,288 205,950 342,450 3,353,702 719,401 223,935 934,574 314,252 7,855,549 1,811,400 144,003 314,995 308,795 382,981 0.03 0.09 0.01 0.02 0.03 0.02 0.01 0.04 0.05 0.04 0.05 0.02 0.03 0.03 0.03 0.04 0.03 0.17 0.02 0.05 0.03 0.07 0.04 0.03 0.07 0.01 0.09 0.11 0.04 0.08 0.02 0.01 0.02 0.21 0.05 0.03 0.03 0.11 0.01 0.02 0.18 0.51 0.12 0.01 0.01 0.02 0.02 0.81 0.02 0.02 0.10 0.18 Lam Research Corp. Las Vegas Sands Corp. Legg Mason Inc. /HJJHWW3ODWW,QF Lennar Corp. Leucadia National Corp. Level 3 Communications Inc. /LEHUW\*OREDO,QF /LEHUW\*OREDO,QF$ /LEHUW\0HGLD&RUS,QWHUDFWLYH /LEHUW\0HGLD&RUS/LEHUW\&DSLWDO /LEHUW\3URSHUW\7UXVW Life Technologies Corp. Lincoln National Corp. /LQHDU7HFKQRORJ\&RUS /LQNHGLQ&RUS /NT&RUS Loews Corp. Lorillard Inc. Lowe’s Cos Inc. LSI Corp. Ltd Brands Inc. Lululemon Athletica Inc. /\RQGHOO%DVHOO,QGXVWULHV19 07%DQN&RUS 0DFHULFK&RPSDQ\ 0DF\¶V,QF Manpower Inc. Marathon Oil Corp. 0DUDWKRQ3HWUROHXP&RUS Marriott International Inc. Marsh & McLennan Companies Inc. Martin Marietta Materials Inc. 0DUYHOO7HFKQRORJ\*URXS/LPLWHG Masco Corp. Mastercard Inc. Mattel Inc. 0D[LP,QWHJUDWHG3URGXFWV,QF 0F&RUPLFN&RPSDQ\,QF McDonald’s Corp. McGraw-Hill Companies Inc. McKesson Corp. 0'85HVRXUFHV*URXS,QF 0HDG-RKQVRQ1XWULWLRQ&RPSDQ\$ MeadWestvaco Corp. Medtronic Inc. 0HUFN&RPSDQ\,QF MetLife Inc. 0HWUR3&6&RPPXQLFDWLRQV,QF MGM Mirage Inc. 0LFURFKLS7HFKQRORJ\,QF 0LFURQ7HFKQRORJ\,QF Microsoft Corp. 0RKDZN,QGXVWULHV,QF 0ROVRQ&RRUV%UHZLQJ&RPSDQ\ 0RQGHOH],QWHUQDWLRQDO,QF864 0RQGHOH],QWHUQDWLRQDO,QF86 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 42,700 14,900 114,900 28,000 21,500 33,500 21,000 5,800 34,300 3,200 30,100 20,900 40,000 32,100 129,200 33,300 7,300 21,000 28,100 14,700 12,800 30,300 19,700 13,700 29,700 19,000 8,900 8,100 14,500 20,300 15,000 331,500 10,000 12,300 29,000 5,400 4,200 23,400 17,937 44,000 17,100 130,148 8,900 139,100 Description Market value % NAV 1,202,700 971,120 1,823,272 872,850 225,194 299,082 195,000 1,408,980 2,502,858 1,747,593 742,144 1,134,389 519,417 1,421,232 749,509 238,898 972,729 387,791 345,958 397,034 8,378,019 198,438 994,455 393,079 941,957 530,828 403,490 254,347 481,328 11,850,205 1,124,577 8,824,579 0.20 0.04 0.11 0.08 0.05 0.01 0.01 0.12 0.01 0.02 0.02 0.01 0.09 0.04 0.10 0.01 0.14 0.03 0.05 0.07 0.03 0.09 0.05 0.05 0.02 0.02 0.03 0.03 0.25 0.02 0.02 0.03 0.05 0.03 0.54 0.04 0.01 0.03 0.02 0.01 0.04 0.03 0.04 0.03 0.02 0.44 0.03 0.03 0.07 0RQVDQWR&RPSDQ\ 0RRG\¶V&RUS 0RUJDQ6WDQOH\ 0RVDLF&RPSDQ\ 0XUSK\2LO&RUS 0\ODQ/DERUDWRULHV Nabors Industries Limited 1DVGDT6WRFN0DUNHW,QF National Oilwell Varco Inc. NetApp Inc. NetFlix Inc. 1HZ<RUN&RPPXQLW\%DQFRUS,QF Newell Rubbermaid Inc. 1HZ¿HOG([SORUDWLRQ&RPSDQ\ Newmont Mining Corp. News Corp. - B - ADR News Corp. Inc. 1H[WHUD(QHUJ\,QF Nielsen Holdings NV 1LNH,QF NiSource Inc. Noble Corp. 1REOH(QHUJ\,QF Nordstrom Inc. 1RUIRON6RXWKHUQ&RUS 1RUWKHDVW8WLOLWLHV Northern Trust Corp. 15*(QHUJ\,QF Nuance Communications Inc. Nucor Corp. Nvidia Corp. NYSE Euronext 2FFLGHQWDO3HWUROHXP&RUS Oceaneering International Inc. 2*((QHUJ\&RUS Omnicare Inc. Omnicom Group Inc. 2QHRN,QF Oracle Corp. 2¶5HLOO\$XWRPRWLYH,QF Owens-Illinois Inc. 3DFFDU,QF 3DOO&RUS 3DUNHU+DQQL¿Q&RUS 3DUWQHU5H/LPLWHG 3DWWHUVRQ&RPSDQLHV,QF 3D\FKH[,QF 3HDERG\(QHUJ\&RUS 3HQWDLU/LPLWHG5HJ 3HRSOH¶V8QLWHG)LQDQFLDO,QF 3HSFR+ROGLQJV,QF 3HSVL&R,QF 3HUULJR&RPSDQ\ 3HWVPDUW,QF 3¿]HU,QF 3*(&RUS 3KLOLS0RUULV,QWHUQDWLRQDO,QF 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 53,950 8,200 10,800 15,500 10,700 12,000 42,901 5,400 4,700 14,700 52,300 12,700 4,100 23,000 58,000 43,079 39,900 43,200 12,400 28,500 19,800 138,200 10,900 7,200 9,300 12,000 15,900 4,300 25,500 11,800 32,300 10,700 7,200 10,200 10,700 17,800 8,800 10,400 27,700 28,100 10,400 22,700 13,100 9,000 7,200 Description Market value % NAV 2,172,895 317,078 873,158 125,091 403,853 1,897,419 534,454 1,135,732 2,042,225 497,542 1,192,319 333,259 481,753 448,794 1,015,010 258,248 381,790 472,102 583,444 731,091 208,720 380,077 241,271 750,009 311,559 5,832,994 799,915 0.14 0.02 0.01 0.02 0.03 0.12 0.02 0.03 0.10 0.07 0.13 0.13 0.13 0.03 0.08 0.00 0.10 0.07 0.09 0.03 0.04 0.03 0.42 0.02 0.03 0.03 0.03 0.05 0.02 0.02 0.04 0.01 0.05 0.04 0.02 0.04 0.02 0.07 0.02 0.02 0.04 0.03 0.04 0.05 0.01 0.02 0.02 0.02 0.09 0.05 0.05 0.02 0.39 0.02 0.05 3KLOOLSV 3LQQDFOH:HVW&DSLWDO&RUS 3LRQHHU1DWXUDO5HVRXUFHV&RPSDQ\ 3LWQH\%RZHV,QF 3ODLQV([SORUDWLRQ3URGXFWLRQ&RPSDQ\ 3OXP&UHHN7LPEHU&RPSDQ\,QF 31&)LQDQFLDO6HUYLFHV*URXS,QF 3RODULV,QGXVWULHV,QF 3ROR5DOSK/DXUHQ&RUS 33*,QGXVWULHV,QF 33/&RUS 3UD[DLU,QF 3UHFLVLRQ&DVWSDUWV&RUS 3ULFHOLQHFRP,QF 3ULQFLSDO)LQDQFLDO*URXS 3URFWHU*DPEOH&RPSDQ\ 3URJUHVVLYH&RUS 3URORJLV,QF 3URWKHQD&RUSSOF 3UXGHQWLDO)LQDQFLDO,QF 3XEOLF6HUYLFH(QWHUSULVH*URXS,QF 3XEOLF6WRUDJH,QF 3XOWH+RPHV,QF 39+&RUS Qep Resources Inc. Qualcomm Inc. Quanta Services Inc. Quest Diagnostics Inc. 5DFNVSDFH+RVWLQJ,QF Ralcorp Holdings Inc. Range Resources Corp. 5D\RQLHU,QF 5HDOW\,QFRPH&RUS Red Hat Inc. 5HJHQF\&HQWHUV&RUS 5HJHQHURQ3KDUPDFHXWLFDOV,QF Regions Financial Corp. RenaissanceRe Holdings Limited Republic Services Inc. Resmed Inc. 5H\QROGV$PHULFDQ,QF Robert Half International Inc. 5RFN7HQQ&RPSDQ\ 5RFNZHOO$XWRPDWLRQ,QF 5RFNZHOO&ROOLQV,QF Roper Industries Inc. Ross Stores Inc. Rowan Companies Inc. 5R\DO&DULEEHDQ&UXLVHV/LPLWHG 6DIHZD\,QF Saic Inc. Salesforce.com Inc. 6DQGLVN&RUS SBA Communications Corp. Scana Corp. Schlumberger Limited 6FULSSV1HWZRUNV,QWHUDFWLYH 6HDJDWH7HFKQRORJ\ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 8,400 2,400 7,300 8,800 24,800 270,900 8,300 71,000 53,900 3,900 31,300 15,487 19,300 44,900 27,000 44,200 12,700 53,000 7,800 50,400 22,700 54,900 12,200 13,800 93,200 32,900 9,200 24,905 82,133 12,400 9,150 14,132 32,800 12,100 7,700 40,300 41,000 21,900 21,800 5,900 11,100 38,800 10,400 71,800 Description Market value % NAV 75,291 120,382 179,842 781,701 491,129 2,973,779 593,827 482,551 2,305,453 1,119,373 207,513 950,448 199,593 188,374 1,210,303 1,121,398 155,554 2,187,203 1,591,598 400,127 1,835,950 304,075 455,740 475,771 313,105 322,254 393,207 439,725 3,411,355 188,295 0.01 0.00 0.01 0.08 0.01 0.05 0.03 0.18 0.04 0.03 0.03 0.14 0.05 0.07 0.07 0.01 0.04 0.05 0.10 0.03 0.07 0.01 0.05 0.01 0.08 0.07 0.01 0.04 0.14 0.09 0.03 0.12 0.19 0.13 0.02 0.02 0.01 0.03 0.03 0.12 0.04 0.02 0.07 0.02 0.03 0.03 0.01 0.02 0.25 0.23 0.01 0.28 Sealed Air Corp. Sears Holdings Corp. 6(,,QYHVWPHQWV&RPSDQ\ 6HPSUD(QHUJ\ Sensata Technologies Holding NV 6KHUZLQ:LOOLDPV&RPSDQ\ Sigma-Aldrich Corp. 6LPRQ3URSHUW\*URXS,QF Sirius XM Radio Inc.. 6/*UHHQ5HDOW\&RUS SLM Corp. 6RXWKHUQ&RPSDQ\ 6RXWKZHVWHUQ(QHUJ\&RPSDQ\ 6SHFWUD(QHUJ\&RUS Sprint Nextel Corp. 63;&RUS St Jude Medical Inc. 6WDQOH\:RUNV Staples Inc. 6WDUEXFNV&RUS Starwood Hotels & Resorts Worldwide Inc. State Street Corp. 6WHULF\FOH,QF 6WU\NHU&RUS 6XQ7UXVW%DQNV,QF 6XSHULRU(QHUJ\6HUYLFHV,QF 6\PDQWHF&RUS 6\QRSV\V,QF 6\VFR&RUS 75RZH3ULFH*URXS,QF Target Corp. TD Ameritrade Holding Corp. Teradata Corp. Texas Instruments Inc. Thermo Electron Corp. 7LIIDQ\&RPSDQ\ Time Warner Cable Inc. - A Time Warner Inc. TJX Companies Inc. Toll Brothers Inc. 7RUFKPDUN&RUS 7RWDO6\VWHP6HUYLFHV,QF 7UDFWRU6XSSO\&RPSDQ\ Transdigm Group Inc. Travelers Companies Inc. Trimble Navigation Limited TRW Automotive Holdings Corp. 7\FR(OHFWURQLFV/LPLWHG 7\FR,QWHUQDWLRQDO/LPLWHG 7\VRQ)RRGV,QF 8'5,QF 8OWD6DORQ&RVPHWLFV)UDJUDQFH 8OWUD3HWUROHXP&RUS 8QGHU$UPRXU 8QLRQ3DFL¿F&RUS 8QLWHG3DUFHO6HUYLFH,QF 8QLWHG6WDWHV6WHHO&RUS 8QLWHG7HFKQRORJLHV&RUS 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description 89,400 23,800 10,100 159,700 53,700 8,800 23,700 8,800 12,900 11,500 13,700 7,300 42,000 22,800 43,400 8,700 9,500 78,100 141,800 11,200 39,000 9,700 72,400 28,000 410,591 44,800 53,525 12,900 14,700 57,200 17,200 10,300 4,400 13,800 5,800 43,200 133,859 18,900 24,900 40,500 13,700 % NAV 301,529 1,389,748 198,107 379,838 444,857 435,815 835,923 375,057 5,355,143 102,282 998,073 442,737 1,293,811 538,215 1,129,449 432,191 424,358 1,018,318 1,420,455 320,448 480,749 294,844 494,874 2,039,745 0.25 0.02 0.02 0.25 0.09 0.03 0.08 0.01 0.02 0.03 0.50 0.03 0.05 0.11 0.04 0.32 0.04 0.02 0.14 0.01 0.03 0.04 0.04 0.08 0.03 0.03 0.07 0.03 0.03 0.07 0.09 0.02 0.03 0.03 0.02 0.04 0.04 0.03 0.05 0.03 0.03 0.02 0.13 0.05 784,638,122 51.07 1,500,860,670 97.59 8QLWHG+HDOWK*URXS,QF 8QXP*URXS 8UEDQ2XW¿WWHUV,QF 86%DQFRUS 9DOHUR(QHUJ\&RUS 9DULDQ0HGLFDO6\VWHPV,QF Ventas Inc. VeriFone Holdings Inc. VeriSign Inc. 9HULVN$QDO\WLFV,QF Verizon Communications Inc. 9HUWH[3KDUPDFHXWLFDOV,QF VF Corp. Viacom Inc. Virgin Media Inc. Visa Inc. VMware Inc. 9RUQDGR5HDOW\7UXVW 9XOFDQ0DWHULDOV&RPSDQ\ :DOJUHHQ&RPSDQ\ :DOW'LVQH\&RPSDQ\ Warner Chilcott plc Waste Management Inc. Waters Corp. :DWVRQ3KDUPDFHXWLFDOV,QF Weatherford International Limited :HOO3RLQW,QF :HOOV)DUJR&RPSDQ\ Western Digital Corp. :HVWHUQ8QLRQ&RPSDQ\ :H\HUKDHXVHU&RPSDQ\ Whirlpool Corp. :KLWLQJ3HWUROHXP&RUS :KROH)RRGV0DUNHW,QF Williams Companies Inc. Willis Group Holdings plc Windstream Corp. :LVFRQVLQ(QHUJ\&RUS :5%HUNOH\&RUS WW Grainger Inc. :\QGKDP:RUOGZLGH&RUS :\QQ5HVRUWV/LPLWHG ;FHO(QHUJ\,QF Xerox Corp. Xilinx Inc. XL Capital Limited ;\OHP,QF Yum! Brands Inc. Zimmer Holdings Inc. Total Equities USD Warrants Equity 0 Market value $PHULFDQ,QWHUQDWLRQDO*URXS,QF:WV-DQ Total Warrants Equity 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 4 0.00 4 0.00 4 0.00 FDC SICAV Actions Monde – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV EUR Rights Repsol SA - Right 0.00 31,651 0.00 31,651 0.00 1,500,892,325 97.59 0 0 4,014 0 0.00 0.00 0.00 0.00 4,014 0.00 0.00 15,666 0.00 190,831 0.01 190,831 0.01 210,511 0.01 Total Rights 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing Other transferable securities and money market instruments EUR Equities 3,335 124,138 1,522 $QJOR,ULVK%DQN&RUSSOF %*3+ROGLQJVSOF &DL[DEDQN6$ Immoeast AG.* GBP Equities 5ROOV5R\FH+ROGLQJV& USD Equities 3,300 Charter Communications Inc. Total Equities USD Warrants Equity 41,472 .LQGHU0RUJDQ,QF:WV0D\ 118,905 0.01 118,905 0.01 Total Warrants Equity 118,905 0.01 Total Other transferable securities and money market instruments 329,416 0.02 1,501,221,741 97.61 36,732,297 2.39 1,537,954,038 100.00 Total Investment in securities Other Net Assets Total Net Assets *Illiquid securities 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Actions Monde – Indexé ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV %DQNV 3KDUPDFHXWLFDOV Oil and gas producers Insurance Retail Telecommunication services Food services Chemicals Computers and peripherals Electrical utilities 0LVFHOODQHRXVPDFKLQHU\ Software Beverages Oil and gas services Financial services Broadcasting, radio and television Real estate investment trust Transportation Internet software and services 0LQLQJQRQSUHFLRXV Semiconductors Tobacco Auto manufacturers Healthcare supplies and equipment 0DFKLQHU\ Cosmetics and personal care IT Consulting and services Commercial services %LRWHFKQRORJ\ Electronic equipment Real estate Telecommunication equipment Electrical equipment Leisure and entertainment Healthcare services Distribution and wholesale 3UHFLRXVPHWDOV Automobile parts and equipment Engineering and construction Aerospace and defence Building materials 'LYHUVL¿HGFRPSDQLHV Apparel Household products Iron and steel %XVLQHVVDQGRI¿FHHTXLSPHQW 3XEOLVKLQJDQGSULQWLQJ Metal fabrication Advertising 11.04 7.51 4.52 4.08 3.91 3.42 2.92 2.82 2.78 2.48 2.47 2.39 2.33 2.25 2.21 2.20 2.05 1.95 1.79 1.79 1.58 1.43 1.39 1.32 1.22 1.15 1.12 1.00 0.92 0.89 0.85 0.84 0.77 0.73 0.55 0.54 0.54 0.51 0.51 0.48 0.28 0.23 0.21 0.20 FDC SICAV Actions Monde – Indexé ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHUFRQWLQXHG Sector Forest products and paper Home furnishings Agriculture Home builders 3DFNDJLQJDQGFRQWDLQHUV Environment control and services Food 7R\VDQGJDPHV 3LSHOLQHV Water utilities (PSOR\PHQWVHUYLFHV Investment companies Textiles Restaurants Media (QHUJ\DOWHUQDWHVRXUFHV Holding companies Storage and warehousing % NAV 0.20 0.18 0.17 0.14 0.14 0.13 0.12 0.11 0.09 0.09 0.08 0.04 0.03 0.01 0.01 0.00 Total Investment in Securities 97.61 Other Net Assets 2.39 Total Net Assets 100.00 FDC SICAV Actions EMMA – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ BRL Equities 2,900 104,200 9,500 111,100 43,700 132,400 105,100 288,400 17,900 8,200 38,000 4,800 4,200 3,100 10,500 5,500 24,700 31,300 4,200 2,500 1,900 44,700 8,700 39,500 15,800 75,300 83,300 22,300 5,700 14,400 5,400 7,200 73,100 2,400 2,400 13,700 10,900 223,400 AES Tiete SA All America Latina Logistica SA $QKDQJXHUD(GXFDFLRQDO3DUWLFLSDFRHV6$ %DQFR%UDGHVFR6$3IG Banco do Brasil SA Banco do Estado do Rio Grande do Sul %DQFR,WDX+ROGLQJ)LQDQFHLUD6$3IG Banco Santander Brasil SA BM&F Bovespa SA %50DOOV3DUWLFLSDFRHV6$ %53URSHUWLHV6$ %UDVNHP6$3IG BRF - Brasil Foods SA Centrais Eletricas Brasileiras SA &HQWUDLV(OHWULFDV%UDVLOHLUDV6$3IG &(7,36$%DOFDR2UJDQL]DGRGH$WLYRVH'HULYDWLYRV Cielo SA &RPSDQKLD%UDVLOHLUDGH'LVWULEXLFDR*UXSR3DRGH$FXFDU Companhia de Bebidas das Americas Companhia de Concessoes Rodoviarias &RPSDQKLDGH6DQHDPHQWR%DVLFRGR(VWDGRGH6DR3DXOR Companhia de Saneamento de Minas Gerais &RPSDQKLD(QHUJHWLFDGH0LQDV*HUDLV3IG &RPSDQKLD(QHUJHWLFDGH6DR3DXOR3IG Companhia Hering &RPSDQKLD3DUDQDHQVHGH(QHUJLD Companhia Siderurgica Nacional SA Cosan SA Industria e Comercio &3)/(QHUJLD6$ &\UHOD%UD]LO5HDOW\6$ Diagnosticos da America SA Drogasil SA Duratex SA EcoRodovias Infraestrutura e Logistica SA ('3(QHUJLDVGR%UDVLO6$ Empresa Brasileira de Aeronautica SA *HUGDX6$3IG +\SHUPDUFDV6$ JBS SA Klabin SA Localiza Rent a Car /RMDV$PHULFDQDV6$3IG Lojas Renner SA Marcopolo SA 059(QJHQKDULDH3DUWLFLSDFRHV6$ Multiplan Empreendimentos Imobiliarios SA Multiplus SA Natura Cosmeticos SA Obrascon Huarte Lain Brasil SA Odontoprev SA 2*;3HWUROHRH*DV3DUWLFLSDFRHV6$ Oi SA 2L6$3IG 3'*5HDOW\6$ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 70 25,343 320,772 1,447,488 878,172 582,845 1,495,724 179,171 29,158 184,391 225,524 42,139 51,070 17,958 94,887 22,312 153,209 149,519 135,031 184,839 54,449 403,080 289,494 79,183 97,781 159,534 34,407 42,427 97,841 273,930 0.02 0.20 0.08 0.91 0.55 1.03 0.37 0.95 0.11 0.05 0.11 0.35 0.01 0.01 0.02 0.14 0.12 0.49 0.15 0.08 0.03 0.03 0.01 0.01 0.12 0.10 0.04 0.17 0.09 0.09 0.12 0.04 0.02 0.58 0.32 0.03 0.18 0.05 0.10 0.02 0.21 0.08 0.03 0.09 0.01 0.03 0.02 0.07 0.17 FDC SICAV Actions EMMA – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 181,900 15,400 28,800 10,800 5,000 5,900 11,700 92,300 92,700 142,500 Description Market value % NAV 1,317,370 1,855,517 134,008 155,224 188,840 74,727 74,812 72,891 1,451,922 2,157,485 504,171 0.83 1.17 0.08 0.10 0.12 0.12 0.05 0.05 0.05 0.13 0.28 0.92 0.31 23,424,774 14.78 97,788 19,181 43,798 73,141 85,474 320,800 171,373 0.01 0.01 0.04 0.05 0.03 0.08 0.03 0.01 0.03 0.02 0.11 0.05 0.05 0.20 0.04 0.11 0.07 0.04 1,666,741 1.04 99,733 74,150 235,294 75,494 52,530 53,891 38,453 0.05 0.04 0.15 0.05 0.03 0.03 0.02 788,000 0.49 CEZ AS .RPHUFQL%DQND$6 Telefonica O2 AS 99,224 0.23 0.10 $JLOH3URSHUW\+ROGLQJV/LPLWHG $JULFXOWXUDO%DQNRI&KLQD+ 522,099 0.21 0.33 3HWUROHR%UDVLOHLUR6$ 3HWUROHR%UDVLOHLUR6$3IG 3RUWR6HJXUR6$ Souza Cruz SA Sul America SA 7HOHFRPXQLFDFRHVGH6DR3DXOR6$ 7LP3DUWLFLSDFRHV6$ Totvs SA Tractebel Energia SA 8OWUDSDU3DUWLFLSDFRHV6$ 8VLQDV6LGHUXUJLFDVGH0LQDV*HUDLV6$3IG Vale SA 9DOH6$3IG 9RWRUDQWLP&HOXORVH3DSHO6$ CLP Equities 38,855 519,008 3,844 32,505 4,300,145 15,305 134,991 30,513 29,815 227,945 14,497 43,307 AES Gener SA Aguas Andinas SA Banco de Chile Banco de Credito e Inversiones Banco Santander Chile SA &$36$ Centros Comerciales Sudamericanos SA Colbun SA &RPSDQLD&HUYHFHULDV8QLGDV6$ CorpBanca SA E.CL SA Empresa Nacional de Electricidad SA Empresa Nacional de Telecomunicaciones SA (PSUHVDV&03&6$ Empresas Copec SA Enersis SA Lan Airlines SA SACI Falabella 9LQD&RQFKD\7RUR6$ COP Equities 5,192 5,848 4,509 3,220 Almacenes Exito SA Banco Davivienda SA BanColombia SA &HPHQWRV$UJRV6$33$ Corporacion Financiera Colombiana SA *UXSRGH,QYHUVLRQHV6XUDPHULFDQD6$&273$ *UXSRGH,QYHUVLRQHV6XUDPHULFDQD6$&273$ Interconexion Electrica SA Isagen SA CZK Equities 13,152 1,040 HKD Equities 304,000 1,393,000 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 71 FDC SICAV Actions EMMA – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 142,000 532,000 240,000 140,000 454,000 201,500 59,500 150,000 100,000 41,000 380,100 220,000 1,092,000 234,000 3,813,000 318,500 59,200 222,000 49,000 524,000 132,000 378,000 179,500 28,000 134,000 99,800 1,088,000 289,500 131,000 242,000 84,000 30,000 104,000 218,000 127,500 825,000 53,000 82,000 420,000 492,000 280,000 532,000 Description Market value % NAV 91,019 184,818 133,402 172,477 138,820 122,745 294,042 93,358 93,285 110,191 0.12 0.08 0.11 0.03 0.03 1.04 0.09 0.08 0.19 0.02 0.07 111,951 499,331 102,588 2,320,921 118,439 239,772 90,955 105,493 320,999 331,438 1,585,311 302,914 279,807 934,817 249,590 58,073 120,305 229,755 214,743 123,882 423,597 180,037 119,921 132,390 177,145 845,929 204,143 873,588 0.11 0.07 0.31 0.31 0.30 0.07 0.15 0.35 0.02 0.07 0.55 0.20 0.21 1.01 0.25 0.03 0.19 0.18 0.59 0.04 0.08 0.15 0.03 0.14 0.08 0.08 0.27 0.11 0.08 0.02 0.08 0.05 0.11 0.53 0.13 0.20 0.55 Air China Limited - H Aluminum Corp. of China Limited $QJDQJ6WHHO&RPSDQ\/LPLWHG+ $QKXL&RQFK&HPHQW&RPSDQ\/LPLWHG $QWD6SRUWV3URGXFWV/LPLWHG $YL&KLQD,QGXVWU\7HFKQRORJ\&RPSDQ\+ %DQNRI&KLQD/LPLWHG+ %DQNRI&RPPXQLFDWLRQV&RPSDQ\/LPLWHG BBMG Corp. %HLMLQJ&DSLWDO,QWHUQDWLRQDO$LUSRUW&RPSDQ\/LPLWHG+ Beijing Enterprises Holdings Limited Belle International Holdings Limited Bosideng International Holding Limited Brilliance China Automotive Holdings Limited %\G&RPSDQ\/LPLWHG &KDQJVKD=RRPOLRQ+HDY\,QGXVWU\6FLHQFHDQG7HFKQRORJ\ 'HYHORSPHQW&RPSDQ\/LPLWHG+ China Agri-Industries Holdings Limited &KLQD%OXH&KHPLFDO/LPLWHG33$ &KLQD&LWLF%DQN&RUS/LPLWHG &KLQD&RDO(QHUJ\&RPSDQ\+ &KLQD&RPPXQLFDWLRQV&RQVWUXFWLRQ&RPSDQ\/LPLWHG+ China Communications Services Corp. 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Limited &KLQD8QLFRP/LPLWHG &KRQJTLQJ5XUDO&RPPHUFLDO%DQN+ &LWLF3DFL¿F/LPLWHG Cnooc Limited 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 72 FDC SICAV Actions EMMA – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 331,000 42,000 144,000 200,000 303,000 110,000 27,000 100,000 430,000 113,200 38,000 24,000 142,000 3,441,000 37,500 101,000 127,000 188,000 202,000 53,000 192,000 359,000 1,114,000 420,000 84,000 350,000 109,000 171,500 571,439 174,000 31,200 424,000 49,500 30,300 8,000 43,000 192,000 35,200 30,000 Description Market value % NAV 387,455 131,510 41,712 45,303 234,080 102,588 178,014 250,059 50,413 144,229 87,332 289,087 142,902 42,170 81,392 1,852,040 33,541 341,774 89,780 78,732 245,921 40,979 91,397 249,072 113,370 87,044 209,703 41,923 74,041 258,083 738,321 35,817 34,547 99,083 0.24 0.08 0.03 0.03 0.03 0.03 0.15 0.17 0.09 0.11 0.11 0.02 0.03 0.09 0.04 0.18 0.09 0.03 0.10 0.03 0.05 1.17 0.02 0.13 0.22 0.11 0.09 0.05 0.04 0.03 0.22 0.04 0.07 0.18 0.05 0.13 0.03 0.24 0.03 0.05 0.04 0.47 0.09 0.02 0.02 0.13 0.07 &RVFR3DFL¿F/LPLWHG &RXQWU\*DUGHQ+ROGLQJV&RPSDQ\ Dah Chong Hong Daphne International Holdings Limited 'DWDQJ,QWHUQDWLRQDO3RZHU*HQHUDWLRQ&RPSDQ\/LPLWHG+ Dongfang Electric Corp. 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H HUF Equities 80,477 4,803 25,595 0DJ\DU7HOHNRPSOF 02/+XQJDULDQ2LODQG*DV1\5W 273%DQN IDR Equities 1,855,500 1,544,500 433,000 $GDUR(QHUJ\37 %DQN&HQWUDO$VLD7%.37 %DQN'DQDPRQ,QGRQHVLD7%.37 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 93 FDC SICAV Actions EMMA – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 1,191,422 913,500 1,005,000 891,500 81,500 205,500 334,000 3,152,500 1,433,500 390,000 155,500 1,237,500 200,500 292,500 Description Market value % NAV 759,510 310,822 42,417 248,523 284,299 118,249 184,795 881,407 351,215 131,215 0.22 0.09 0.22 0.01 0.08 0.05 0.11 0.07 0.11 0.08 0.04 0.04 0.08 0.03 0.15 0.14 0.05 0.10 0.10 0.04 8,664,953 2.52 78,318 33,478 190,740 491,401 148,548 89,704 213,107 147,378 284,074 293,518 129,041 138,399 282,012 90,437 132,514 708,977 775,908 1,575,478 979,095 141,783 0.02 0.04 0.01 0.14 0.10 0.04 0.03 0.04 0.08 0.05 0.03 0.08 0.04 0.04 0.08 0.03 0.04 0.48 0.20 0.23 0.02 0.47 0.08 0.29 0.04 0.08 %DQN0DQGLUL3HUVHUR7%.37 %DQN1HJDUD,QGRQHVLD7%.37 %DQN5DN\DW,QGRQHVLD %XPL5HVRXUFHV7%.37 &KDURHQ3RNSKDQG,QGRQHVLD7%.37 *OREDO0HGLDFRP7%.37 *XGDQJ*DUDP7%.37 ,QGR7DPEDQJUD\D0HJDK37 ,QGRFHPHQW7XQJJDO3UDNDUVD7%.37 ,QGRIRRG6XNVHV0DNPXU7%.37 ,QGRVDW7%.37 -DVD0DUJD3W .DOEH)DUPD7%.37 0HGLD1XVDQWDUD&LWUD7%.37 3HUXVDKDDQ*DV1HJDUD37 6HPHQ*UHVLN3HUVHUR7%.37 7DPEDQJ%DWXEDUD%XNLW$VDP7%.37 7HOHNRPXQLNDVL,QGRQHVLD7%.37 8QLOHYHU,QGRQHVLD7%.37 8QLWHG7UDFWRUV7%.37 ;O$[LDWD7%.37 INR Equities 3,950 38,988 2,207 3,339 12,222 12,384 18,891 29,874 38,045 37,833 59,757 72,312 43,352 11,133 15,471 175,521 120,951 97,574 49,239 47,113 49,080 121,258 ACC Limited Adani Enterprises Limited $GLW\D%LUOD1XYR/LPLWHG Ambuja Cements Limited $VLDQ3DLQWV/LPLWHG $[LV%DQN/LPLWHG Bajaj Auto Limited %DQNRI%DURGD %DQNRI,QGLD %KDUDW+HDY\(OHFWULFDOV %KDUDW3HWUROHXP&RUS/LPLWHG Bharti Airtel Limited Cairn India Limited &DQDUD%DQN Cipla Limited Coal India Limited Dabur India Limited DLF Limited 'U5HGG\¶V/DERUDWRULHV/LPLWHG Gail India Limited *RGUHM&RQVXPHU3URGXFWV/LPLWHG HCL Technologies Limited +')&%DQN/LPLWHG Hero Honda Motors Limited Hindalco Industries Limited Hindustan Lever Limited Housing Development Finance Corp. ,&,&,%DQN/LPLWHG Idea Cellular Limited ,QIRV\V7HFKQRORJLHV/LPLWHG ,QIUDVWUXFWXUH'HYHORSPHQW)LQDQFH&RPSDQ\/LPLWHG ITC Limited -DLSUDNDVK$VVRFLDWHV/LPLWHG -LQGDO6WHHO3RZHU/LPLWHG 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 94 FDC SICAV Actions EMMA – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 24,071 19,811 15,520 5,280 30,089 18,374 50,871 101,801 12,424 15,518 34,130 97,053 3,847 227,114 9,849 Description Market value % NAV 57,855 293,882 79,907 131,892 501,273 108,918 128,410 144,347 84,852 194,782 112,907 114,757 132,413 124,272 150,870 130,272 107,983 512,482 347,875 420,079 158,382 213,357 51,711 105,787 105,802 258,895 309,387 0.02 0.09 0.02 0.04 0.15 0.03 0.04 0.04 0.02 0.02 0.02 0.03 0.03 0.04 0.51 0.04 0.05 0.04 0.02 0.04 0.03 0.15 0.10 0.27 0.12 0.05 0.02 0.03 0.03 0.08 0.09 0.03 21,706,032 6.33 314,801 180,309 248,214 158,177 223,157 138,109 217,170 152,774 157,242 53,284 155,444 397,948 0.09 0.05 0.07 0.05 0.10 0.07 0.04 0.01 0.03 0.05 0.04 0.05 0.02 0.05 0.04 0.12 JSW Steel Limited .RWDN0DKLQGUD%DQN/LPLWHG Larsen & Toubro Limited Lic Housing Finance Limited Lupin Limited Mahindra & Mahindra Limited 0DUXWL8G\RJ/LPLWHG 0XQGUD3RUWDQG6SHFLDO(FRQRPLF=RQH/LPLWHG 173&/LPLWHG 3LUDPDO+HDOWKFDUH/LPLWHG 3RZHU)LQDQFH&RUS/LPLWHG 3RZHU*ULG&RUSRI,QGLD/LPLWHG 5DQED[\/DERUDWRULHV/LPLWHG Reliance Capital Limited Reliance Communication Ventures Limited 5HOLDQFH(QHUJ\/LPLWHG Reliance Industries Limited 5HOLDQFH3RZHU/LPLWHG 5XUDO(OHFWUL¿FDWLRQ&RUS/LPLWHG 6DW\DP&RPSXWHU6HUYLFHV/LPLWHG Sesa GOA Limited Shriram Transport Finance Siemens India Limited 6WDWH%DQNRI,QGLD/LPLWHG 6XQ3KDUPDFHXWLFDOV,QGXVWULHV/LPLWHG 7DWD&RQVXOWDQF\6HUYLFHV/LPLWHG Tata Motors Limited 7DWD3RZHU&RPSDQ\/LPLWHG Tata Steel Limited Titan Industries Limited 8OWUD7HFK&HPHQW/LPLWHG 8QLWHFK/LPLWHG 8QLWHG6SLULWV/LPLWHG Wipro Limited Zee Entertainment Enterprises Limited KRW Equities 19,280 13,423 5,412 5,220 3,740 18,878 11,290 14,820 4,830 583 4,854 10,480 $PRUHSDFL¿F&RUS BS Financial Group Inc. 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Advanced Semiconductor Engineering Inc. $GYDQWHFK&RPSDQ\/LPLWHG Asia Cement Corp. $VXVWHN&RPSXWHU,QF $82SWURQLFV&RUS Capital Securities Corp. &DWFKHU7HFKQRORJ\&RPSDQ\/LPLWHG &DWKD\)LQDQFLDO+ROGLQJ&RPSDQ\/LPLWHG &KDLOHDVH+ROGLQJ&RPSDQ\/LPLWHG &KDQJ+ZD&RPPHUFLDO%DQN &KHQJ6KLQ5XEEHU&RPSDQ\/LPLWHG &KHQJ8HL3UHFLVLRQ,QGXVWU\&RPSDQ\ &KLFRQ\(OHFWURQLFV&RPSDQ\/LPLWHG China Airlines China Development Financial Holding Corp. &KLQD/LIH,QVXUDQFH&RPSDQ\/LPLWHG China Motor Corp. &KLQD3HWURFKHPLFDO'HYHORSPHQW&RUS China Steel Corp. &KLQDWUXVW)LQDQFLDO+ROGLQJ&RPSDQ\ &KXQJKZD7HOHFRP&RPSDQ\/LPLWHG &OHYR&RPSDQ\ Compal Electronics Inc. CTCI Corp. Delta Electronics Inc. (6XQ)LQDQFLDO+ROGLQJ&RPSDQ\/LPLWHG Epistar Corp. * Illiquid securities 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 100 FDC SICAV Actions EMMA – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 355 273,900 229,898 40,753 340,584 178,000 52,000 82,000 718,497 293 135,000 142,000 84,187 51,309 51,200 32,319 1,149,485 83,270 12,000 131,549 94,494 542,000 180,000 23,199 37,800 151,000 50,340 70,815 25,750 105,000 83,578 343,000 42,350 144,213 350,298 Description Market value % NAV 233 104,184 32,093 294,454 344,511 110,731 332,173 705,228 2,981 303,248 103,851 199,882 591,370 223,138 73,018 158,232 241,988 257,035 114,949 109,457 243,852 31,922 792,780 187,212 202,858 259,942 510,214 157,125 113,384 114,002 157,177 277,729 221,950 201,523 213,209 101,870 355,920 0.00 0.04 0.03 0.01 0.09 0.10 0.02 0.03 0.10 0.21 0.00 0.09 0.27 0.03 0.17 0.07 0.02 0.05 0.79 0.05 0.19 0.07 0.08 0.03 0.03 0.07 0.02 0.07 0.01 0.33 0.04 0.03 0.23 0.05 0.05 0.03 0.01 0.08 0.03 0.15 0.05 0.03 0.03 0.05 0.05 0.04 0.08 0.05 0.01 0.03 0.10 (WHUQDO&KHPLFDO&RPSDQ\/LPLWHG (YD$LUZD\V&RUS Evergreen Marine Corp. 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Tung Ho Steel Enterprise Corp. 80LQJ0DULQH7UDQVSRUW&RUS 8QLPLFURQ7HFKQRORJ\&RUS 8QL3UHVLGHQW(QWHUSULVHV&RPSDQ\ 8QLWHG0LFURHOHFWURQLFV&RUS Walsin Lihwa Corp. Wan Hai Lines Limited :LQWHN&RUS Wistron Corp. :3*+ROGLQJV&RPSDQ\/LPLWHG Yang Ming Marine Transport <XDQWD)LQDQFLDO+ROGLQJ&RPSDQ\/LPLWHG <XORQ0RWRU&RPSDQ\ =KHQ'LQJ7HFKQRORJ\+ROGLQJ/LPLWHG USD Equities 22,351 7,900 10,700 11,143 418 10,111 ZAR Equities 33,119 43,823 34,478 33,135 25,142 34,003 14,481 355,120 83,792 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 102 FDC SICAV Actions EMMA – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity 189,797 45,157 20,750 23,847 9,414 11,380 114,939 27,320 193,082 23,527 37,079 315,738 48,337 80,343 205,972 48,919 18,890 137,181 130,535 18,315 Description Market value % NAV 415,705 924,984 125,355 84,119 227,805 341,931 91,295 98,355 292,330 140,402 2,034,021 894,337 1,457,918 320,098 532,543 548,381 25,931,282 0.12 0.09 0.27 0.11 0.04 0.14 0.02 0.10 0.07 0.10 0.90 0.12 0.05 0.03 0.04 0.05 0.08 0.20 0.03 0.09 0.04 0.24 0.05 0.07 0.43 0.09 0.14 0.14 0.15 7.62 316,154,237 92.53 941 120 0.00 0.00 1,061 0.00 1,061 0.00 0.04 153,762 0.04 *URZWKSRLQW3URSHUWLHV/LPLWHG +DUPRQ\*ROG0LQLQJ&RPSDQ\/LPLWHG ,PSDOD3ODWLQXP+ROGLQJV/LPLWHG Imperial Holdings Limited Investec Limited Kumba Iron Ore Limited /LEHUW\+ROGLQJV/LPLWHG Life Healthcare Group Holding Massmart Holdings Limited MMI Holdings Limited 0U3ULFH*URXS/LPLWHG MTN Group Limited Naspers Limited 1HGEDQN*URXS/LPLWHG Netcare Limited 1RUWKDP3ODWLQXP/LPLWHG 3LFN¶Q3D\6WRUHV/LPLWHG 3UHWRULD3RUWODQG&HPHQW&RPSDQ\/LPLWHG 5HGH¿QH,QFRPH)XQG/LPLWHG Remgro Limited Reunert Limited RMB Holdings Limited RMI Holdings Sanlam Limited Sappi Limited Sasol Limited Shoprite Holdings Limited Spar Group Limited 6WDQGDUG%DQN*URXS/LPLWHG Steinhoff International Holdings Limited Tiger Brands Limited Truworths International Limited 9RGDFRP*URXS3W\/LPLWHG Woolworths Holdings Limited Total Equities CLP Rights 98,150 280 Banco de Chile - Right Latam Airlines Group SA - Right Total Rights TRY Funds (PODN.RQXW*D\ULPHQNXO<DWLULP2UWDNOLJL$6 Total Funds 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 153,762 0.04 316,309,060 92.57 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 103 FDC SICAV Actions EMMA – Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity Description Market value % NAV Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities RUB Equities 84,131,088 153,443 ,QWHU5DR8HV2$2 Rostelecom OJSC Tatneft 51,895 0.02 0.10 0.24 1,210,515 0.36 195,359 108,507 85,154 2,749,238 508,024 294,343 420,884 327,493 359,891 934,515 483,322 0.09 1.30 0.03 0.02 0.89 0.03 0.80 0.15 0.09 0.12 0.22 0.10 0.03 0.10 0.27 0.14 15,246,946 4.44 Total Equities 16,457,461 4.80 Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities Other transferable securities and money market instruments 16,457,461 4.80 0 0.00 0 0.00 0 0.00 USD Equities 39,095,581 138,090,000 34,850 303,837 32,100 27,470 1,113,525 211 )HGHUDO*ULG&RPSDQ\8QL¿HG(QHUJ\6\VWHP-6& )HGHUDO+\GURJHQHUDWLQJ&R-6& Gazprom OAO* IDGC Holding JSC* ,QWHU5DR8HV2$2 /XNRLO2$2 Rostelecom OJSC* 6EHUEDQN5) 6EHUEDQN5)3IG Severstal* Sistema JSFC - GDR - Reg Surgutneftegaz 6XUJXWQHIWHJD]3IG Tatneft 7UDQVQHIW3IG 8UDONDOL 97%%DQN2-6& KRW Equities 583 1HR+ROGLQJV&RPSDQ\/LPLWHG Total Equities Total Other transferable securities and money market instruments Total Investment in securities 0 0.00 332,766,521 97.37 Other Net Assets Total Net Assets 8,972,020 2.63 341,738,541 100.00 *Illiquid securities 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 104 FDC SICAV Actions EMMA – Indexé ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV %DQNV Oil and gas producers Semiconductors Telecommunication services Financial services Iron and steel Chemicals Retail Insurance 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1,500,000 3,000,000 2,250,000 1,000,000 2,000,000 1,000,000 2,000,000 500,000 700,000 200,000 1,550,000 3,200,000 170,000 1,400,000 1,000,000 1,000,000 1,500,000 250,000 300,000 2,500,000 250,000 500,000 1,000,000 500,000 1,500,000 400,000 2,000,000 1,500,000 370,000 1,180,000 3,950,000 10,750,000 2,500,000 3,300,000 2,000,000 5,000,000 7,000,000 $V¿QDJ6HS $XVWULD*RYWRI-XQ $XVWULD*RYWRI)HE $XVWULD*RYWRI1RY $XVWULD*RYWRI0DU $XVWULD*RYWRI-DQ $XVWULD*RYWRI0DU %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI-XQ %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH)HE &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH2FW &DLVVHG¶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¿FLW(OHFWULFR'HF )LQODQG*RYWRI-XO )LQODQG*RYWRI-XO )LQODQG*RYWRI$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 107 511,002 1,817,900 3,230,753 1,320,225 7,738,849 2,192,000 3,584,850 588,830 801,479 1,570,507 3,322,720 205,420 1,074,700 1,121,275 298,530 2,984,000 3,110,249 540,125 1,587,225 452,750 2,012,130 1,384,524 4,325,349 2,802,313 2,252,850 8,150,449 0.09 0.21 0.78 0.27 0.30 0.54 0.22 1.29 0.37 0.19 0.27 0.29 1.27 0.50 0.23 0.35 0.18 0.39 0.10 0.13 0.04 0.55 0.03 0.25 0.18 0.19 0.28 0.05 0.49 0.51 0.04 0.09 0.18 0.09 0.27 0.08 0.34 0.27 0.07 0.23 0.72 1.98 0.47 0.59 0.38 0.95 FDC SICAV Obligations EUR – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 2,700,000 4,900,000 1,200,000 3,500,000 4,000,000 1,500,000 4,300,000 1,050,000 3,000,000 2,500,000 2,000,000 3,500,000 2,000,000 1,400,000 700,000 3,000,000 700,000 7,000,000 4,000,000 1,000,000 5,000,000 9,000,000 8,000,000 3,000,000 3,500,000 4,000,000 8,400,000 8,200,000 5,000,000 2,200,000 4,000,000 3,000,000 800,000 2,500,000 3,500,000 1,800,000 2,500,000 1,200,000 4,000,000 2,000,000 1,000,000 3,400,000 1,250,000 1,000,000 4,010,000 1,300,000 Description Market value % NAV 7,508,813 2,913,543 10,058,989 1,249,238 7,390,500 2,924,300 5,238,800 3,243,500 1,471,281 3,050,879 722,820 7,112,875 1,034,275 5,188,000 8,857,124 8,327,599 3,019,425 3,047,713 4,145,300 8,770,439 8,475,724 5,151,000 3,128,025 819,520 1,804,230 1,201,050 2,391,850 3,927,595 1,321,550 4,731,700 0.54 1.25 1.21 0.81 0.70 0.49 0.28 0.83 0.21 1.23 0.59 1.42 0.50 0.49 0.87 0.54 0.25 0.12 0.10 0.10 0.50 0.12 1.19 0.17 0.87 1.48 1.39 0.50 0.51 1.42 1.14 0.38 0.72 0.52 0.14 0.44 0.30 0.42 0.20 1.09 0.78 0.40 0.19 0.25 0.22 0.79 0.29 )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI6HS *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ +HVVH6WDWHRI)HE +HVVH6WDWHRI-XQ ,QVWLWXWRGH&UHGLWR2¿FLDO)HE ,QVWLWXWRGH&UHGLWR2¿FLDO-DQ ,QVWLWXWRGH&UHGLWR2¿FLDO-XO ,QVWLWXWRGH&UHGLWR2¿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¿QDQFLDOVWDWHPHQWV 108 FDC SICAV Obligations EUR – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 1,000,000 1,900,000 500,000 1,000,000 500,000 750,000 300,000 100,000 2,000,000 250,000 350,000 5,500,000 5,500,000 5,000,000 3,000,000 8,000,000 2,950,000 2,500,000 5,000,000 9,500,000 1,000,000 Description Market value % NAV 1,039,370 2,014,503 1,183,215 513,518 773,955 107,747 2,285,050 4,984,375 2,970,825 8,134,199 9,728,474 1,040,900 0.17 0.34 0.10 0.20 0.09 0.13 0.05 0.02 0.38 0.05 0.07 0.91 0.93 0.83 0.50 1.03 0.49 0.40 0.89 0.17 408,713,752 68.24 408,713,752 68.24 477,727 478,015 423,004 531,845 1,055,795 589,520 303,819 412,242 1,110,789 958,288 375,057 272,478 310,575 0.08 0.08 0.12 0.07 0.09 0.18 0.10 0.08 0.09 0.09 0.11 0.05 0.09 0.09 0.07 0.18 0.11 0.08 0.05 0.08 0.13 0.04 0.05 0.27 1RUWK5KLQH:HVWSKDOLD*RYWRI0D\ 1RUWK5KLQH:HVWSKDOLD*RYWRI2FW 2H%%,QIUDVWUXNWXU$*-XO 2QWDULR3URYLQFHRI'HF 2VHR6$$SU 3RODQG*RYWRI-XO 3RODQG*RYWRI)HE 3RODQG*RYWRI-DQ 3RODQG*RYWRI$SU 3RODQG*RYWRI2FW 3RODQG*RYWRI-DQ 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI2FW 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI2FW 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI$SU 6SDLQ*RYWRI-DQ Total Supranationals, Governments and Local Public Authorities, Debt Instruments EUR Bonds 450,000 450,000 700,000 400,000 500,000 900,000 500,000 450,000 500,000 500,000 300,000 500,000 500,000 400,000 1,000,000 400,000 350,000 900,000 350,000 250,000 500,000 700,000 250,000 900,000 300,000 1,500,000 $%%)LQDQFH%90DU $EEH\1DWLRQDO7UHDVXU\6HUYLFHVSOF2FW $EHUWLV,QIUDHVWUXFWXUDV6$2FW 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1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 800,000 1,000,000 750,000 2,000,000 300,000 500,000 500,000 500,000 500,000 550,000 1,000,000 950,000 200,000 1,000,000 550,000 1,000,000 400,000 150,000 800,000 350,000 500,000 500,000 1,000,000 2,000,000 500,000 500,000 750,000 500,000 400,000 500,000 300,000 500,000 150,000 1,000,000 500,000 550,000 700,000 500,000 500,000 300,000 450,000 500,000 1,500,000 700,000 300,000 500,000 1,000,000 1,000,000 700,000 500,000 350,000 500,000 Description Market value % NAV 2,041,559 307,340 583,470 587,880 558,750 1,018,095 210,441 1,082,895 570,983 1,104,050 892,132 352,118 514,290 512,395 1,049,825 2,240,710 530,708 744,315 571,215 335,072 154,271 1,141,849 525,928 588,579 704,854 524,355 577,503 315,924 1,517,243 343,293 1,029,815 1,091,015 785,243 492,325 358,580 0.12 0.15 0.13 0.34 0.05 0.10 0.10 0.09 0.09 0.11 0.17 0.19 0.04 0.18 0.10 0.18 0.07 0.03 0.15 0.09 0.09 0.18 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/DQGZLUWVFKDIWOLFKH5HQWHQEDQN2FW /DQGZLUWVFKDIWOLFKH5HQWHQEDQN0D\ /DQGZLUWVFKDIWOLFKH5HQWHQEDQN0DU /DQ[HVV)LQDQFH%91RY /%DQN'HF /HDVH3ODQ&RUS196HS /HDVH3ODQ&RUS196HS /LQGH)LQDQFH%9'HF /RWWRPDWLFD*URXS6S$0DU /X[HPERXUJ*RYWRI0DU 0DQ6(0DU 0F'RQDOG¶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¿QDQFLDOVWDWHPHQWV 112 FDC SICAV Obligations EUR – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 1,000,000 300,000 400,000 500,000 1,000,000 400,000 200,000 450,000 250,000 550,000 250,000 2,100,000 450,000 400,000 1,000,000 500,000 1,000,000 500,000 500,000 500,000 1,000,000 500,000 1,000,000 500,000 300,000 400,000 1,000,000 500,000 550,000 500,000 250,000 1,000,000 400,000 500,000 550,000 300,000 300,000 900,000 400,000 1,000,000 500,000 700,000 450,000 100,000 1,000,000 500,000 350,000 Description Market value % NAV 1,075,444 301,775 408,158 512,258 1,124,835 477,290 252,701 590,422 2,153,728 429,734 1,033,050 538,515 1,095,235 509,893 550,448 583,940 524,870 1,034,480 550,535 355,185 1,085,979 527,340 539,088 271,821 434,840 321,010 425,598 505,373 722,812 482,411 112,281 1,044,155 527,103 375,823 0.19 0.05 0.07 0.09 0.19 0.07 0.04 0.08 0.04 0.09 0.04 0.11 0.08 0.10 0.07 0.17 0.09 0.18 0.09 0.09 0.11 0.10 0.19 0.09 0.17 0.09 0.11 0.07 0.11 0.18 0.09 0.09 0.09 0.05 0.17 0.07 0.11 0.10 0.10 0.05 0.05 0.07 0.18 0.08 0.13 0.08 0.02 0.17 0.09 0.11 6$%0LOOHUSOF-DQ 6DQR¿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¿QDQFLDOVWDWHPHQWV 113 FDC SICAV Obligations EUR – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Market value % NAV 111,737 314,498 517,955 324,788 0.10 0.02 0.04 0.05 0.11 0.10 0.10 0.11 0.09 0.13 0.07 0.09 0.03 0.05 176,479,675 29.47 Total Bonds 176,479,675 29.47 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 585,193,427 97.71 Total Investment in securities 585,193,427 97.71 Other Net Assets 13,688,043 2.29 Total Net Assets 598,881,470 100.00 100,000 200,000 300,000 500,000 550,000 700,000 400,000 500,000 150,000 300,000 Description 8QLRQHGL%DQFKH,WDOLDQHVFSD2FW 9DOHR6$0D\ 9DWWHQIDOO7UHDVXU\$%0D\ 9DWWHQIDOO7UHDVXU\$%'HF 9LQFL6$0DU 9LYHQGL6$-DQ 9LYHQGL6$1RY 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH190D\ 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH19-DQ 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH19-DQ 9RONVZDJHQ/HDVLQJ*PE+0D\ :HOOV)DUJR&RPSDQ\$XJ :HVWSDF6HFXULWLHV1=/LPLWHG0DU :LOORZ1R,UHODQGSOFIRU=XULFK,QVXUDQFH&RPSDQ\/LPLWHG -XQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 114 FDC SICAV Obligations EUR – Actif 1 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments %DQNV Government guaranteed bonds Electrical utilities 6XSUDQDWLRQDOEDQNV Financial services Transportation Insurance Telecommunication services Auto manufacturers Food services Beverages Oil and gas producers Real estate Engineering and construction Tobacco 0LQLQJQRQSUHFLRXV Chemicals Gas Electrical equipment Oil and gas services Water utilities Real estate investment trust Retail Construction and Building materials 3KDUPDFHXWLFDOV Telephone Commercial papers and other short term instruments 'LYHUVL¿HGFRPSDQLHV Building materials Investment companies 0DFKLQHU\ Agriculture )LQDQFLDOLQVWLWXLRQV(& 3XEOLVKLQJDQGSULQWLQJ Metal fabrication Automobile parts and equipment Leisure and entertainment 13.47 2.21 2.10 1.88 1.42 1.38 1.21 0.94 0.72 0.70 0.58 0.53 0.52 0.48 0.19 0.19 0.19 0.17 0.13 0.11 0.10 0.10 0.09 0.09 0.07 0.07 0.05 0.05 0.05 0.04 0.02 0.02 Total Investment in Securities 97.71 Other Net Assets 2.29 Total Net Assets 100.00 115 FDC SICAV Obligations EUR – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 1,200,000 5,000,000 3,300,000 1,800,000 3,000,000 7,000,000 1,700,000 5,000,000 2,000,000 5,000,000 3,500,000 7,000,000 8,000,000 14,000,000 13,000,000 5,000,000 8,500,000 2,200,000 9,000,000 13,000,000 5,000,000 3,500,000 3,500,000 2,000,000 7,000,000 5,000,000 20,000,000 10,000,000 11,000,000 15,000,000 11,000,000 7,500,000 8,000,000 4,000,000 2,000,000 5,000,000 12,500,000 10,000,000 5,000,000 9,400,000 4,000,000 5,000,000 5,000,000 7,000,000 9,000,000 $OOLHG,ULVK%DQNVSOF0DU $XVWULD*RYWRI2FW $XVWULD*RYWRI1RY $XVWULD*RYWRI6HS $XVWULD*RYWRI-XO $XVWULD*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI-XQ %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH-DQ &DLVVHG¶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¶(FRQRPLH)UDQFDLVH-XQ 6SDLQ*RYWRI$SU 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI2FW 6SDLQ*RYWRI-DQ Total Supranationals, Governments and Local Public Authorities, Debt Instruments 1,219,992 5,301,250 3,795,495 3,518,925 7,715,925 5,480,000 2,313,500 5,700,375 4,117,925 7,330,400 15,817,550 5,513,400 9,307,713 2,524,335 10,137,825 15,137,200 3,742,288 2,150,450 22,872,999 15,514,125 7,807,125 4,120,800 5,255,750 12,510,938 10,851,500 5,855,500 4,174,300 15,890,800 4,984,375 9,392,850 0.20 0.88 0.35 0.58 1.28 0.30 1.12 0.91 0.38 0.95 1.22 1.47 2.38 0.92 2.87 1.55 0.42 2.51 1.07 0.81 1.03 3.79 1.77 1.99 2.58 1.90 1.30 1.38 0.35 0.87 2.08 1.80 0.97 1.13 0.10 0.83 0.71 1.15 385,980,461 64.10 385,980,461 64.10 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations EUR – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 2,734,371 1,089,910 4,712,220 4,398,780 1,018,470 2,299,219 1,427,451 4,088,520 2,159,020 1,191,985 3,758,948 4,273,592 1,180,713 2,135,220 2,283,700 3,231,810 4,923,250 2,073,590 2,172,910 1,077,030 2,181,720 3,234,525 1,420,140 2,744,450 0.44 0.45 0.18 0.97 0.78 0.73 0.17 0.38 0.24 0.75 0.20 0.34 0.71 1.74 0.38 0.38 0.40 0.20 0.35 0.38 0.54 0.28 0.82 0.87 0.34 0.44 0.33 0.31 0.18 0.53 0.24 0.53 0.75 EUR Bonds 2,500,000 2,700,000 1,000,000 5,500,000 4,500,000 4,000,000 4,000,000 1,000,000 2,250,000 350,000 1,425,000 4,000,000 2,000,000 1,000,000 3,500,000 2,000,000 4,350,000 10,000,000 2,000,000 2,000,000 2,000,000 1,100,000 1,900,000 2,000,000 3,000,000 1,500,000 3,100,000 5,000,000 5,000,000 2,000,000 3,550,000 2,000,000 5,000,000 2,300,000 1,800,000 25,000,000 1,000,000 2,000,000 3,000,000 1,300,000 3,000,000 2,500,000 3,800,000 4,400,000 $JHQFH)UDQFDLVHGH'HYHORSSHPHQW0DU $LU/LTXLGH)LQDQFH6$2FW $WODQWLD6S$)HE %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO2FW %%9$6HQLRU)LQDQFH6$8$SU %0:)LQDQFH19-DQ %133DULEDV$XJ &DLVVH&HQWUDOHGX&UHGLW,PPRELOLHUGH)UDQFH0DU &DLVVH&HQWUDOHGX&UHGLW,PPRELOLHUGH)UDQFH-DQ &DUUHIRXU%DQTXH6HS &DUUHIRXU6$'HF &RPSDJQLHGH6DLQW*REDLQ$SU &UHGLW$JULFROH6$)HE &UHGLW$JULFROH6$0DU &UHGLW6XLVVH$XJ (QHO)LQDQFH,QWHUQDWLRQDO19-XO )06:HUWPDQDJHPHQW-XO )RUWLV%DQN)510DU )RUWLV%DQN0D\ )UDQFH7HOHFRP6$-DQ )UDQFH7HOHFRP6$)HE )UDQFH7HOHFRP6$0D\ *DV1DWXUDO&DSLWDO0DUNHWV6$1RY *DV1DWXUDO&DSLWDO0DUNHWV6$)HE *')6XH]-DQ *HFLQD6$)HE *URXSH$XFKDQ6$2FW ,EHUGUROD,QWHUQDWLRQDO%92FW ,1*%DQN19)516HS ,QWHVD6DQSDROR6S$-DQ ,QWHVD6DQSDROR6S$'HF -30RUJDQ&KDVH&RPSDQ\1RY .OHSLHUUH$SU .OHSLHUUH0DU 6DQWDQGHU,QWHUQDWLRQDO'HEW6$80D\ 6DQWDQGHU,VVXDQFHV6$8)512FW 6QDP6S$)HE 6RFLHWHDQRQ\PHGHJHVWLRQGHVWRFNVGHVHFXULWH2FW 6RFLHWH*HQHUDOH6$6HS 6RFLHWH*HQHUDOH6$$SU 7HOHFRP,WDOLD6S$0D\ 7HOHIRQLFD(PLVLRQHV6$81RY 7HOHIRQLFD(PLVLRQHV6$8)HE 7HOHIRQLFD(PLVLRQHV6$8$SU 7HUQD5HWH(OHWWULFD1D]LRQDOH6S$)HE 8QHGLF)HE 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 117 FDC SICAV Obligations EUR – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 3,300,000 3,000,000 3,000,000 5,100,000 7,010,000 Description Market value % NAV 3,477,903 3,342,375 3,394,920 5,109,078 0.58 0.85 1.27 8QLEDLO5RGDPFR6(0DU 8QLEDLO5RGDPFR6('HF 9HROLD(QYLURQQHPHQW-DQ 9LYHQGL6$-DQ 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH19-DQ 184,993,670 30.72 Total Bonds 184,993,670 30.72 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 570,974,131 94.82 Total Investment in securities 570,974,131 94.82 Other Net Assets 31,169,244 5.18 Total Net Assets 602,143,375 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 118 FDC SICAV Obligations EUR – Actif 2 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments %DQNV Oil and gas producers Telecommunication services Government guaranteed bonds 6XSUDQDWLRQDOEDQNV Electrical utilities Auto manufacturers Real estate Real estate investment trust Financial services Building materials Insurance Water utilities Oil and gas services Food services Chemicals )LQDQFLDOLQVWLWXLRQV(& 57.89 10.94 3.77 3.58 2.53 2.00 1.48 1.20 0.78 0.75 0.75 0.55 0.52 0.45 0.18 Total Investment in Securities 94.82 Other Net Assets 5.18 Total Net Assets 100.00 119 FDC SICAV Obligations EUR – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 3,000,000 11,000,000 21,000,000 5,000,000 5,500,000 5,500,000 1,300,000 5,200,000 2,500,000 3,000,000 10,000,000 5,000,000 5,000,000 5,400,000 3,000,000 25,000,000 15,000,000 24,000,000 25,000,000 25,000,000 25,000,000 10,000,000 3,750,000 20,000,000 15,000,000 40,000,000 10,000,000 30,000,000 24,000,000 $XVWULD*RYWRI-XO %HOJLXP*RYWRI-XQ %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH$SU &DVVD'HSRVLWLH3UHVWLWL6S$6HS &]HFK*RYW0D\ (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\1RY )LQODQG*RYWRI$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU *HUPDQ\*RYWRI6HS *HUPDQ\*RYWRI-XO ,UHODQG*RYWRI-DQ ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%376HS ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%37-XQ ,WDO\*RYWRI%370DU ,WDO\*RYWRI%376HS 3RODQG*RYWRI-XO 3RODQG*RYWRI0DU 6SDLQ*RYWRI$SU 6SDLQ*RYWRI2FW 6SDLQ*RYWRI2FW 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-XO Total Supranationals, Governments and Local Public Authorities, Debt Instruments 3,554,775 24,570,000 1,343,115 5,953,844 2,533,075 3,519,975 11,209,250 5,817,125 5,908,005 15,453,000 24,937,800 25,908,750 27,128,750 10,319,400 19,889,000 15,135,000 40,487,999 0.59 0.50 4.11 1.00 1.13 1.10 0.22 1.00 0.42 0.59 1.87 0.97 1.08 0.99 0.54 1.03 4.35 2.58 4.17 4.45 4.33 4.53 1.72 0.70 3.32 2.53 5.12 3.97 415,358,154 69.42 415,358,154 69.42 520,333 849,292 2,207,199 804,230 319,430 321,477 321,199 524,555 1,108,795 1,054,230 0.09 0.15 0.37 0.10 0.20 0.13 0.11 0.20 0.05 0.05 0.09 0.31 0.19 0.18 EUR Bonds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¿QDQFLDOVWDWHPHQWV 120 FDC SICAV Obligations EUR – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 1,000,000 1,500,000 2,500,000 1,500,000 800,000 700,000 1,150,000 250,000 1,000,000 1,800,000 1,900,000 1,000,000 800,000 2,700,000 2,000,000 2,950,000 1,000,000 900,000 500,000 1,100,000 850,000 740,000 900,000 300,000 1,000,000 1,000,000 300,000 1,000,000 900,000 1,500,000 2,000,000 1,000,000 500,000 1,450,000 300,000 1,500,000 500,000 700,000 100,000 100,000 1,100,000 500,000 200,000 300,000 950,000 500,000 1,500,000 1,000,000 1,000,000 1,250,000 1,500,000 700,000 Description Market value % NAV 1,098,705 1,511,348 2,841,024 1,823,708 729,950 1,185,414 1,014,815 1,070,220 2,040,890 3,097,012 1,018,470 1,004,184 1,147,179 741,273 1,057,707 311,714 0.18 0.25 0.47 0.31 0.15 0.12 0.20 0.04 0.17 0.31 0.33 0.18 0.14 0.52 0.34 0.51 0.17 0.17 0.08 0.20 0.15 0.12 0.18 0.05 0.18 0.19 305,999 1,050,820 913,784 1,533,570 2,107,039 558,530 309,941 1,711,402 105,521 1,214,455 341,823 503,025 1,055,835 754,089 0.05 0.18 0.15 0.35 0.17 0.29 0.09 0.24 0.05 0.29 0.09 0.12 0.11 0.02 0.02 0.20 0.08 0.04 0.08 0.25 0.18 0.29 0.18 0.22 0.27 0.13 %DUFOD\V%DQNSOF0DU %DUFOD\V%DQNSOF0DU %DUFOD\V%DQNSOF-DQ %DW,QWHUQDWLRQDO)LQDQFHSOF)HE %*(QHUJ\&DSLWDOSOF1RY %+3%LOOLWRQ)LQDQFH/LPLWHG1RY %+3%LOOLWRQ)LQDQFH/LPLWHG6HS %LO¿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¿QDQFLDOVWDWHPHQWV 121 FDC SICAV Obligations EUR – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 300,000 350,000 700,000 2,000,000 1,500,000 1,000,000 1,500,000 1,500,000 1,200,000 1,000,000 1,200,000 850,000 900,000 1,450,000 1,000,000 200,000 900,000 1,000,000 750,000 300,000 300,000 450,000 1,100,000 1,700,000 500,000 500,000 1,300,000 1,200,000 1,300,000 1,300,000 700,000 1,000,000 900,000 500,000 1,000,000 4,000,000 900,000 2,350,000 1,700,000 1,000,000 2,000,000 2,000,000 1,000,000 900,000 2,000,000 500,000 1,500,000 700,000 1,000,000 Description Market value % NAV 329,042 382,793 712,554 2,180,440 1,080,210 1,544,723 1,842,098 1,204,974 1,035,815 1,314,378 901,429 1,199,200 729,000 312,524 330,134 480,238 1,183,727 1,795,345 545,985 599,888 1,347,593 1,352,519 725,312 543,710 1,139,855 4,182,879 1,012,352 1,717,748 1,010,805 2,248,280 1,290,800 1,582,020 711,015 0.05 0.12 0.30 0.18 0.10 0.10 0.31 1.10 0.20 0.17 0.22 0.15 0.15 0.27 0.20 0.03 0.12 0.17 0.14 0.05 0.10 0.08 0.20 0.30 0.09 0.10 0.23 0.23 0.22 0.23 0.12 0.18 0.11 0.15 0.11 0.09 0.19 0.17 0.39 0.29 0.17 0.10 0.38 0.35 0.22 0.40 0.09 0.12 0.18 +DQQRYHU)LQDQFH)51-XQ +HLQHNHQ190DU +ROFLP86)LQDQFH6HS +6%&+ROGLQJVSOF0DU +6%&+ROGLQJVSOF0DU ,EHUGUROD)LQDQ]DV6$8-DQ ,1*%DQN19-XO ,QWHVD6DQSDROR6S$1RY ,QWHVD6DQSDROR6S$2FW ,QYHVWRU$%1RY ,UHODQG*RYWRI7UHDVXU\2FW -30RUJDQ&KDVH&RPSDQ\1RY -30RUJDQ&KDVH&RPSDQ\$XJ -30RUJDQ&KDVH&RPSDQ\-XQ -30RUJDQ&KDVH&RPSDQ\)511RY .OHSLHUUH6HS .OHSLHUUH$SU .RQLQNOLMNH'60192FW .RQLQNOLMNH.3119)HE /D0RQGLDOH9LH)512FW /LQGH$*6HS /OR\GV76%%DQNSOF)HE 0DQ6(0DU 0HUFLDO\V6$0DU 0HWUR)LQDQFH%90D\ 0RUJDQ6WDQOH\6HS 0RUJDQ6WDQOH\)HE 0RUJDQ6WDQOH\2FW 0RWDELOLW\2SHUDWLRQV*URXSSOF1RY 0XHQFKHQHU5XHFNYHUVLFKHUXQJV$*)510D\ 1RUGHD%DQN$%2FW 1RUGHD%DQN$%-XO 209$*6HS 2ULJLQ(QHUJ\)LQDQFH/LPLWHG2FW 3KLOLS0RUULV,QWHUQDWLRQDO,QF0D\ 3RKMROD%DQNSOF-DQ 3URFWHU*DPEOH&RPSDQ\$XJ 5&,%DQTXH6$1RY 5&,%DQTXH6$$SU 5&,%DQTXH6$0DU 57((')7UDQVSRUW6$)HE 6DQWDQGHU,QWHUQDWLRQDO'HEW6$80DU 6FKQHLGHU(OHFWULF6$-XO 6LHPHQV)LQDQFLHULQJVPDDWVFKDSSLM190DU 6NDQGLQDYLVND(QVNLOGD%DQNHQ$%1RY 6.)$%6HS 6QDP6S$1RY 6RFLHWHGHV$XWRURXWHV3DULV5KLQ5KRQH-DQ 6RFLHWH*HQHUDOH6$-XO 6XH](QYLURQQHPHQW&RPSDQ\-XO 6YHQVND+DQGHOVEDQNHQ$%-XQ 6YHQVND+DQGHOVEDQNHQ$%2FW 6ZHGEDQN$%-XQ 7'&$6)HE 7HOHFRP,WDOLD6S$-DQ 7HOHFRP,WDOLD6S$6HS 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 122 FDC SICAV Obligations EUR – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 800,000 1,200,000 1,500,000 1,000,000 1,500,000 500,000 1,000,000 900,000 1,000,000 1,000,000 1,200,000 1,000,000 1,000,000 1,800,000 2,000,000 950,000 500,000 1,150,000 1,200,000 Description Market value % NAV 1,313,598 1,830,450 1,133,880 517,715 2,774,134 1,053,910 910,134 1,054,205 1,073,780 1,250,724 1,803,204 2,107,309 984,115 573,270 1,198,032 0.15 0.22 0.31 0.19 0.29 0.09 0.10 0.11 0.17 0.15 0.18 0.18 0.21 0.18 0.18 0.30 0.35 0.10 0.24 0.20 7HOHIRQLFD(PLVLRQHV6$8-DQ 7HOHIRQLFD(PLVLRQHV6$8)HE 7HOLDVRQHUD$%1RY 7HOVWUD&RUS/LPLWHG0D\ 7HOVWUD&RUS/LPLWHG0DU 7HUQD5HWH(OHWWULFD1D]LRQDOH6S$)HE 8%6$*-DQ 8QLEDLO5RGDPFR6(-XQ 8QLEDLO5RGDPFR6(0DU 8QLEDLO5RGDPFR6(0DU 8QL&UHGLW6S$-DQ 8QL&UHGLW6S$6HS 8QL&UHGLW6S$0DU 8QL&UHGLW6S$2FW 8UHQFR)LQDQFH190D\ 9DOORXUHF6$)HE 9LYHQGL6$-DQ 9LYHQGL6$-XO :HOOV)DUJR&RPSDQ\$XJ :HVWSDF%DQNLQJ&RUS0D\ :ROWHUV.OXZHU19$SU ;VWUDWD)LQDQFH0D\ 172,089,914 28.76 Total Bonds 172,089,914 28.76 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 587,448,068 98.18 Total Investment in securities 587,448,068 98.18 Other Net Assets 10,869,274 1.82 Total Net Assets 598,317,342 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 123 FDC SICAV Obligations EUR – Actif 3 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments %DQNV Financial services Electrical utilities Telecommunication services Government guaranteed bonds Insurance Food services Real estate 0LQLQJQRQSUHFLRXV Tobacco Transportation Real estate investment trust Oil and gas producers 0LVFHOODQHRXVPDFKLQHU\ Metal fabrication Investment companies Chemicals Oil and gas services Beverages Engineering and construction 3XEOLVKLQJDQGSULQWLQJ Water utilities Telephone Commercial papers and other short term instruments 3LSHOLQHV Auto manufacturers Building materials Electrical equipment Industrials IT Consulting and services %LRWHFKQRORJ\ Cosmetics and personal care 0DFKLQHU\ 'LYHUVL¿HGFRPSDQLHV Agriculture 2.82 2.53 2.21 1.74 1.00 0.57 0.57 0.52 0.43 0.43 0.42 0.41 0.39 0.35 0.31 0.30 0.28 0.24 0.24 0.22 0.19 0.18 0.18 0.17 0.17 0.17 0.17 0.17 0.11 0.11 0.11 0.09 0.08 Total Investment in Securities 98.18 Other Net Assets 1.82 Total Net Assets 100.00 124 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012 Quantity/ Nominal Value Description H[SUHVVHGLQ(85 Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ DEM Supranationals, Governments and Local Public Authorities, Debt Instruments 110,000 ,QWHUQDWLRQDO%DQNIRU5HFRQVWUXFWLRQ'HYHORSPHQW 'HF 55,849 0.01 55,849 0.01 487,850 1,202,175 1,410,923 1,971,533 1,933,718 1,110,228 1,540,403 1,895,810 2,333,321 792,135 534,175 418,178 881,820 2,299,280 2,959,200 2,024,313 1,900,924 2,515,500 1,171,051 1,312,025 1,559,211 2,230,202 487,800 489,520 0.08 0.07 0.15 0.20 0.17 0.24 0.23 0.14 0.19 0.21 0.23 0.27 0.28 0.10 0.23 0.08 0.07 0.05 0.11 0.28 0.25 0.10 0.13 0.23 0.31 0.32 0.14 0.14 0.19 0.08 0.27 0.42 0.07 0.05 0.08 0.10 0.07 EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 450,000 550,000 1,080,000 1,550,000 1,300,000 1,700,000 850,000 1,300,000 1,510,000 1,850,000 1,950,000 1,250,000 700,000 500,000 390,000 800,000 2,050,000 2,700,000 1,750,000 450,000 800,000 910,000 2,150,000 2,250,000 400,000 1,100,000 1,200,000 980,000 1,100,000 1,270,000 500,000 400,000 2,540,000 400,000 800,000 400,000 500,000 $JHQFH)UDQFDLVHGH'HYHORSSHPHQW1RY $OOLHG,ULVK%DQNVSOF0DU $V¿QDJ2FW $XVWULD*RYWRI)HE $XVWULD*RYWRI2FW $XVWULD*RYWRI-XO $XVWULD*RYWRI6HS $XVWULD*RYWRI$SU $XVWULD*RYWRI-DQ $XVWULD*RYWRI-XO $XVWULD*RYWRI6HS $XVWULD*RYWRI0DU $XVWULD*RYWRI0DU $XVWULD*RYWRI-DQ $XVWULD*RYWRI0DU $XVWULD*RYWRI-XO $XWRQRPRXV&RPPXQLW\RI0DGULG0DU %DGHQ:XUWWHPEHUJ*RYWRI-DQ %D\HULVFKH/DQGHVERGHQNUHGLWDQVWDOW2FW %HOJLXP*RYWRI6HS %HOJLXP*RYWRI-XQ %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI0DU %HUOLQ6WDWHRI$SU %HUOLQ6WDWHRI6HS %HUOLQ6WDWHRI)HE %HUOLQ6WDWHRI0DU %HUOLQ6WDWHRI$SU %UDQGHQEXUJ/DQG2FW 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 125 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 200,000 450,000 500,000 450,000 570,000 1,300,000 700,000 780,000 700,000 500,000 500,000 500,000 300,000 300,000 100,000 2,000,000 1,800,000 500,000 700,000 1,120,000 1,000,000 450,000 500,000 1,500,000 1,000,000 300,000 4,000,000 900,000 1,070,000 1,200,000 500,000 500,000 500,000 500,000 1,200,000 990,000 1,000,000 400,000 500,000 1,000,000 500,000 400,000 490,000 450,000 450,000 1,550,000 1,500,000 Description Market value % NAV 734,208 497,023 1,343,830 532,447 1,550,184 844,130 824,195 594,720 557,950 349,320 357,945 104,538 2,078,800 588,808 1,054,250 511,403 725,010 1,531,537 1,092,975 4,109,999 1,049,985 1,509,749 1,435,500 442,294 518,583 431,980 540,213 522,349 1,739,888 0.03 0.09 0.07 0.08 0.20 0.10 0.10 0.08 0.07 0.07 0.07 0.04 0.04 0.01 0.25 0.22 0.07 0.09 0.14 0.13 0.08 0.09 0.19 0.13 0.08 0.04 0.51 0.13 0.09 0.18 0.07 0.07 0.08 0.07 0.17 0.08 0.13 0.13 0.05 0.08 0.07 0.14 0.08 0.05 0.07 0.22 0.21 &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH)HE &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH$SU &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH$SU &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH2FW &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH2FW &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH'HF &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH$SU &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH$SU &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH2FW &DLVVH1DWLRQDOHGHV$XWRURXWHV0D\ &DL[DG¶(VWDOYLVGH&DWDOXQ\D7DUUDJRQDL0DQUHVD2FW &DQDGD*RYWRI-DQ &RPPXQDXWH)UDQFDLVHGH%HOJLTXH-XQ &URDWLD*RYWRI-DQ &]HFK*RYW0DU &]HFK*RYW-XQ 'HQPDUN*RYWRI2FW ()6)6HS (UVWH*URXS%DQN$*)HE (XUR¿PD2FW (XURSHDQ&RPPXQLW\$SU (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\)HE (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\0D\ (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\-XO (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\$SU (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\0DU (XURSHDQ,QYHVWPHQW%DQN-DQ (XURSHDQ,QYHVWPHQW%DQN-DQ (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ,QYHVWPHQW%DQN0DU (XURSHDQ,QYHVWPHQW%DQN6HS (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ,QYHVWPHQW%DQN-DQ (XURSHDQ,QYHVWPHQW%DQN0DU (XURSHDQ,QYHVWPHQW%DQN$SU (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ,QYHVWPHQW%DQN$SU (XURSHDQ,QYHVWPHQW%DQN$SU (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ,QYHVWPHQW%DQN$SU (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ8QLRQ'HF (XURSHDQ8QLRQ-XQ (XURSHDQ8QLRQ6HS (XURSHDQ8QLRQ6HS (XURSHDQ8QLRQ1RY (XURSHDQ8QLRQ$SU (XURSHDQ8QLRQ-XQ )DGH)RQGRGH$PRUWL]DFLRQGHO'H¿FLW(OHFWULFR-XQ )DGH)RQGRGH$PRUWL]DFLRQGHO'H¿FLW(OHFWULFR6HS )LQODQG*RYWRI-XO )LQODQG*RYWRI-XO )LQODQG*RYWRI6HS )LQODQG*RYWRI$SU )LQODQG*RYWRI$SU )LQODQG*RYWRI6HS 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 450,000 1,350,000 240,000 2,200,000 2,750,000 3,550,000 2,700,000 2,800,000 1,050,000 3,290,000 5,500,000 3,850,000 3,350,000 5,450,000 3,350,000 5,150,000 4,700,000 4,950,000 3,550,000 4,350,000 3,700,000 1,750,000 1,050,000 2,900,000 3,850,000 4,350,000 4,410,000 2,420,000 2,070,000 3,350,000 2,740,000 1,050,000 250,000 1,200,000 730,000 500,000 3,800,000 1,100,000 3,300,000 5,200,000 2,100,000 2,700,000 1,000,000 1,575,390 1,200,000 4,850,000 4,450,000 Description Market value % NAV 810,989 549,439 722,287 2,302,245 2,819,094 3,724,215 2,905,133 2,925,440 1,074,229 3,528,278 4,152,320 5,909,238 4,130,158 4,413,914 2,095,450 3,389,520 5,310,852 3,930,973 1,221,282 1,209,395 5,804,889 2,257,973 1,081,525 5,380,389 1,417,170 4,787,198 4,117,139 0.10 0.07 0.08 0.03 0.28 0.34 0.45 0.35 0.13 0.42 0.74 0.51 0.45 0.75 0.44 0.73 0.50 0.54 0.15 0.41 0.38 0.33 0.48 0.47 0.18 0.04 0.12 0.15 0.09 0.07 0.49 0.15 0.44 0.72 0.27 0.38 0.13 0.24 0.84 0.17 0.58 0.50 0.91 )LQODQG*RYWRI-XO )LQODQG*RYWRI-XO )OHPLVK&RPPXQLW\-XO )RQGRGH5HHVWUXFWXUDFLRQ2UGHQDGD%DQFDULD1RY )UDQFH*RYWRI)HE )UDQFH*RYWRI%7$1-XO )UDQFH*RYWRI%7$1-DQ )UDQFH*RYWRI%7$1-DQ )UDQFH*RYWRI%7$1-XO )UDQFH*RYWRI%7$1-XO )UDQFH*RYWRI%7$1-XO )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU *HPHLQVDPH'HXWVFKH%XQGHVODHQGHU-XQ *HPHLQVDPH'HXWVFKH%XQGHVODHQGHU-XQ *HPHLQVDPH'HXWVFKH%XQGHVODHQGHU2FW *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI6HS *HUPDQ\*RYWRI6HS *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 127 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 1,050,000 1,000,000 2,550,000 5,500,000 1,300,000 900,000 1,050,000 550,000 2,050,000 1,950,000 300,000 2,800,000 1,200,000 1,500,000 1,800,000 1,300,000 4,500,000 4,700,000 400,000 1,230,000 250,000 500,000 1,270,000 2,400,000 300,000 1,300,000 1,530,000 1,500,000 1,000,000 950,000 950,000 1,450,000 320,000 700,000 1,120,000 500,000 1,000,000 1,330,000 2,520,000 2,230,000 2,050,000 2,200,000 1,770,000 1,300,000 2,880,000 1,850,000 3,050,000 Description Market value % NAV 1,193,850 1,182,000 3,454,103 5,734,987 2,997,408 3,017,771 2,519,138 4,191,039 1,791,810 1,054,138 2,414,850 1,912,770 1,337,505 4,733,324 4,957,324 450,200 1,280,000 500,775 309,780 1,543,925 0.15 0.14 0.42 0.17 0.13 0.15 0.29 0.09 0.37 0.31 0.04 0.51 0.22 0.13 0.29 0.78 0.23 0.58 0.05 0.08 0.03 0.08 0.31 0.04 0.19 1,548,131 1,007,925 1,011,988 725,088 1,391,292 502,013 1,007,800 1,340,141 2,238,115 1,812,480 1,328,405 2,978,712 1,919,283 0.20 0.19 0.19 0.12 0.12 0.12 0.18 0.04 0.08 0.09 0.17 0.12 0.31 0.28 0.25 0.27 0.22 0.23 0.39 *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI6HS *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI%XQGHVREOLJDWLRQ2FW *HUPDQ\*RYWRI%XQGHVREOLJDWLRQ)HE *HUPDQ\*RYWRI%XQGHVREOLJDWLRQ$SU *HUPDQ\*RYWRI%XQGHVREOLJDWLRQ$SU *HUPDQ\*RYWRI%XQGHVREOLJDWLRQ)HE +HVVH6WDWHRI$XJ +HVVHQ*RYWRI0D\ +HVVHQ*RYWRI-DQ ,QIUDVWUXWWXUH6S$-XO ,QVWLWXWRGH&UHGLWR2¿FLDO)HE ,QVWLWXWRGH&UHGLWR2¿FLDO-DQ ,QVWLWXWRGH&UHGLWR2¿FLDO-XO ,QVWLWXWRGH&UHGLWR2¿FLDO-DQ ,QVWLWXWRGH&UHGLWR2¿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¿QDQFLDOVWDWHPHQWV 128 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 2,820,000 2,930,000 2,890,000 2,880,000 700,000 2,100,000 3,500,000 3,010,000 2,770,000 3,350,000 2,710,000 2,850,000 2,790,000 2,270,000 950,000 1,800,000 2,890,000 2,730,000 2,080,000 2,490,000 2,490,000 2,180,000 2,330,000 1,810,000 900,000 3,430,000 3,000,000 1,320,000 500,000 430,000 470,000 470,000 2,450,000 500,000 570,000 500,000 450,000 300,000 1,200,000 700,000 500,000 900,000 Description Market value % NAV 2,775,233 3,187,384 3,049,984 2,908,713 2,507,832 2,175,075 3,142,741 3,451,170 3,018,158 2,995,778 2,920,293 2,245,541 953,159 1,927,170 490,234 3,013,331 2,191,072 2,580,512 2,495,852 2,332,039 2,917,515 3,270,205 3,949,945 1,972,900 3,495,075 1,802,823 485,938 500,004 553,272 2,531,217 828,904 523,700 348,537 373,200 913,905 0.34 0.39 0.37 0.35 0.31 0.09 0.20 0.44 0.38 0.35 0.42 0.34 0.37 0.33 0.27 0.12 0.23 0.19 0.37 0.34 0.27 0.31 0.30 0.27 0.28 0.40 0.48 0.24 0.12 0.47 0.43 0.22 0.07 0.08 0.08 0.07 0.07 0.31 0.07 0.09 0.10 0.08 0.04 0.15 0.09 0.05 0.11 ,WDO\*RYWRI%370DU ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%376HS ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%37$SU ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37-XO ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%376HS ,WDO\*RYWRI%370DU ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%370DU ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%370DU ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%376HS ,WDO\*RYWRI%370D\ ,WDO\*RYWRI%37-XQ ,WDO\*RYWRI%376HS ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%370DU ,WDO\*RYWRI%370DU ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%376HS ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%371RY ,WDO\*RYWRI%376HS ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%371RY ,WDO\*RYWRI%370D\ ,WDO\*RYWRI%371RY ,WDO\*RYWRI%371RY ,WDO\*RY¶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¿QDQFLDOVWDWHPHQWV 129 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 400,000 2,250,000 2,200,000 1,050,000 1,400,000 3,100,000 1,400,000 1,100,000 1,700,000 550,000 3,000,000 1,550,000 300,000 410,000 440,000 400,000 300,000 200,000 1,000,000 1,100,000 1,000,000 800,000 870,000 850,000 300,000 1,080,000 500,000 200,000 300,000 300,000 720,000 400,000 300,000 250,000 200,304 300,000 350,000 300,000 400,000 410,000 500,000 2,150,000 2,230,000 1,750,000 900,000 Description Market value % NAV 420,490 2,373,075 1,109,535 2,114,480 3,511,215 1,315,188 3,547,424 2,257,730 318,080 247,080 1,031,940 974,020 875,398 880,748 348,242 538,075 211,935 325,049 339,783 817,200 324,000 284,715 203,390 300,300 298,724 382,004 1,300,131 2,443,211 908,573 0.21 0.05 0.29 0.29 0.51 0.14 0.20 0.43 0.20 0.28 0.07 0.43 0.27 0.05 0.08 0.04 0.03 0.07 0.08 0.08 0.13 0.15 0.14 0.12 0.08 0.11 0.11 0.04 0.07 0.03 0.04 0.04 0.10 0.05 0.04 0.03 0.02 0.04 0.04 0.04 0.04 0.05 0.08 0.30 0.27 0.21 0.11 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-DQ 1RUWK5KLQH:HVWSKDOLD*RYWRI2FW 1RUWK5KLQH:HVWSKDOLD*RYWRI1RY 1RUWK5KLQH:HVWSKDOLD*RYWRI-XO 1RUWK5KLQH:HVWSKDOLD*RYWRI-XQ 1RUWK5KLQH:HVWSKDOLD*RYWRI2FW 1RUWK5KLQH:HVWSKDOLD*RYWRI$SU 15:%DQN0DU 2H%%,QIUDVWUXNWXU$*'HF 2QWDULR3URYLQFHRI'HF 3RODQG*RYWRI-XO 3RODQG*RYWRI$SU 3RODQG*RYWRI-DQ 3RODQG*RYWRI-XQ 3RODQG*RYWRI)HE 4XHEHF3URYLQFHRI)HE 5DLIIHLVHQ=HQWUDOEDQN2HVWHUUHLFK$*)HE 5HJLH$XWRQRPHVGHV7UDQVSRUWV3DULVLHQV6HS 5HVHDX)HUUHGH)UDQFH1RY 5RPDQLD-XQ 5RPDQLD*RYWRI0DU 6ORYDNLD*RYWRI)HE 6ORYDNLD*RYWRI$SU 6ORYDNLD*RYWRI0DU 6ORYDNLD*RYWRI2FW 6ORYDNLD*RYWRI-DQ 6ORYDNLD*RYWRI-DQ 6ORYHQLD*RYWRI)HE 6ORYHQLD*RYWRI0DU 6ORYHQLD*RYWRI-DQ 6ORYHQLMD*RYWRI0DU 6ORYHQLMD*RYWRI-DQ 6RFLHWHGH)LQDQFHPHQWGHO¶(FRQRPLH)UDQFDLVH$SU 6RFLHWHGH)LQDQFHPHQWGHO¶(FRQRPLH)UDQFDLVH-DQ 6RFLHWH1DWLRQDOHGHV&KHPLQVGH)HU-XQ 6SDLQ*RYWRI$SU 6SDLQ*RYWRI$SU 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI$SU 6SDLQ*RYWRI2FW 6SDLQ*RYWRI$SU 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 130 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 2,180,000 2,050,000 1,450,000 1,940,000 2,500,000 2,300,000 1,700,000 2,400,000 2,070,000 2,150,000 1,350,000 1,840,000 2,130,000 1,050,000 1,700,000 2,430,000 1,710,000 1,750,000 1,110,000 2,090,000 200,000 Description Market value % NAV 2,173,188 2,821,324 1,470,228 2,338,583 2,475,840 1,157,254 1,700,243 2,113,280 923,055 1,804,125 2,488,442 1,720,773 1,137,334 2,175,481 202,398 0.20 0.34 0.25 0.18 0.19 0.31 0.28 0.20 0.30 0.25 0.24 0.14 0.21 0.21 0.11 0.22 0.30 0.21 0.22 0.14 0.02 605,310,318 73.67 605,366,167 73.68 209,159 512,150 331,532 445,038 572,438 232,158 322,490 599,248 201,427 1,034,009 520,475 434,548 455,101 0.03 0.03 0.04 0.04 0.05 0.07 0.03 0.04 0.14 0.05 0.04 0.07 0.02 0.14 0.04 0.13 0.04 0.07 0.05 0.05 0.12 0.09 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI$SU 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI2FW 6SDLQ*RYWRI2FW 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI2FW 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-XO 6SDLQ*RYWRI$SU 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-DQ 6ZHGHQ*RYWRI)HE Total Supranationals, Governments and Local Public Authorities, Debt Instruments EUR Bonds 200,000 250,000 500,000 300,000 300,000 420,000 500,000 200,000 300,000 900,000 400,000 300,000 500,000 200,000 900,000 300,000 930,000 300,000 550,000 450,000 400,000 400,000 430,000 900,000 470,000 $$6S$0D\ $%%)LQDQFH%90DU $EHUWLV,QIUDHVWUXFWXUDV6$0DU $%1$PUR%DQN19-DQ $%1$PUR%DQN192FW $%1$PUR%DQN19-XO $%1$PUR%DQN19$SU $JHQFH)UDQFDLVHGH'HYHORSSHPHQW0DU $N]R1REHO19-DQ $OOLDQGHU)LQDQFH%9$SU $OOLDQ])LQDQFH,,%9)HE $OOLDQ])LQDQFH,,%91RY $OOLDQ])LQDQFH,,%9-XO $OOLDQ])LQDQFH,,%9)51'HF $OOLDQ])LQDQFH,,%9)51-XO $PHULFD0RYLO6$%GH&9-XO $PHULFD0RYLO6$%GH&92FW $PHULFDQ,QWHUQDWLRQDO*URXS,QF-XQ $QJOR$PHULFDQ&DSLWDOSOF6HS $QKHXVHU%XVFK,Q%HY6$-XQ $RQ6HUYLFHV/X[HPERXUJ-XO $UHYD6$1RY $VVLFXUD]LRQL*HQHUDOL6S$1RY $VVLFXUD]LRQL*HQHUDOL6S$6HS $WODQWLD6S$-XQ $WODQWLD6S$0D\ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 131 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 300,000 200,000 750,000 200,000 300,000 1,000,000 250,000 780,000 570,000 750,000 900,000 1,750,000 200,000 400,000 250,000 300,000 520,000 500,000 450,000 500,000 200,000 500,000 400,000 500,000 500,000 550,000 500,000 300,000 580,000 230,000 1,300,000 400,000 300,000 900,000 300,000 400,000 300,000 400,000 300,000 300,000 900,000 900,000 200,000 300,000 300,000 700,000 100,000 100,000 500,000 Description Market value % NAV 195,424 197,854 295,778 254,159 815,900 732,728 805,031 230,057 413,280 251,079 590,933 555,148 508,158 211,820 510,793 400,388 537,240 247,402 1,012,900 314,951 441,980 341,078 343,598 235,209 328,422 91,975 122,492 540,100 518,144 0.05 0.02 0.10 0.02 0.04 0.12 0.03 0.10 0.07 0.09 0.08 0.08 0.10 0.13 0.24 0.03 0.08 0.05 0.03 0.04 0.07 0.07 0.03 0.05 0.07 0.07 0.07 0.07 0.04 0.08 0.03 0.18 0.05 0.04 0.12 0.04 0.05 0.04 0.05 0.08 0.04 0.04 0.12 0.12 0.03 0.04 0.05 0.08 0.01 0.01 0.07 $XWRURXWHVGX6XGGHOD)UDQFH6$0DU $YLYDSOF)511RY $;$6$-DQ $;$6$)51-XO %DQFR)LQDQFLHUR\GH$KRUURV6$-DQ %DQFR)LQDQFLHUR\GH$KRUURV6$$SU %DQFR3RSRODUH6S$2FW %DQN1HGHUODQGVH*HPHHQWHQ-XO %DQN1HGHUODQGVH*HPHHQWHQ$XJ %DQN1HGHUODQGVH*HPHHQWHQ-DQ %DQN1HGHUODQGVH*HPHHQWHQ-DQ %DQN1HGHUODQGVH*HPHHQWHQ-XQ %DQNRI$PHULFD&RUS)HE %DQNRI$PHULFD&RUS-XQ %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO2FW %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO-XO %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO0D\ %DQTXH36$)LQDQFH)HE %DQTXH36$)LQDQFH6$-XO %DUFOD\V%DQNSOF0D\ %DUFOD\V%DQNSOF-DQ %$6))LQDQFH(XURSH19-XQ %DW,QWHUQDWLRQDO)LQDQFHSOF-XQ %D\HU$*0D\ %D\HU$*)51-XO %D\HULVFKH/DQGHVEDQN2FW %%9$6HQLRU)LQDQFH$SU %HUWHOVPDQQ$*2FW %*(QHUJ\&DSLWDOSOF1RY %+3%LOOLWRQ)LQDQFH/LPLWHG0D\ %0:)LQDQFH$XJ %0:)LQDQFH196HS %0:86&DSLWDO//&0D\ %133DULEDV0DU %133DULEDV1RY %133DULEDV)51$SU %RX\JXHV6$-DQ %RX\JXHV6$-XO %3&(6$6HS %3&(6$-XO %ULWLVK7HOHFRPPXQLFDWLRQVSOF-XO &DUOVEHUJ%UHZHULHV$62FW &DUUHIRXU6$$SU &DUUHIRXU6$'HF &DVLQR*XLFKDUG3HUUDFKRQ6$0D\ &(=$60D\ &(=$60D\ &LWLJURXS,QF$XJ &LWLJURXS,QF-XQ &LWLJURXS,QF6HS &LWLJURXS,QF)51)HE &LWLJURXS,QF)51)HE &ORYHULHSOFIRU=XULFK,QVXUDQFH&RPSDQ\)51-XO &13$VVXUDQFHV)51'HF &RPPHU]EDQN$*-DQ &RPPRQZHDOWK%DQNRI$XVWUDOLD1RY 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 132 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 730,000 250,000 400,000 480,000 500,000 300,000 550,000 500,000 300,000 400,000 900,000 580,000 150,000 1,100,000 500,000 300,000 500,000 700,000 300,000 350,000 350,000 850,000 500,000 500,000 410,000 1,800,000 430,000 500,000 350,000 850,000 200,000 500,000 500,000 300,000 1,500,000 400,000 320,000 400,000 800,000 480,000 300,000 700,000 400,000 500,000 400,000 490,000 700,000 300,000 400,000 300,000 500,000 400,000 Description Market value % NAV 281,904 514,308 0.09 0.03 549,005 303,579 512,925 444,232 532,715 527,273 1,003,913 554,108 1,837,403 478,885 587,880 444,820 239,124 523,120 342,281 358,133 909,315 331,215 724,857 509,882 424,010 307,437 312,830 524,912 431,400 0.07 0.04 0.08 0.04 0.05 0.13 0.08 0.02 0.14 0.04 0.10 0.04 0.05 0.08 0.05 0.12 0.08 0.07 0.23 0.07 0.05 0.11 0.03 0.08 0.04 0.23 0.04 0.11 0.04 0.10 0.09 0.05 0.05 0.08 0.07 0.09 0.04 0.05 0.04 0.07 0.05 &RPSDJQLHGH6DLQW*REDLQ6HS &RPSDJQLHGH6DLQW*REDLQ$SU &RPSDJQLH)LQDQFLHUH,QGXVWULHOOHGHV$XWRURXWHV2FW &RRSHUDWLHYH&HQWUDOH5DLIIHLVHQ%RHUHQOHHQEDQN%$ 1RY &RXQFLORI(XURSH'HYHORSPHQW%DQN$XJ &UHGLW$JULFROH$SU &UHGLW$JULFROH-XQ &UHGLW$JULFROH-XQ &UHGLW0XWXHO$UNHD-DQ &UHGLW6XLVVH-DQ &UHGLW6XLVVH$XJ &UHGLW6XLVVH0D\ 'DD)LQDQFHSOF-XO 'DLPOHU$*$SU 'DLPOHU$*6HS 'DQVNH%DQN$60D\ 'DQVNH%DQN$6-XQ 'HXWVFKH%DKQ)LQDQFH%9-XO 'HXWVFKH%DKQ)LQDQFH%90DU 'HXWVFKH%DKQ)LQDQFH%90DU 'HXWVFKH%DKQ)LQDQFH%91RY 'HXWVFKH%DQN$*-XQ 'HXWVFKH%DQN$*$XJ 'HXWVFKH7HOHNRP,QWHUQDWLRQDO)LQDQFH%9$SU 'HXWVFKH7HOHNRP,QWHUQDWLRQDO)LQDQFH%9$SU 'HXWVFKH7HOHNRP,QWHUQDWLRQDO)LQDQFH%90DU 'H[LD&UHGLW/RFDO-DQ 'LDJHR&DSLWDOSOF'HF 'Q%1RU%DQN$6$)HE 'RQJ(QHUJ\0D\ 'RQJ(QHUJ\$6)51-XQ (21)LQDQFH2FW (21,QWHUQDWLRQDO)LQDQFH%9-DQ (21,QWHUQDWLRQDO)LQDQFH%90D\ (')6$1RY (')6$6HS (OHFWULFLWHGH)UDQFH6$$SU (Q%:(QHUJLH%DGHQ:UWWHPEHUJ$*$SU (Q%:,QWHUQDWLRQDO)LQDQFH%91RY (QHO)LQDQFH,QWHUQDWLRQDO192FW (QHO)LQDQFH,QWHUQDWLRQDO6$6HS (QHO6S$-XQ (1,6S$)HE (1,6S$-DQ (UVWH$EZLFNOXQJVDQVWDOW6HS Grupo Aeroportuario del Sureste SAB de CV *UXSR$HURSRUWXDULRGHO3DFL¿FR6$%GH&9 (XURSHDQ,QYHVWPHQW%DQN6HS (XURSHDQ8QLRQ$SU )&(%DQNSOF-DQ )06:HUWPDQDJHPHQW-DQ )06:HUWPDQDJHPHQW)HE )06:HUWPDQDJHPHQW$XJ )06:HUWPDQDJHPHQW0D\ )06:HUWPDQDJHPHQW-XQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 133 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 300,000 580,000 500,000 500,000 200,000 400,000 300,000 700,000 500,000 700,000 300,000 1,050,000 500,000 400,000 300,000 300,000 500,000 700,000 400,000 400,000 700,000 250,000 500,000 1,300,000 300,000 300,000 500,000 300,000 800,000 1,100,000 500,000 550,000 500,000 300,000 200,000 950,000 300,000 300,000 900,000 400,000 900,000 500,000 550,000 400,000 1,500,000 450,000 300,000 Description Market value % NAV 523,135 739,084 727,503 1,251,520 404,834 259,475 483,098 553,020 323,370 512,225 827,180 531,718 224,355 935,418 310,403 307,775 913,275 1,073,439 544,933 553,253 432,242 1,510,717 702,829 0.04 0.07 0.07 0.03 0.08 0.04 0.10 0.09 0.08 0.09 0.04 0.07 0.05 0.04 0.03 0.07 0.09 0.05 0.09 0.10 0.03 0.07 0.17 0.04 0.04 0.08 0.04 0.10 0.14 0.08 0.08 0.07 0.04 0.03 0.11 0.08 0.04 0.04 0.11 0.05 0.13 0.09 0.07 0.07 0.05 0.08 0.19 0.08 0.08 0.08 0.09 0.04 )06:HUWPDQDJHPHQW6HS )RUWLV%DQN0D\ )RUWXP2\M-XQ )UDQFH7HOHFRP6$-DQ )UDQFH7HOHFRP6$0D\ )UDQFH7HOHFRP6$-DQ *DV1DWXUDO&DSLWDO0DUNHWV6$-DQ *DV1DWXUDO&DSLWDO0DUNHWV6$-XO *')6XH]-DQ *')6XH]-DQ *(&DSLWDO(XURSHDQ)XQGLQJ)HE *(&DSLWDO(XURSHDQ)XQGLQJ0D\ *(&DSLWDO(XURSHDQ)XQGLQJ-DQ *HFLQD6$)HE *HQHUDO(OHFWULF&DSLWDO&RUS6HS *HQHUDO(OHFWULF&DSLWDO&RUS)516HS *HQHUDOL)LQDQFH%9)51-XQ *OD[R6PLWK.OLQH&DSLWDOSOF'HF *OHQFRUH)LQDQFH(XURSH6$$SU *ROGPDQ6DFKV*URXS,QF-DQ *ROGPDQ6DFKV*URXS,QF2FW *ROGPDQ6DFKV*URXS,QF0D\ *URXSH$XFKDQ6$$SU +DQQRYHU)LQDQFH/X[HPERXUJ)51)HE +HDWKURZ)XQGLQJ/WG2FW +HLQHNHQ190DU +HQNHO.*D$)511RY +,7)LQDQFH%90DU +6%&)LQDQFH&RUS0D\ +6%&)UDQFH-XQ +6%&+ROGLQJVSOF0DU +6%&+ROGLQJVSOF)51-XQ +XWFKLVRQ:KDPSRD)LQDQFH/LPLWHG-XQ +\SR$OSH$GULD$'5-DQ ,EHUGUROD)LQDQ]DV6$80D\ ,EHUGUROD)LQDQ]DV6$81RY ,PSHULDO7REDFFR)LQDQFHSOF)HE ,1*%DQN190DU ,1*%DQN19-DQ ,1*%DQN19)516HS ,1**URHS19$SU ,QWHVD6DQSDROR6S$1RY ,QWHVD6DQSDROR6S$1RY ,QWHVD6DQSDROR6S$$SU ,QWHVD6DQSDROR6S$-DQ ,QYHVWRU$%0D\ ,3,&*071/LPLWHG0D\ -30RUJDQ&KDVH&RPSDQ\-DQ -30RUJDQ&KDVH&RPSDQ\)511RY .%&,QWHUQDWLRQDOH)LQDQFLHULQJVPDDWVFKDSSLM192FW .UHGLWDQVWDOWIXHU:LHGHUDXIEDX0D\ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX1RY .UHGLWDQVWDOWIXHU:LHGHUDXIEDX)HE .UHGLWDQVWDOWIXHU:LHGHUDXIEDX0DU .UHGLWDQVWDOWIXHU:LHGHUDXIEDX6HS .UHGLWDQVWDOWIXHU:LHGHUDXIEDX$SU .UHGLWDQVWDOWIXHU:LHGHUDXIEDX6HS .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-DQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 134 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 410,000 330,000 300,000 500,000 470,000 400,000 500,000 200,000 1,050,000 420,000 900,000 250,000 400,000 440,000 250,000 400,000 380,000 400,000 800,000 500,000 410,000 300,000 500,000 250,000 410,000 300,000 1,000,000 500,000 500,000 880,000 300,000 550,000 500,000 300,000 500,000 400,000 300,000 550,000 1,400,000 900,000 530,000 500,000 150,000 1,500,000 500,000 300,000 250,000 900,000 1,240,000 380,000 510,000 Description Market value % NAV 387,527 797,232 352,122 491,897 443,018 580,375 954,783 429,771 594,717 341,313 1,051,849 554,198 584,713 320,903 518,773 471,408 353,274 947,584 592,537 540,923 1,577,512 531,030 353,813 1,378,743 458,527 520,450 0.08 0.05 0.10 0.04 0.05 0.07 0.03 0.12 0.03 0.05 0.03 0.07 0.05 0.05 0.10 0.07 0.09 0.04 0.07 0.03 0.05 0.04 0.13 0.07 0.07 0.12 0.04 0.07 0.08 0.04 0.07 0.04 0.07 0.19 0.11 0.07 0.07 0.02 0.08 0.20 0.05 0.03 0.08 0.13 0.17 .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-XQ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX$SU .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-XO .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-DQ /D3RVWH-XQ /DQGHVEDQN%HUOLQ$*-XQ /DQGZLUWVFKDIWOLFKH5HQWHQEDQN-XQ /DQGZLUWVFKDIWOLFKH5HQWHQEDQN)HE /LQGH)LQDQFH%9-XQ /LQGH)LQDQFH%9)51-XO /OR\GV76%%DQNSOF6HS /OR\GV76%%DQNSOF)51'HF /90+0RHW+HQQHVV\/RXLV9XLWWRQ6$$SU 0DFTXDULH%DQN/LPLWHG6HS 0HGLREDQFD6S$)HE 0HUFN&RPSDQ\,QF2FW 0HUFN)LQDQFLDO6HUYLFHV*PE+0DU 0HUFN)LQDQFLDO6HUYLFHV*PE+0DU 0HUULOO/\QFK&RPSDQ\,QF0D\ 0HWUR$*0DU 0RQGHOH],QWHUQDWLRQDO,QF0DU 0RUJDQ6WDQOH\)HE 0RUJDQ6WDQOH\'HF 0XHQFKHQHU5XHFNYHUVLFKHUXQJV$*)510D\ 1DWLRQDO$XVWUDOLD%DQN/LPLWHG-XO 1DWLRQDO$XVWUDOLD%DQN/LPLWHG)HE 1DWLRQDO*ULGSOF-XO 1DWL[LV-DQ 1HGHU:DWHUVFKDSVEDQN-DQ 1HGHUODQGVH*DVXQLH192FW 1HGHUODQGVH:DWHUVFKDSVEDQN19-XQ 1HGHUODQGVH:DWHUVFKDSVEDQN190DU 1HGHUODQGVH:DWHUVFKDSVEDQN19)HE 1RPXUD(XURSH)LQDQFH'HF 1RUGGHXWVFKH/DQGHVEDQN/X[HPERXUJ6$$SU 1RUGHD%DQN$%0DU 1RUGLF,QYHVWPHQW%DQN$SU 15:%DQN-XO 2H%%,QIUDVWUXNWXU$*2FW 2HVWHUUHLFKLVFKH.RQWUROOEDQN$*6HS 209$*2FW 209$*)HE 3HPH[3URMHFW)XQGLQJ0DVWHU7UXVW$XJ 3HUQRG5LFDUG6$0DU 3HWUREUDV*OREDO)LQDQFH%92FW 3HWUREUDV,QWHUQDWLRQDO)LQDQFH&RPSDQ\0DU 3¿]HU,QF'HF 3¿]HU,QF-XQ 3KLOLS0RUULV,QWHUQDWLRQDO,QF0D\ 3RKMROD%DQNSOF0DU 335$SU 3URFWHU*DPEOH&RPSDQ\'HF 3URFWHU*DPEOH&RPSDQ\0D\ 5DEREDQN19-DQ 5DEREDQN19-XO 5DEREDQN190D\ 5DEREDQN190D\ 5&,%DQTXH6$-DQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 135 FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 350,000 300,000 280,000 250,000 800,000 500,000 200,000 300,000 500,000 500,000 400,000 400,000 400,000 300,000 100,000 200,000 550,000 250,000 300,000 520,000 850,000 200,000 400,000 200,000 500,000 400,000 750,000 500,000 500,000 700,000 550,000 200,000 400,000 590,000 100,000 800,000 400,000 400,000 500,000 400,000 1,200,000 400,000 500,000 300,000 810,000 1,000,000 400,000 590,000 500,000 200,000 Description Market value % NAV 355,329 393,192 323,837 342,351 905,788 597,820 597,470 810,054 405,204 404,984 310,100 225,944 293,541 1,050,000 218,507 411,232 218,241 783,049 555,343 810,383 230,535 507,982 101,143 421,872 434,914 548,890 347,715 988,442 1,081,804 424,280 520,773 200,529 0.04 0.08 0.05 0.04 0.04 0.11 0.07 0.03 0.04 0.08 0.07 0.10 0.08 0.05 0.05 0.05 0.04 0.01 0.03 0.07 0.08 0.04 0.04 0.07 0.13 0.03 0.05 0.03 0.07 0.05 0.10 0.08 0.07 0.10 0.08 0.09 0.03 0.08 0.01 0.10 0.05 0.05 0.07 0.05 0.05 0.07 0.08 0.04 0.12 0.13 0.05 0.08 0.08 0.02 5&,%DQTXH6$-XO 5HSVRO,QWHUQDWLRQDO)LQDQFH%90DU 5HVHDX)HUUHGH)UDQFH2FW 5RFKH+ROGLQJ,QF0DU 5RFKH+ROGLQJV,QF0DU 5R\DO%DQNRI6FRWODQGSOF-DQ 5R\DO%DQNRI6FRWODQGSOF6HS 5R\DO%DQNRI6FRWODQGSOF$SU 5R\DO.316HS 5R\DO.316HS 57((')7UDQVSRUW6$6HS 5:($*)HE 5:()LQDQFH%9$XJ 6DQR¿$YHQWLV0D\ 6DQWDQGHU,QWHUQDWLRQDO'HEW6$80DU 6DQWDQGHU,QWHUQDWLRQDO'HEW6$8$XJ 6DQWDQGHU,QWHUQDWLRQDO'HEW6$80D\ 6FKOXPEHUJHU)LQDQFH%9'HF 6FKQHLGHU(OHFWULF6$$XJ 6FKQHLGHU(OHFWULF6$-DQ 6(66$2FW 6KHOO,QWHUQDWLRQDO)LQDQFH%90D\ 6KHOO,QWHUQDWLRQDO)LQDQFH%9)HE 6LHPHQV)LQDQFLHULQJVPDDWVFKDSSLM19)HE 6LHPHQV)LQDQFLHULQJVPDDWVFKDSSLM19-XQ 6NDQGLQDYLVND(QVNLOGD%DQNHQ$%)51'HF 616%DQN19)HE 616%DQN191RY 6RFLHWHDQRQ\PHGHJHVWLRQGHVWRFNVGHVHFXULWH)HE 6RFLHWHGHV$XWRURXWHV3DULV5KLQ5KRQH-DQ 6RFLHWH*HQHUDOH6$0DU 6RFLHWH*HQHUDOH6$$XJ 6RGH[R-DQ 6ROYD\6$-XQ 6WDQGDUG&KDUWHUHG%DQNSOF6HS 6WDWNUDIW6HS 6WDWRLO$6$0DU 6XH](QYLURQQHPHQW&RPSDQ\-XQ 6XH](QYLURQQHPHQW&RPSDQ\$SU 6YHQVND+DQGHOVEDQNHQ$%0DU 6YHQVND+DQGHOVEDQNHQ$%)51'HF 6ZHGEDQN$%$SU 7'&$6)HE 7HOHFRP,WDOLD6S$-DQ 7HOHFRP,WDOLD6S$)HE 7HOHFRP,WDOLD6S$-DQ 7HOHIRQLFD(PLVLRQHV6$8)HE 7HOHIRQLFD(PLVLRQHV6$8)HE 7HOHIRQLFD(PLVLRQHV6$8$SU 7HOHNRP)LQDQ]PDQDJHPHQW*PE+-DQ 7HOHQRU$6$0DU 7HOLDVRQHUD$%1RY 7HOVWUD&RUS/LPLWHG-XO 7HUQD2FW 7HUQD5HWH(OHWWULFD1D]LRQDOH6S$2FW 7HVFRSOF6HS 7K\VVHQ.UXSS$*)HE 7RURQWR'RPLQLRQ%DQN-DQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations EUR - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Market value % NAV 1,032,114 510,480 747,523 349,247 512,050 842,453 841,459 502,751 580,478 0.09 0.14 0.07 0.09 0.08 0.08 0.05 0.09 0.04 0.07 0.12 0.08 0.10 0.10 0.07 0.04 0.07 191,974,699 23.36 Total Bonds 191,974,699 23.36 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 797,340,866 97.04 500,000 1,200,000 580,000 1,000,000 500,000 700,000 500,000 300,000 700,000 300,000 500,000 440,000 450,000 800,000 550,000 750,000 750,000 590,000 400,000 300,000 450,000 550,000 Description 7RWDO&DSLWDO6$'HF 8%6$*-DQ 8%6$*$SU 8QHGLF)HE 8QLEDLO5RGDPFR6(0DU 8QL&UHGLW6S$$SU 9DOH6$-DQ 9DWWHQIDOO$%0DU 9HROLD(QYLURQQHPHQW'HF 9HROLD(QYLURQQHPHQW1RY 9LYHQGL6$1RY 9LYHQGL6$'HF 9RGDIRQH*URXSSOF-DQ 9RGDIRQH*URXSSOF-DQ 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH191RY 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH190D\ 9ROYR7UHDVXU\$%0D\ :DFKRYLD&RUS$XJ :HVWSDF%DQNLQJ&RUS6HS :HVWSDF%DQNLQJ&RUS6HS :33SOF0D\ :XHUWK)LQDQFH,QWHUQDWLRQDO%90D\ ;VWUDWD&DQDGD)LQDQFH&RUS0D\ =XULFK)LQDQFH,QF)51-XQ Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 2,400,000 4,700,000 %HOJLXP*RYWRI0DU )UDQFH*RYWRI%7$1)HE 2,585,100 0.31 7,578,967 0.92 Total Supranationals, Governments and Local Public Authorities, Debt Instruments 7,578,967 0.92 Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities 7,578,967 0.92 804,919,833 97.96 Total Investment in securities Other Net Assets 16,750,430 2.04 Total Net Assets 821,670,263 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 137 FDC SICAV Obligations EUR - Indexé ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments %DQNV Government guaranteed bonds 6XSUDQDWLRQDOEDQNV Electrical utilities Telecommunication services Financial services Insurance Oil and gas producers Transportation Auto manufacturers Beverages 3KDUPDFHXWLFDOV Food services 0LQLQJQRQSUHFLRXV Engineering and construction Municipal 'LYHUVL¿HGFRPSDQLHV Oil and gas services Investment companies Water utilities Chemicals Tobacco Real estate Commercial papers and other short term instruments Iron and steel Commercial services Electrical equipment Cosmetics and personal care Healthcare services Industrial plants 3XEOLVKLQJDQGSULQWLQJ Retail (QHUJ\DOWHUQDWHVRXUFHV Distribution and wholesale Household products Building materials Medical 8.93 4.02 2.32 1.92 1.24 0.99 0.81 0.53 0.42 0.29 0.28 0.28 0.22 0.22 0.21 0.21 0.18 0.17 0.15 0.12 0.10 0.08 0.08 0.07 0.07 0.05 0.04 0.04 0.03 0.03 Total Investment in Securities 97.96 Other Net Assets 2.04 Total Net Assets 100.00 138 FDC SICAV Obligations Monde – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 5,000,000 5,000,000 5,000,000 7,530,000 3,200,000 18,000,000 2,100,000 1,390,000 5,145,000 5,000,000 8,250,000 5,030,000 %HOJLXP*RYWRI-XQ %HOJLXP*RYWRI6HS )UDQFH*RYWRI-XO )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI%XQGHVREOLJDWLRQ2FW ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%37$XJ 6SDLQ*RYWRI2FW 5,974,750 5,084,500 8,245,538 3,449,040 42,194,117 2,915,010 2,032,389 4,353,875 4,938,203 1.29 1.37 1.17 1.90 0.79 4.31 9.71 0.47 1.23 1.00 1.99 1.14 117,595,881 27.04 2,108,983 8,128,117 0.98 0.48 1.87 14,506,775 3.33 9,879,887 4,813,328 5.72 2.27 1.07 1.09 2.91 1.11 77,356,746 17.79 4,978,954 3,770,897 7,974,590 2.23 1.14 0.87 1.83 1.98 GBP Supranationals, Governments and Local Public Authorities, Debt Instruments 3,300,000 1,300,000 5,000,000 8QLWHG.LQJGRP*LOW-DQ 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW0DU JPY Supranationals, Governments and Local Public Authorities, Debt Instruments 1,730,000,000 1,100,000,000 500,000,000 520,000,000 1,300,000,000 505,000,000 -DSDQ*RYWRI7HQ<HDU%RQG0DU -DSDQ*RYWRI7HQ<HDU%RQG'HF -DSDQ*RYWRI7HQ<HDU%RQG6HS -DSDQ*RYWRI7HQ<HDU%RQG'HF -DSDQ*RYWRI7KLUW\<HDU%RQG'HF -DSDQ*RYWRI7ZHQW\<HDU%RQG'HF -DSDQ*RYWRI7ZHQW\<HDU%RQG-XQ USD Supranationals, Governments and Local Public Authorities, Debt Instruments 13,000,000 5,000,000 10,000,000 10,000,000 %ULWLVK&ROXPELD&DQDGD3URYLQFHRI2FW (XURSHDQ,QYHVWPHQW%DQN6HS 0DQLWRED&DQDGD3URYLQFHRI6HS 2QWDULR&DQDGD3URYLQFHRI)HE 4XHEHF3URYLQFHRI0DU Total Supranationals, Governments and Local Public Authorities, Debt Instruments 35,056,984 8.05 244,516,386 56.21 2,147,000 0.49 1,583,123 0.40 0.14 0.37 6,093,117 1.40 EUR Bonds 2,000,000 550,000 1,500,000 &RRSHUDWLHYH&HQWUDOH5DLIIHLVHQ%RHUHQOHHQEDQN%$ 6HS 6RFLHWH*HQHUDOH6$0DU 7HOVWUD&RUS/LPLWHG6HS =XULFK)LQDQFH,QF)51-XQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 139 FDC SICAV Obligations Monde – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 1,524,930 1,090,481 1,143,770 1,133,493 1,024,859 0.21 0.35 0.25 0.24 0.24 0.43 0.34 11,249,081 2.58 927,001 800,224 1,078,888 833,992 3,152,017 339,741 523,829 890,841 487,015 1,884,920 2,053,205 1,310,407 0.17 0.21 0.39 0.25 0.24 0.18 0.09 0.25 0.24 0.19 0.73 0.38 1.13 0.08 0.12 0.20 0.11 0.43 0.41 0.47 0.37 0.22 0.37 0.30 38,255,522 8.79 GBP Bonds 1,000,000 750,000 872,000 750,000 700,000 770,000 1,400,000 1,000,000 $HJRQ19'HF $PHULFD0RYLO6$%GH&9-XQ %DQNRI$PHULFD&RUS6HS %0:)LQDQFH19'HF %ULWLVK6N\%URDGFDVWLQJ0D\ %ULWLVK7HOHFRPPXQLFDWLRQVSOF'HF &LWLJURXS,QF0D\ )&(%DQNSOF)HE +XWFKLVRQ:KDPSRD)LQDQFH8.SOF1RY USD Bonds 825,000 1,200,000 2,000,000 3,500,000 1,170,000 3,500,000 1,370,000 930,000 440,000 1,250,000 1,170,000 850,000 1,800,000 400,000 1,000,000 520,000 2,000,000 2,000,000 2,300,000 1,945,000 2,025,000 1,500,000 $JLOHQW7HFKQRORJLHV,QF1RY $Q]1DWLRQDO,QW¶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otal Bonds 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 55,597,720 12.77 300,114,106 68.98 Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities AUD Supranationals, Governments and Local Public Authorities, Debt Instruments 7,500,000 1HZ6RXWK:DOHV7UHDVXU\&RUS)HE 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 140 1.52 6,602,756 1.52 FDC SICAV Obligations Monde – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 2.71 11,764,258 2.71 8,771,370 4,322,237 7.01 2.02 3.83 0.99 67,547,782 15.54 85,914,796 19.77 CAD Supranationals, Governments and Local Public Authorities, Debt Instruments &DQDGD*RYWRI-XQ USD Supranationals, Governments and Local Public Authorities, Debt Instruments 40,215,000 11,705,000 9,035,000 20,000,000 4,000,000 8QLWHG6WDWHV7UHDVXU\1%-XO 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%)HE Total Supranationals, Governments and Local Public Authorities, Debt Instruments GBP Bonds :HOOV)DUJR&RPSDQ\1RY 807,807 0.19 807,807 0.19 1,105,391 1,284,859 2,721,420 1,955,941 1,110,813 2,427,454 341,230 2,035,355 0.25 0.25 0.30 0.45 0.50 0.08 0.12 0.59 0.49 0.47 0.28 USD Bonds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otal Bonds Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities Other transferable securities and money market instruments CAD Bonds 2,000,000 5RJHUV&RPPXQLFDWLRQV,QF$XJ 1,802,929 0.41 1,802,929 0.41 EUR Bonds 2,000,000 1RUGHD%DQN$%)HE 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 141 0.50 2,165,749 0.50 FDC SICAV Obligations Monde – Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 988,381 794,149 209,720 488,805 752,253 0.18 0.23 0.18 0.05 0.11 0.17 0.23 USD Bonds 1,000,000 1,220,000 1,018,000 250,000 930,000 1,125,000 %*(QHUJ\&DSLWDOSOF2FW &RPPRQZHDOWK%DQNRI$XVWUDOLD0DU 1HZFUHVW)LQDQFH3W\/LPLWHG2FW 3HUQRG5LFDUG6$-DQ 6FKOXPEHUJHU,QYHVWPHQW6$$XJ 6FKOXPEHUJHU,QYHVWPHQW6$6HS 6FKOXPEHUJHU2LO¿HOG8.SOF-DQ Total Bonds Total Other transferable securities and money market instruments Total Investment in securities 2.06 8,967,716 2.06 96.23 16,412,915 3.77 434,893,020 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 142 1.15 8,967,716 418,480,105 Other Net Assets Total Net Assets 4,999,038 FDC SICAV Obligations Monde – Actif 1 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments %DQNV Financial services Broadcasting, radio and television Oil and gas services 6XSUDQDWLRQDOEDQNV Telecommunication services Insurance Oil and gas producers Beverages Tobacco 0DFKLQHU\ Food services Forest products and paper 'LYHUVL¿HGFRPSDQLHV Telephone Auto manufacturers Electrical utilities 3UHFLRXVPHWDOV Electronic equipment 74.84 7.39 2.78 1.28 1.14 1.14 0.78 0.73 0.43 0.34 0.28 0.24 0.18 0.17 Total Investment in Securities 96.23 Other Net Assets 3.77 Total Net Assets 100.00 143 FDC SICAV Obligations Monde – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ AUD Supranationals, Governments and Local Public Authorities, Debt Instruments 4XHHQVODQG7UHDVXU\&RUS-XO 4XHHQVODQG7UHDVXU\&RUS-XO 14,050,474 14,320,230 2.89 2.94 28,370,704 5.83 9,509,745 14,421,479 18,028,500 1.95 3.25 3.34 107,850,310 22.11 3,974,979 0.82 3,974,979 0.82 14,320,935 12,589,272 2.94 2.58 36,966,824 7.58 1.48 14,832,643 3.04 3,481,080 3,878,014 0.71 1.15 0.95 0.80 23,750,067 4.87 215,745,527 44.25 4,539,180 2,351,775 3,428,720 2,395,187 0.93 0.48 0.70 0.74 0.55 0.49 18,981,972 3.89 2,958,548 0.94 EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 8,200,000 24,000,000 13,170,000 17,500,000 15,000,000 9,400,000 $XVWULD*RYWRI6HS )UDQFH*RYWRI)HE )UDQFH*RYWRI2$7$SU ,WDO\*RYWRI%376HS ,WDO\*RYWRI%370DU ,WDO\*RYWRI%376HS 6ORYHQLD*RYWRI0DU GBP Supranationals, Governments and Local Public Authorities, Debt Instruments 3,200,000 8QLWHG.LQJGRP*LOW0DU JPY Supranationals, Governments and Local Public Authorities, Debt Instruments 1,500,000,000 1,000,000,000 1,350,000,000 'HYHORSPHQW%DQNRI-DSDQ6HS 'HYHORSPHQW%DQNRI-DSDQ0DU -DSDQ)LQ2UJ0XQLFLSDO0D\ PLN Supranationals, Governments and Local Public Authorities, Debt Instruments 27,000,000 3RODQG*RYWRI2FW 3RODQG*RYWRI6HS USD Supranationals, Governments and Local Public Authorities, Debt Instruments 4,315,000 5,775,000 5,750,000 4,300,000 .RUHD*RYWRI$SU /LWKXDQLD*RYWRI)HE 3RODQG*RYWRI$SU 4DWDU*RYWRI-DQ 6RXWK$IULFD*RYWRI0DU Total Supranationals, Governments and Local Public Authorities, Debt Instruments EUR Bonds 4,000,000 2,500,000 3,200,000 3,000,000 2,310,000 2,100,000 %DUFOD\V%DQNSOF-DQ &LWLJURXS,QF)511RY 5DEREDQN191RY 5R\DO%DQNRI6FRWODQGSOF6HS 7HOHFRP,WDOLD)LQDQFH6$-DQ 9HROLD(QYLURQQHPHQW'HF GBP Bonds 2,000,000 2,900,000 2,900,000 &DUOVEHUJ%UHZHULHV$61RY +6%&+ROGLQJVSOF0D\ ,PSHULDO7REDFFR)LQDQFHSOF-XQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 144 FDC SICAV Obligations Monde – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 750,000 1,800,000 3,000,000 Description Market value % NAV 1,053,470 2,414,755 4,494,358 0.22 0.50 0.92 20,180,680 4.15 1,090,288 2,274,145 4,505,292 3,740,043 2,574,530 4,772,457 2,499,712 3,244,997 2,443,343 2,183,423 1,201,238 2,349,791 0.22 0.31 0.47 0.92 0.35 0.77 0.53 0.49 0.97 0.51 0.70 0.25 0.50 0.45 0.54 0.25 0.48 45,705,860 9.38 0RUULVRQ6XSHUPDUNHWV'HF 0RWDELOLW\2SHUDWLRQV*URXSSOF)HE 7HVFRSOF)HE USD Bonds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otal Bonds 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 84,868,512 17.42 300,614,039 61.67 Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities CAD Supranationals, Governments and Local Public Authorities, Debt Instruments &DQDGD*RYWRI-XQ 13,190,828 2.71 13,190,828 2.71 2,811,550 1,314,958 425,221 535,053 7,584,857 11,430,759 13,481,888 4,087,237 3,215,840 0.57 0.27 0.34 0.09 0.11 1.40 2.34 2.77 0.84 1.47 0.89 64,903,062 13.31 78,093,890 16.02 USD Supranationals, Governments and Local Public Authorities, Debt Instruments 1,200,000 2,195,000 420,000 530,000 10,000,000 9,000,000 15,000,000 4,350,000 &DOLIRUQLD*RYWRI2FW &DOLIRUQLD*RYWRI0DU ,OOLQRLV*RYWRI-XQ /RV$QJHOHV8QL¿HG6FKRRO'LVWULFW-XO 6DQ'LHJR&RXQW\:DWHU$XWKRULW\0D\ 8QLWHG6WDWHV7UHDVXU\%LOO-DQ 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%-XO 8QLWHG6WDWHV7UHDVXU\1%$XJ 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%6HS 8QLWHG6WDWHV7UHDVXU\1%0D\ 8QLWHG6WDWHV7UHDVXU\1%$XJ Total Supranationals, Governments and Local Public Authorities, Debt Instruments 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 145 FDC SICAV Obligations Monde – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 0.83 4,036,915 0.83 2,409,271 3,400,348 1,152,972 2,798,208 4,153,841 1,897,452 4,449,302 4,199,023 3,085,498 2,281,880 2,442,277 1,251,205 0.49 0.70 0.24 0.57 0.85 0.39 0.91 0.47 1.40 0.50 46,614,378 9.55 GBP Bonds 6YHQVND+DQGHOVEDQNHQ$%-DQ USD Bonds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otal Bonds Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities 50,651,293 10.38 128,745,183 26.40 1,788,723 2,289,593 2,398,909 1,155,833 0.45 1.28 0.47 0.74 0.39 0.37 0.47 0.98 0.49 0.75 0.24 35,254,516 7.23 35,254,516 7.23 Other transferable securities and money market instruments USD Bonds 2,825,000 7,870,000 3,000,000 4,500,000 2,200,000 2,340,000 3,000,000 2,975,000 4,750,000 1,500,000 3,810,000 $QJOR$PHULFDQ&DSLWDOSOF$SU &GS)LQDQFLDO1RY 'DLPOHU)LQDQFH33$0DU 'DQVNH%DQN$6$SU *RRGPDQ)XQGLQJ3W\/LPLWHG$SU +\XQGDL&DSLWDO$PHULFD2FW ,1*%DQN192FW ,1*%DQN196HS 0HWURSROLWDQ/LIH*OREDO)XQGLQJ,33$-XQ 1RUGHD%DQN$%-DQ 5&,%DQTXH6$$SU 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH191RY Total Bonds Total Other transferable securities and money market instruments Total Investment in securities 35,254,516 7.23 464,613,738 95.30 Other Net Assets Total Net Assets 22,931,756 4.70 487,545,494 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations Monde – Actif 2 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments %DQNV Government guaranteed bonds Financial services Municipal Food services Open-ended Funds Auto manufacturers Broadcasting, radio and television Insurance Tobacco Computers and peripherals Telecommunication services 3KDUPDFHXWLFDOV Oil and gas services Beverages 6XSUDQDWLRQDOEDQNV 'LYHUVL¿HGFRPSDQLHV Water utilities 0LQLQJQRQSUHFLRXV Real estate investment trust Engineering and construction Aerospace and defence Electrical utilities 48.87 15.82 7.58 4.94 3.82 2.24 1.28 1.07 1.00 0.94 0.91 0.81 0.70 0.53 0.50 0.49 0.45 0.39 0.31 0.25 Total Investment in Securities 95.30 Other Net Assets 4.70 Total Net Assets 100.00 147 FDC SICAV Obligations Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ AUD Supranationals, Governments and Local Public Authorities, Debt Instruments 4,430,000 1,355,000 2,000,000 1,000,000 $XVWUDOLD*RYWRI-XO $XVWUDOLD*RYWRI2FW $XVWUDOLD*RYWRI$SU $XVWUDOLD*RYWRI-XO $XVWUDOLD*RYWRI)HE 3,710,045 487,788 1,273,271 887,904 8,259,275 0.85 0.11 0.29 0.44 0.20 1.89 CHF Supranationals, Governments and Local Public Authorities, Debt Instruments 4,040,000 6ZLW]HUODQG*RYWRI-XQ 3,975,815 0.91 3,975,815 0.91 1,053,413 0.10 0.14 0.24 1,013,737 891,727 1,249,882 2,033,800 4,257,158 741,729 1,535,330 11,237,554 311,815 3,077,994 4,350,870 5,222,053 1,073,700 1,549,147 1,324,372 1,881,034 942,948 0.23 0.19 0.35 0.21 0.24 0.24 0.21 0.29 0.47 0.98 0.17 0.19 0.42 0.23 0.35 2.59 0.07 0.50 0.22 0.71 0.35 0.54 1.00 1.20 2.22 0.25 0.24 0.21 0.30 0.43 0.09 0.22 0.70 76,682,592 17.66 DKK Supranationals, Governments and Local Public Authorities, Debt Instruments 2,810,000 3,000,000 'HQPDUN*RYWRI1RY 'HQPDUN*RYWRI1RY EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 1,350,000 750,000 850,000 992,000 1,235,000 2,000,000 4,050,000 725,000 700,000 1,420,000 710,000 1,510,000 10,510,000 290,000 1,975,000 800,000 2,150,000 1,000,000 2,310,000 4,350,000 4,900,000 3,000,000 8,885,000 1,000,000 1,500,000 995,000 1,120,000 1,850,000 400,000 1,100,000 2,900,000 $XVWULD*RYWRI$SU $XVWULD*RYWRI0DU %HOJLXP*RYWRI-XQ %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\0D\ )LQODQG*RYWRI$SU )UDQFH*RYWRI6HS )UDQFH*RYWRI-XO )UDQFH*RYWRI)HE )UDQFH*RYWRI2FW )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU *HUPDQ\*RYWRI6HS *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI%XQGHVREOLJDWLRQ2FW *HUPDQ\*RYWRI%XQGHVVFKDW]DQZHLVXQJHQ6HS ,WDO\*RYWRI%37-XQ ,WDO\*RYWRI%376HS ,WDO\*RYWRI%376HS ,WDO\*RYWRI%371RY /DQG%DGHQ:XHUWWHPEHUJ-DQ 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-XO 6SDLQ*RYWRI2FW 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-DQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 148 FDC SICAV Obligations Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 4,444,314 5,159,972 5,121,054 1,900,537 5,371,120 1.02 1.40 1.19 1.18 0.44 0.14 1.24 28,925,183 6.67 2,507,735 2,297,902 18,098,799 5,170,510 4,044,447 12,588,222 0.58 0.91 0.53 1.44 4.15 1.11 1.19 1.41 0.93 2.90 65,881,309 15.15 871,154 0.20 3,637,833 0.84 GBP Supranationals, Governments and Local Public Authorities, Debt Instruments 3,525,000 4,375,000 3,380,000 3,410,000 1,530,000 380,000 190,000 3,530,000 8QLWHG.LQJGRP*LOW0DU 8QLWHG.LQJGRP*LOW6HS 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW6HS 8QLWHG.LQJGRP*LOW0DU 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW6HS 8QLWHG.LQJGRP*LOW0DU JPY Supranationals, Governments and Local Public Authorities, Debt Instruments 282,450,000 440,150,000 251,850,000 1,915,150,000 543,900,000 545,000,000 421,750,000 1,434,850,000 -DSDQ*RYWRI)LYH<HDU%RQG'HF -DSDQ*RYWRI7HQ<HDU%RQG6HS -DSDQ*RYWRI7HQ<HDU%RQG0DU -DSDQ*RYWRI7HQ<HDU%RQG-XQ -DSDQ*RYWRI7HQ<HDU%RQG-XQ -DSDQ*RYWRI7KLUW\<HDU%RQG0DU -DSDQ*RYWRI7KLUW\<HDU%RQG0DU -DSDQ*RYWRI7ZHQW\<HDU%RQG-XQ -DSDQ*RYWRI7ZHQW\<HDU%RQG0DU -DSDQ*RYWRI7ZR<HDU%RQG-XO KRW Supranationals, Governments and Local Public Authorities, Debt Instruments 3,841,790,000 .RUHD*RYWRI0DU .RUHD*RYWRI'HF MXN Supranationals, Governments and Local Public Authorities, Debt Instruments 247,785 0H[LFR*RYWRI%RQRV-XQ 1,569,611 0.36 NOK Supranationals, Governments and Local Public Authorities, Debt Instruments 1,280,000 1RUZD\*RYWRI0D\ 0.05 203,617 0.05 PLN Supranationals, Governments and Local Public Authorities, Debt Instruments 7,800,000 3RODQG*RYWRI2FW 2,084,139 0.48 2,084,139 0.48 SEK Supranationals, Governments and Local Public Authorities, Debt Instruments 12,750,000 6ZHGHQ*RYWRI$XJ 0.38 1,672,664 0.38 159,294 0.04 159,294 0.04 1,199,852 107,892 0.28 0.02 1,307,744 0.30 SGD Supranationals, Governments and Local Public Authorities, Debt Instruments 220,000 6LQJDSRUH*RYWRI6HS THB Supranationals, Governments and Local Public Authorities, Debt Instruments 48,000,000 3,900,000 7KDLODQG*RYW2I-XQ 7KDLODQG*RYW2I-XQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 149 FDC SICAV Obligations Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 178,459 0.04 0.03 3,295,321 0.75 USD Supranationals, Governments and Local Public Authorities, Debt Instruments 3,350,000 208,000 .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-DQ 0H[LFR*RYWRI0DU 3RODQG*RYWRI$SU ZAR Supranationals, Governments and Local Public Authorities, Debt Instruments 10,700,000 6RXWK$IULFD*RYWRI'HF Total Supranationals, Governments and Local Public Authorities, Debt Instruments EUR Bonds 892,000 1,800,000 500,000 1,335,000 750,000 425,000 385,000 425,000 800,000 1,740,000 350,000 75,000 150,000 2,100,000 800,000 2,000,000 2,050,000 900,000 200,000 100,000 800,000 850,000 710,000 125,000 550,000 1,000,000 770,000 1,075,000 830,000 2,595,000 1,225,327 0.28 1,225,327 0.28 199,933,137 46.00 2,011,257 855,870 482,288 385,350 471,510 2,138,000 835,248 2,051,120 2,074,241 1,071,500 242,881 873,720 855,028 800,930 157,327 1,090,515 778,039 1,101,783 0.23 0.12 0.31 0.20 0.11 0.09 0.11 0.19 0.42 0.08 0.02 0.04 0.49 0.19 0.55 0.47 0.48 0.25 0.03 0.20 0.20 0.18 0.04 0.15 0.25 0.18 0.25 0.20 31,738,826 7.32 987,877 0.11 0.11 0.48 0.23 6,300,935 1.45 $%1$PUR%DQN190DU $OOLDQ])LQDQFH,,%9)HE $OWDGLV)LQDQFH2FW $QKHXVHU%XVFK,Q%HY190DU $QKHXVHU%XVFK,Q%HY6$$SU %DQNRI$PHULFD&RUS)HE %DUFOD\V%DQNSOF-DQ %DW,QWHUQDWLRQDO)LQDQFHSOF-DQ %DW,QWHUQDWLRQDO)LQDQFHSOF0DU %HO¿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onds 590,000 400,000 350,000 1,050,000 1,425,000 805,000 1HVWOH)LQDQFH,QWHUQDWLRQDO1RY 6LHPHQV)LQDQFLHULQJVPDDWVFKDSSLM196HS 7HOHFRP,WDOLD6S$-XQ 7HVFRSOF)HE 7KDPHV:DWHU8WLOLWLHV&D\PDQ)LQDQFH/LPLWHG)HE 7UDQVSRUWIRU/RQGRQ1RY 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 150 FDC SICAV Obligations Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 507,922 403,508 3,959,880 2,395,193 434,070 4,912,714 483,403 182,898 2,157,380 1,258,379 0.08 0.28 0.12 0.09 0.91 0.57 0.55 0.10 1.13 0.11 0.20 0.04 0.50 0.29 0.20 1,919,044 1,214,479 312,532 882,183 1,438,554 899,552 855,245 1,252,592 453,581 1,422,373 1,081,183 281,435 305,798 535,507 285,503 959,492 0.44 0.38 0.28 0.07 0.08 0.07 0.21 0.43 0.27 0.04 0.07 0.20 0.15 0.33 0.21 0.20 0.29 0.10 0.33 0.25 0.07 0.08 0.12 0.07 0.22 0.15 45,949,528 10.56 83,989,289 19.33 283,922,426 65.33 USD Bonds 834,000 1,400,000 550,000 525,000 5,009,000 3,290,000 550,000 5,400,000 575,000 175,000 1,483,000 1,042,000 2,251,000 2,050,000 1,450,000 400,000 383,000 330,000 1,100,000 2,225,000 175,000 300,000 355,000 995,000 1,900,000 1,125,000 1,110,000 1,583,000 492,000 1,792,000 1,200,000 350,000 400,000 425,000 325,000 1,183,000 750,000 $HWQD,QF1RY $OWULD*URXS,QF0D\ $PHULFDQ,QWHUQDWLRQDO*URXS,QF-XQ $QKHXVHU%XVFK,Q%HY,QF-DQ $77,QF)HE $77,QF)HE %DQN1HGHUODQGVH*HPHHQWHQ0DU %DQNRI$PHULFD&RUS-DQ %DW,QWHUQDWLRQDO)LQDQFHSOF-XQ %ULWLVK7HOHFRPPXQLFDWLRQVSOF-DQ &DQDGLDQ3DFL¿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otal Bonds 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 151 FDC SICAV Obligations Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities CAD Supranationals, Governments and Local Public Authorities, Debt Instruments 10,090,000 3,950,000 4,000,000 3,100,000 &DQDGD*RYWRI6HS &DQDGD*RYWRI$XJ &DQDGD*RYWRI-XQ &DQDGD*RYWRI-XQ 7,728,929 3,415,477 3,157,738 1.78 0.70 0.79 0.73 17,363,918 4.00 MYR Supranationals, Governments and Local Public Authorities, Debt Instruments 3,410,000 0DOD\VLD*RYWRI2FW 0.20 848,612 0.20 SGD Supranationals, Governments and Local Public Authorities, Debt Instruments 4,555,000 6LQJDSRUH*RYWRI-XO 2,973,263 0.68 479,191 11,987,733 3,254,777 4,383,290 14,548,717 4,743,795 2,934,118 2,955,287 4,322,237 0.11 0.19 0.75 1.01 3.35 1.41 1.09 0.14 0.99 59,918,637 13.80 81,104,430 18.68 299,117 0.07 0.25 1,367,183 0.32 983,157 1,013,738 870,574 215,731 1,795,104 391,188 0.23 0.05 0.22 0.23 0.48 0.20 0.05 0.41 0.11 0.22 0.15 0.21 0.09 0.21 USD Supranationals, Governments and Local Public Authorities, Debt Instruments 500,000 15,800,000 4,300,000 5,800,000 19,125,000 3,700,000 7,800,000 3,810,000 3,000,000 4,000,000 3RUW$XWKRULW\RI1HZ<RUN1HZ-HUVH\'HF 8QLWHG6WDWHV7UHDVXU\1%6HS 8QLWHG6WDWHV7UHDVXU\1%6HS 8QLWHG6WDWHV7UHDVXU\1%6HS 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%2FW 8QLWHG6WDWHV7UHDVXU\1%$XJ 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%$XJ 8QLWHG6WDWHV7UHDVXU\1%0D\ 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%0D\ 8QLWHG6WDWHV7UHDVXU\1%)HE Total Supranationals, Governments and Local Public Authorities, Debt Instruments EUR Bonds 300,000 1,075,000 *(&DSLWDO7UXVW,,)516HS ,%0&RUS1RY USD Bonds 1,270,000 245,000 1,300,000 1,275,000 2,435,000 1,000,000 280,000 2,440,000 584,000 1,150,000 725,000 1,210,000 500,000 1,000,000 $EEYLH,QF1RY $EEYLH,QF1RY $OWULD*URXS,QF$XJ $PHULFDQ([SUHVV&UHGLW&RUS6HS $PHULFDQ,QWHUQDWLRQDO*URXS,QF6HS %HUNVKLUH+DWKDZD\)LQDQFH&RUS-DQ %133DULEDV6HS %ULVWRO0\HUV6TXLEE&RPSDQ\$XJ &%6&RUS0DU &LWLJURXS,QF-DQ &RPFDVW&RUS-XO &RQRFRSKLOOLSV&RPSDQ\'HF 'LUHF79+ROGLQJV//&0DU 'LUHF79+ROGLQJV//&2FW 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 152 FDC SICAV Obligations Monde – Actif 3 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 910,000 3,475,000 1,220,000 2,817,000 1,500,000 1,392,000 3,775,000 1,075,000 1,900,000 458,000 938,000 2,800,000 500,000 884,000 1,115,000 950,000 1,158,000 535,000 Description Market value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otal Bonds Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities 38,913,158 8.94 120,017,588 27.62 1,088,854 481,374 431,022 1,242,148 0.19 0.82 0.20 0.25 0.11 0.10 0.07 0.37 0.29 15,263,467 3.52 15,263,467 3.52 Other transferable securities and money market instruments USD Bonds 995,000 1,000,000 1,175,000 825,000 308,000 5,400,000 1,975,000 1,275,000 $%1$PUR%DQN19)HE $PHULFDQ+RQGD)LQDQFH&RUS$XJ &'3)LQDQFLDO,QF1RY &R[&RPPXQLFDWLRQV-XQ 'HXWVFKH7HOHNRP,QWHUQDWLRQDO)LQDQFH%9$SU (21,QWHUQDWLRQDO)LQDQFH%9$SU +XWFKLVRQ:KDPSRD6HS 0RWLYD(QWHUSULVHV//&-DQ 1RUGHD%DQN$%0DU 6DEPLOOHU+ROGLQJV,QF33$-DQ <DUD,QWHUQDWLRQDO$6$-XQ Total Bonds Total Other transferable securities and money market instruments Total Investment in securities 15,263,467 3.52 419,203,481 96.47 Other Net Assets 15,361,550 3.53 Total Net Assets 434,565,031 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 153 FDC SICAV Obligations Monde – Actif 3 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments %DQNV Financial services Telecommunication services Electrical utilities Broadcasting, radio and television Tobacco Insurance Beverages Food services Oil and gas producers Government guaranteed bonds 3KDUPDFHXWLFDOV Auto manufacturers 0LQLQJQRQSUHFLRXV Water utilities Media Retail Transportation 0LVFHOODQHRXVPDFKLQHU\ Chemicals Environment control and services 3LSHOLQHV Healthcare services IT Consulting and services Open-ended Funds Oil and gas services Municipal 'LYHUVL¿HGFRPSDQLHV Telephone Aerospace and defence 8.31 2.87 1.87 1.81 1.80 1.48 1.32 1.11 0.92 0.50 0.48 0.44 0.34 0.33 0.29 0.29 0.28 0.25 0.25 0.20 0.19 0.17 0.10 Total Investment in Securities 96.47 Other Net Assets 3.53 Total Net Assets 100.00 154 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ AUD Supranationals, Governments and Local Public Authorities, Debt Instruments 2,225,000 1,700,000 4,200,000 300,000 580,000 800,000 200,000 750,000 3,000,000 2,000,000 $XVWUDOLD*RYWRI$SU $XVWUDOLD*RYWRI$SU $XVWUDOLD*RYWRI)HE $XVWUDOLD*RYWRI$SU $XVWUDOLD*RYWRI0D\ (XURSHDQ,QYHVWPHQW%DQN$XJ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-XO 4XHHQVODQG7UHDVXU\&RUS$XJ 4XHHQVODQG7UHDVXU\&RUS2FW 4XHHQVODQG7UHDVXU\&RUS-XO 3,729,195 715,473 2,549,405 1,790,029 0.14 0.11 0.28 0.02 0.03 0.05 0.01 0.05 0.19 0.13 13,697,071 1.01 771,194 784,224 1,579,357 1,007,108 3,572,477 0.12 0.08 0.27 7,714,360 0.59 0.12 1,604,920 0.12 475,547 1,807,511 1,434,491 1,155,131 0.04 0.14 0.11 0.09 4,872,680 0.38 573,375 1,072,000 2,804,445 295,850 2,143,179 534,025 1,722,225 4,849,551 3,223,575 0.03 0.38 0.09 0.17 0.04 0.40 0.08 0.21 0.44 0.02 0.04 0.13 0.02 0.18 0.37 0.08 0.02 0.24 CAD Supranationals, Governments and Local Public Authorities, Debt Instruments 1,000,000 1,000,000 2,000,000 1,300,000 4,200,000 &DQDGD+RXVLQJ7UXVW1R0DU &DQDGD+RXVLQJ7UXVW1R'HF &DQDGD+RXVLQJ7UXVW1R0DU &DQDGD+RXVLQJ7UXVW1R6HS &DQDGD+RXVLQJ7UXVW1R0DU CZK Supranationals, Governments and Local Public Authorities, Debt Instruments 33,000,000 &]HFK*RYW$SU DKK Supranationals, Governments and Local Public Authorities, Debt Instruments 3,000,000 11,000,000 7,000,000 8,250,000 'HQPDUN*RYWRI1RY 'HQPDUN*RYWRI1RY 'HQPDUN*RYWRI1RY 'HQPDUN*RYWRI1RY EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 300,000 4,300,000 2,100,000 1,000,000 1,500,000 500,000 1,000,000 2,100,000 4,800,000 250,000 1,850,000 500,000 1,500,000 250,000 2,000,000 1,000,000 200,000 3,000,000 $V¿QDJ6HS $XVWULD*RYWRI6HS $XVWULD*RYWRI-DQ $XVWULD*RYWRI-DQ $XVWULD*RYWRI-XO %DYDULD*RYWRI-DQ %HOJLXP*RYWRI6HS %HOJLXP*RYWRI6HS %HOJLXP*RYWRI0DU %HOJLXP*RYWRI6HS %HUOLQ/DQG-XQ &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH2FW &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH2FW &DLVVHG¶$PRUWLVVHPHQWGHOD'HWWH6RFLDOH$SU &DMDGH$KRUURVGH9DOHQFLD&DVWHOORQ\$OLFDQWH2FW &]HFK*RYW-XQ (XURSHDQ)LQDQFLDO6WDELOLW\)DFLOLW\0D\ (XURSHDQ,QYHVWPHQW%DQN$SU (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ,QYHVWPHQW%DQN2FW 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 155 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 3,000,000 1,250,000 800,000 2,200,000 1,250,000 1,470,000 2,500,000 1,000,000 2,500,000 5,400,000 4,300,000 2,000,000 800,000 3,500,000 3,400,000 950,000 1,800,000 1,000,000 13,000,000 800,000 1,900,000 5,200,000 500,000 1,000,000 500,000 1,700,000 2,000,000 2,500,000 2,400,000 1,500,000 4,000,000 3,000,000 15,000,000 1,000,000 4,350,000 3,050,000 1,000,000 7,000,000 5,400,000 1,000,000 400,000 500,000 2,170,000 2,000,000 500,000 Description Market value % NAV 3,580,800 1,574,281 957,000 2,430,219 1,435,500 3,052,438 1,557,725 5,927,175 5,002,728 2,328,700 3,359,070 1,873,548 1,075,225 15,010,775 14,708,740 7,057,050 1,145,300 2,778,085 5,539,090 579,188 593,818 0.27 0.12 0.07 0.18 0.11 0.12 0.23 0.12 0.20 0.45 0.38 0.18 0.07 1.42 0.32 0.25 0.34 0.10 0.15 0.08 1.13 1.11 0.53 0.09 0.21 0.59 0.42 0.04 0.08 0.04 1,713,473 2,130,500 3,910,900 15,544,875 1,022,825 4,508,123 3,057,854 7,244,125 5,859,810 5,415,004 1,033,150 505,450 0.13 0.19 0.19 0.12 0.29 0.20 1.17 0.08 0.13 0.34 0.23 0.08 0.55 0.44 0.42 0.08 0.03 0.04 7,050,022 2,885,503 518,175 1,254,478 0.53 0.22 0.18 0.04 0.09 (XURSHDQ,QYHVWPHQW%DQN$SU (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ,QYHVWPHQW%DQN2FW (XURSHDQ8QLRQ6HS (XURSHDQ8QLRQ0D\ )LQODQG*RYWRI-XO )LQODQG*RYWRI-XO )UDQFH*RYWRI$SU )UDQFH*RYWRI%7$1-XO )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$72FW )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU )UDQFH*RYWRI2$7$SU *HPHLQVDPH'HXWVFKH%XQGHVODHQGHU$SU *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-XO *HUPDQ\*RYWRI-DQ *HUPDQ\*RYWRI-XQ +HVVHQ*RYWRI0DU ,1*%DQN190DU ,QWHUQDWLRQDO%DQNIRU5HFRQVWUXFWLRQ'HYHORSPHQW 0D\ ,UHODQG*RYWRI$SU ,UHODQG*RYWRI$SU ,WDO\*RYWRI%37-XQ ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%370DU ,WDO\*RYWRI%37)HE ,WDO\*RYWRI%370DU ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%37$XJ ,WDO\*RYWRI%371RY ,WDO\*RYWRI%376HS .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-DQ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX2FW /DQG%DGHQ:XHUWWHPEHUJ-DQ /DQGHVNUHGLWEDQN%DGHQ:XHUWWHPEHUJ)RHUGHUEDQN $SU 1HWKHUODQGV*RYWRI-XO 1HWKHUODQGV*RYWRI-DQ 1HWKHUODQGV*RYWRI-XO 1RUG/%)HE 1RUWK5KLQH:HVWSKDOLD*RYWRI)HE 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 500,000 300,000 250,000 500,000 3,850,000 2,500,000 1,300,000 150,000 1,250,000 800,000 1,450,000 8,500,000 1,100,000 3,500,000 2,500,000 5,200,000 3,500,000 Description Market value % NAV 523,225 348,900 302,990 521,913 4,179,214 1,588,574 174,121 791,733 8,441,988 2,778,825 5,358,340 0.04 0.04 0.03 0.02 0.04 0.31 0.21 0.12 0.01 0.11 0.11 0.08 0.21 0.17 0.40 0.27 285,387,154 21.52 2,180,108 1,491,388 353,704 1,007,874 3,225,452 293,771 2,280,219 5,723,144 1,889,279 1,988,772 9,914,417 3,550,739 4,958,152 2,018,251 0.05 0.04 0.02 0.02 0.11 0.03 0.08 0.24 0.33 0.02 0.17 0.43 0.59 0.14 0.15 0.75 0.11 0.27 0.04 0.37 0.15 69,737,275 5.25 0.12 1,615,040 0.12 4,313,812 0.32 0.12 15:%DQN0DU 15:%DQN0DU 15:%DQN0D\ 2H%%,QIUDVWUXNWXU$*-XO 2HVWHUUHLFKLVFKH.RQWUROOEDQN$*$SU 3RODQG*RYWRI)HE 3RODQG*RYWRI$SU 3RODQG*RYWRI-DQ 5HJLH$XWRQRPHVGHV7UDQVSRUWV3DULVLHQV6HS 5HVHDX)HUUHGH)UDQFH1RY 6ORYHQLD*RYWRI-DQ 6RFLHWHGH)LQDQFHPHQWGHO¶(FRQRPLH)UDQFDLVH-DQ 6RFLHWH1DWLRQDOHGHV&KHPLQVGH)HU)HE 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI$SU 6SDLQ*RYWRI-DQ 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-XO 6SDLQ*RYWRI-DQ GBP Supranationals, Governments and Local Public Authorities, Debt Instruments 450,000 400,000 1,300,000 200,000 200,000 1,000,000 200,000 700,000 2,350,000 2,500,000 3,000,000 200,000 1,500,000 3,800,000 5,200,000 500,000 1,250,000 1,300,000 5,900,000 7,200,000 1,000,000 2,200,000 350,000 3,050,000 1,200,000 (XURSHDQ,QYHVWPHQW%DQN-XO (XURSHDQ,QYHVWPHQW%DQN-DQ (XURSHDQ,QYHVWPHQW%DQN'HF .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-DQ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-XQ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX$XJ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX'HF 8QLWHG.LQJGRP*LOW6HS 8QLWHG.LQJGRP*LOW-XO 8QLWHG.LQJGRP*LOW6HS 8QLWHG.LQJGRP*LOW0DU 8QLWHG.LQJGRP*LOW-DQ 8QLWHG.LQJGRP*LOW-XQ 8QLWHG.LQJGRP*LOW0DU 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW0DU 8QLWHG.LQJGRP*LOW6HS 8QLWHG.LQJGRP*LOW0DU 8QLWHG.LQJGRP*LOW'HF 8QLWHG.LQJGRP*LOW6HS 8QLWHG.LQJGRP*LOW0DU 8QLWHG.LQJGRP*LOW$XJ ILS Supranationals, Governments and Local Public Authorities, Debt Instruments 6WDWHRI,VUDHO)HE JPY Supranationals, Governments and Local Public Authorities, Debt Instruments 480,000,000 $JHQFH)UDQFDLVHGH'HYHORSSHPHQW-XQ $VLDQ'HYHORSPHQW%DQN-XQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 157 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description 50,000,000 220,000,000 100,000,000 200,000,000 4,050,000,000 400,000,000 1,000,000,000 1,200,000,000 400,000,000 250,000,000 2,300,000,000 1,050,000,000 4,850,000,000 400,000,000 730,000,000 120,000,000 400,000,000 75,000,000 500,000,000 1,400,000,000 1,340,000,000 175,000,000 599,900,000 2,180,000,000 900,000,000 780,000,000 900,000,000 207,000,000 40,000,000 110,000,000 220,000,000 'HYHORSPHQW%DQNRI-DSDQ-XQ 'HYHORSPHQW%DQNRI-DSDQ6HS 'HYHORSPHQW%DQNRI-DSDQ0DU -DSDQ*RYWRI0DU -DSDQ*RYWRI)LYH<HDU%RQG-XQ -DSDQ*RYWRI)RUW\<HDU%RQG0DU -DSDQ*RYWRI7HQ<HDU%RQG-XQ -DSDQ*RYWRI7HQ<HDU%RQG6HS -DSDQ*RYWRI7HQ<HDU%RQG-XQ -DSDQ*RYWRI7HQ<HDU%RQG'HF -DSDQ*RYWRI7HQ<HDU%RQG0DU -DSDQ*RYWRI7HQ<HDU%RQG0DU -DSDQ*RYWRI7HQ<HDU%RQG'HF -DSDQ*RYWRI7HQ<HDU%RQG0DU -DSDQ*RYWRI7HQ<HDU%RQG0DU -DSDQ*RYWRI7HQ<HDU%RQG6HS -DSDQ*RYWRI7HQ<HDU%RQG-XQ -DSDQ*RYWRI7KLUW\<HDU%RQG0DU -DSDQ*RYWRI7KLUW\<HDU%RQG0DU -DSDQ*RYWRI7KLUW\<HDU%RQG6HS -DSDQ*RYWRI7KLUW\<HDU%RQG6HS -DSDQ*RYWRI7KLUW\<HDU%RQG-XQ -DSDQ*RYWRI7ZHQW\<HDU%RQG-XQ -DSDQ*RYWRI7ZHQW\<HDU%RQG6HS -DSDQ*RYWRI7ZHQW\<HDU%RQG-XQ -DSDQ*RYWRI7ZHQW\<HDU%RQG6HS -DSDQ*RYWRI7ZHQW\<HDU%RQG0DU -DSDQ*RYWRI7ZHQW\<HDU%RQG6HS -DSDQ*RYWRI7ZHQW\<HDU%RQG-XQ -DSDQ*RYWRI7ZHQW\<HDU%RQG0DU -DSDQ)LQ2UJ0XQLFLSDO0D\ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX)HE .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-XQ 1RUGLF,QYHVWPHQW%DQN$SU 4XHEHF3URYLQFHRI0D\ Market value % NAV 449,101 2,100,404 35,792,580 3,559,088 9,017,945 11,405,559 11,044,332 3,559,579 2,277,590 20,515,702 9,494,448 45,593,292 3,808,502 3,940,910 739,095 4,227,930 13,592,941 21,525,579 8,884,220 8,392,848 403,151 1,031,228 1,939,531 0.03 0.07 0.13 0.11 0.27 0.83 0.27 0.45 0.17 1.54 0.71 3.42 0.29 0.44 0.52 0.09 0.30 0.32 1.02 0.94 0.13 0.43 0.15 0.03 0.08 0.15 282,513,231 21.26 2,019,059 775,733 1,878,735 0.15 0.14 4,673,527 0.35 778,341 221,925 0.09 0.02 2,165,119 0.17 228,871 1,517,490 110,700 0.02 0.11 0.01 1,857,061 0.14 MXN Supranationals, Governments and Local Public Authorities, Debt Instruments 310,000 130,000 229,000 0H[LFR*RYWRI%RQRV'HF 0H[LFR*RYWRI%RQRV-XQ 0H[LFR*RYWRI%RQRV'HF NOK Supranationals, Governments and Local Public Authorities, Debt Instruments 5,000,000 7,900,000 1RUZD\*RYWRI0D\ 1RUZD\*RYWRI0D\ 1RUZD\*RYWRI0D\ NZD Supranationals, Governments and Local Public Authorities, Debt Instruments 340,000 2,125,000 175,000 1HZ=HDODQG*RYWRI$SU 1HZ=HDODQG*RYWRI'HF 1HZ=HDODQG*RYWRI$SU 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 158 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 389,583 472,073 0.03 0.18 0.04 3,223,065 0.25 SEK Supranationals, Governments and Local Public Authorities, Debt Instruments 2,700,000 18,000,000 3,750,000 6ZHGHQ*RYWRI0DU 6ZHGHQ*RYWRI$XJ 6ZHGHQ*RYWRI0D\ SGD Supranationals, Governments and Local Public Authorities, Debt Instruments 1,500,000 6LQJDSRUH*RYWRI6HS 0.08 1,110,126 0.08 THB Supranationals, Governments and Local Public Authorities, Debt Instruments 133,000,000 7KDLODQG*RYW2I-XQ 3,324,590 0.25 3,324,590 0.25 1,144,103 3,535,212 2,825,525 2,052,527 3,427,530 1,335,329 0.12 0.05 0.13 0.07 0.32 0.09 0.27 0.21 0.11 0.15 0.12 0.10 0.15 550,923 885,429 530,427 1,375,318 2,210,435 752,809 448,348 1,303,330 499,391 2,341,498 2,347,898 977,927 0.13 0.12 0.04 0.07 0.03 0.04 0.10 0.02 0.17 0.03 0.10 0.02 0.04 0.20 0.08 0.18 0.34 0.18 0.07 59,723,696 4.49 USD Supranationals, Governments and Local Public Authorities, Debt Instruments 2,000,000 750,000 1,500,000 1,100,000 5,250,000 1,500,000 4,200,000 1,700,000 1,700,000 4,500,000 1,800,000 1,850,000 1,500,000 2,500,000 2,250,000 2,000,000 700,000 1,000,000 500,000 2,100,000 1,250,000 250,000 2,500,000 775,000 500,000 250,000 500,000 2,500,000 1,000,000 2,000,000 3,700,000 2,000,000 1,100,000 $VLDQ'HYHORSPHQW%DQN0D\ %UD]LO*RYWRI-DQ %UD]LO*RYWRI-DQ &RORPELD*RYWRI-XO (XURSHDQ,QYHVWPHQW%DQN$SU )DQQLH0DH0D\ )DQQLH0DH2FW )DQQLH0DH2FW )DQQLH0DH0D\ )DQQLH0DH0D\ )UHGGLH0DF$SU )UHGGLH0DF-XQ )UHGGLH0DF0DU ,QWHU$PHULFDQ'HYHORSPHQW%DQN)HE ,QWHUQDWLRQDO%DQNIRU5HFRQVWUXFWLRQ'HYHORSPHQW 0D\ ,WDO\*RYWRI-DQ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX6HS .UHGLWDQVWDOWIXHU:LHGHUDXIEDX0DU .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-DQ .UHGLWDQVWDOWIXHU:LHGHUDXIEDX-XQ 0H[LFR*RYWRI-DQ 0H[LFR*RYWRI-DQ 3HUX*RYWRI-XO 4DWDU*RYWRI-DQ 4XHEHF3URYLQFHRI1RY 5XVVLD*RYWRI0DU 5XVVLDQ)RUHLJQ%RQG(XURERQG$SU 6RFLHWHGH)LQDQFHPHQWGHO¶(FRQRPLH)UDQFDLVH6HS 7HQQHVVHH9DOOH\$XWKRULW\-XO 7HQQHVVHH9DOOH\$XWKRULW\6HS 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%0D\ 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%$XJ :HVWSDF%DQNLQJ&RUS1RY 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 159 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 2,179,073 0.12 3,805,208 0.28 747,024,123 56.26 ZAR Supranationals, Governments and Local Public Authorities, Debt Instruments 22,200,000 14,200,000 6RXWK$IULFD*RYWRI'HF 6RXWK$IULFD*RYWRI'HF Total Supranationals, Governments and Local Public Authorities, Debt Instruments AUD Bonds 2,000,000 &RPPRQZHDOWK%DQNRI$XVWUDOLD)HE 0.12 1,604,216 0.12 0.21 2,650,149 0.21 1,044,400 100,588 251,784 173,492 102,058 534,873 524,555 98,927 508,318 974,910 52,333 519,400 302,270 444,118 211,820 739,533 274,924 578,418 101,019 404,984 54,582 327,771 352,814 0.04 0.08 0.04 0.01 0.02 0.02 0.01 0.02 0.01 0.04 0.04 0.04 0.01 0.04 0.14 0.07 0.00 0.04 0.04 0.02 0.03 0.02 0.10 0.03 0.04 0.02 0.03 0.03 0.04 0.01 0.03 0.00 0.05 0.02 0.01 0.01 0.03 CHF Bonds 3,000,000 *HQHUDO(OHFWULF&DSLWDO&RUS'HF EUR Bonds 500,000 750,000 1,000,000 500,000 100,000 250,000 200,000 150,000 200,000 100,000 500,000 500,000 500,000 100,000 500,000 1,520,000 1,000,000 50,000 500,000 500,000 300,000 400,000 200,000 1,250,000 400,000 500,000 700,000 250,000 400,000 400,000 500,000 100,000 400,000 50,000 300,000 150,000 100,000 300,000 $EHUWLV,QIUDHVWUXFWXUDV6$2FW $%1$PUR%DQN192FW $%1$PUR%DQN190D\ $GHFFR,QWHUQDWLRQDO)LQDQFLDO6HUYLFHV%9$SU $N]R1REHO6ZHGHQ)LQDQFH$%-XO $OOLDQ])LQDQFH,,%9)51'HF $PHULFD0RYLO6$%GH&92FW $QKHXVHU%XVFK,Q%HY19-XQ $QKHXVHU%XVFK,Q%HY19-DQ $UHYD6$0DU $VVLFXUD]LRQL*HQHUDOL6S$6HS $XVWUDOLD1HZ=HDODQG%DQNLQJ*URXS/LPLWHG0DU $;$6$)51$SU $;$6$)51-XO %DQFR3RSRODUH6S$2FW %DQN1HGHUODQGVH*HPHHQWHQ0DU %DQNRI$PHULFD&RUS)510D\ %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO2FW %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO)HE %DQTXH36$)LQDQFH-DQ %DUFOD\V%DQNSOF0DU %$6))LQDQFH(XURSH19-XQ %D\HU$*)51-XO %D\HULVFKH/DQGHVEDQN2FW %%9$6HQLRU)LQDQFH6$8$XJ %HUWHOVPDQQ$*6HS %+3%LOOLWRQ)LQDQFH/LPLWHG0D\ %0:)LQDQFH19-DQ %0:86&DSLWDO//&0D\ %133DULEDV)HE %UDPEOHV)LQDQFHSOF$SU &DLVVH&HQWUDOHGX&UHGLW,PPRELOLHUGH)UDQFH-DQ &DUJLOO,QF$SU &DUOVEHUJ%UHZHULHV$62FW &DUUHIRXU6$2FW &DVLQR*XLFKDUG3HUUDFKRQ6$0DU &DVLQR*XLFKDUG3HUUDFKRQ6$-DQ &(=$60D\ &LWLJURXS,QF$XJ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 350,000 350,000 300,000 500,000 300,000 250,000 750,000 50,000 350,000 300,000 500,000 750,000 250,000 350,000 300,000 1,300,000 500,000 350,000 250,000 400,000 1,000,000 500,000 400,000 500,000 350,000 500,000 800,000 400,000 100,000 350,000 400,000 250,000 500,000 300,000 500,000 250,000 400,000 100,000 500,000 1,000,000 500,000 100,000 800,000 500,000 400,000 1,000,000 200,000 250,000 300,000 1,000,000 100,000 500,000 500,000 500,000 Description Market value % NAV 551,850 411,422 572,593 839,227 57,217 393,731 354,323 512,233 317,729 398,255 353,933 514,488 454,732 253,779 583,152 424,472 132,283 421,540 322,139 517,508 328,842 579,815 404,730 105,308 538,950 1,045,515 545,913 114,431 932,484 1,014,750 324,182 1,095,199 107,704 559,293 518,858 575,037 0.04 0.03 0.05 0.03 0.02 0.04 0.02 0.02 0.00 0.03 0.03 0.04 0.02 0.03 0.03 0.12 0.04 0.03 0.02 0.03 0.08 0.05 0.03 0.04 0.04 0.04 0.03 0.01 0.03 0.03 0.02 0.04 0.02 0.04 0.02 0.03 0.01 0.04 0.08 0.04 0.01 0.07 0.04 0.03 0.08 0.02 0.02 0.02 0.08 0.01 0.04 0.04 0.04 &LWLJURXS,QF)51)HE &RPPHU]EDQN$*0DU &RPSDJQLHGH6DLQW*REDLQ-XO &RPSDJQLH)LQDQFLHUH,QGXVWULHOOHGHV$XWRURXWHV2FW &UHGLW$JULFROH-XO &UHGLW$JULFROH-XQ &UHGLW6XLVVH$XJ 'DD)LQDQFHSOF-XO 'DLPOHU$*-DQ 'DQRQH1RY 'HXWVFKH%DKQ)LQDQFH%92FW 'HXWVFKH%DQN$*$XJ 'H[LD&UHGLW/RFDO-XO 'Q%1RU%DQN$6$-XQ 'RQJ(QHUJ\0D\ (21,QWHUQDWLRQDO)LQDQFH%9-DQ (')6$6HS (')6$-DQ (/0%9IRU6ZLVV5HLQVXUDQFH&RPSDQ\)510D\ (Q%:,QWHUQDWLRQDO)LQDQFH%91RY (QHO6S$-XQ (1,6S$-DQ (UVWH$EZLFNOXQJVDQVWDOW0DU (:($*-XO 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+-+HLQ]&RPSDQ\6HS +RPH'HSRW,QF'HF +RQJNRQJ(OHFWULF)LQDQFH/LPLWHG'HF +6%&)LQDQFH&DSLWDO7UXVW,;)511RY +6%&+ROGLQJVSOF$SU +6%&+ROGLQJVSOF-XQ ,QWHUQDWLRQDO%XVLQHVV0DFKLQHV&RUS1RY -RKQ'HHUH&DSLWDO&RUS$SU 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 300,000 800,000 500,000 300,000 1,000,000 500,000 500,000 150,000 850,000 500,000 500,000 100,000 200,000 250,000 400,000 500,000 750,000 250,000 750,000 250,000 400,000 250,000 750,000 500,000 750,000 500,000 500,000 300,000 1,000,000 1,000,000 200,000 200,000 200,000 350,000 2,250,000 400,000 200,000 400,000 500,000 300,000 200,000 200,000 300,000 200,000 500,000 400,000 200,000 500,000 500,000 250,000 1,100,000 250,000 Description Market value % NAV 311,132 384,457 282,152 442,005 407,579 779,342 424,713 108,405 183,585 195,812 488,111 587,377 451,210 377,598 189,392 508,389 152,437 335,018 1,954,082 502,389 191,308 577,743 489,958 412,403 174,051 228,043 879,908 220,754 0.02 0.05 0.03 0.02 0.07 0.03 0.03 0.01 0.07 0.03 0.03 0.01 0.01 0.02 0.04 0.03 0.04 0.04 0.05 0.01 0.04 0.02 0.03 0.02 0.05 0.03 0.05 0.03 0.03 0.02 0.07 0.01 0.02 0.04 0.01 0.03 0.14 0.02 0.02 0.02 0.03 0.02 0.04 0.01 0.01 0.02 0.04 0.01 0.04 0.03 0.01 0.03 0.04 0.02 0.07 0.02 -RKQVRQ-RKQVRQ-XO -30RUJDQ&KDVH&RPSDQ\-DQ -30RUJDQ&KDVH&RPSDQ\0D\ -30RUJDQ&KDVH&RPSDQ\-XO -30RUJDQ&KDVH&RPSDQ\-XQ .H\FRUS0DU .LQGHU0RUJDQ(QHUJ\3DUWQHUV/31RY .LQGHU0RUJDQ(QHUJ\3DUWQHUV/3-DQ .URJHU&RPSDQ\$XJ 0DUDWKRQ2LO&RUS2FW 0F'RQDOG¶V&RUS0D\ 0HUFN&R,QF6HS 0HW/LIH,QF-XQ 0LWVXELVKL&RUS6HS 0RQGHOH],QWHUQDWLRQDO,QF)HE 0RQGHOH],QWHUQDWLRQDO,QF)HE 0RQGHOH],QWHUQDWLRQDO,QF1RY 0RUJDQ6WDQOH\2FW 1DWLRQZLGH%XLOGLQJ6RFLHW\)HE 1HVWOH+ROGLQJV,QF-XQ 1HZPRQW0LQLQJ&RUS0DU 1HZV$PHULFD,QF'HF 1H[WHUD(QHUJ\&DSLWDO-XQ 1H[WHUD(QHUJ\&DSLWDO'HF 1LVRXUFH)LQDQFH&RUS-DQ 1RPXUD+ROGLQJV,QF0DU 1RUGHD%DQN$%-DQ 1RUIRON6RXWKHUQ&RUS$SU 1RYDUWLV&DSLWDO&RUS6HS 1RYDUWLV&DSLWDO&RUS$SU 2QHRN3DUWQHUV/32FW 2UDFOH&RUS-XO 2UDFOH&RUS-XO 3DFL¿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¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Market value % NAV 474,122 239,778 380,552 90,274 708,370 233,909 807,274 221,400 313,902 131,305 284,494 574,412 320,517 474,928 394,994 419,435 310,504 472,313 451,701 227,511 759,322 911,704 393,974 319,759 0.04 0.02 0.02 0.04 0.04 0.03 0.03 0.01 0.05 0.02 0.02 0.02 0.01 0.02 0.04 0.02 0.04 0.03 0.03 0.03 0.02 0.05 0.02 0.03 0.04 0.03 0.04 0.01 0.04 0.04 0.02 0.07 0.03 0.05 0.02 0.02 0.03 0.05 0.03 0.03 0.02 83,582,595 6.33 Total Bonds 190,076,195 14.35 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 937,100,318 70.61 250,000 300,000 500,000 500,000 100,000 750,000 300,000 850,000 200,000 300,000 150,000 250,000 750,000 400,000 500,000 500,000 500,000 500,000 400,000 400,000 500,000 500,000 500,000 150,000 500,000 500,000 250,000 1,000,000 1,000,000 500,000 750,000 300,000 300,000 500,000 800,000 500,000 400,000 1,000,000 Description 6WDWRLO$6$2FW 6XQFRU(QHUJ\,QF-XQ 7DUJHW&RUS-DQ 7DUJHW&RUS-XO 7HOHFRP,WDOLD&DSLWDO6$-XQ 7HOHIRQLFD(PLVLRQHV6$8)HE 7HOHIRQLFD(PLVLRQHV6$8)HE 7HOHIRQLFD(XURSH%96HS 7KRPVRQ5HXWHUV&RUS-XO 7LPH:DUQHU&DEOH,QF-XO 7LPH:DUQHU&DEOH,QF-XO 7LPH:DUQHU(QWHUWDLQPHQW&RPSDQ\/3-XO 7LPH:DUQHU,QF$SU 7RWDO&DSLWDO6$'HF 7UDQV&DQDGD3LSH/LQHV/LPLWHG-DQ 7UDYHOHUV3URSHUW\&DVXDOW\&RUS0DU 8%6$*-DQ 8QLRQ3DFL¿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ransferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities AUD Supranationals, Governments and Local Public Authorities, Debt Instruments 450,000 800,000 1HZ6RXWK:DOHV7UHDVXU\&RUS0DU 1HZ6RXWK:DOHV7UHDVXU\&RUS$SU 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 0.03 0.05 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 1,500,000 1,100,000 750,000 Description Market value % NAV 1,350,034 993,992 705,782 0.10 0.07 0.05 4,152,414 0.30 218,739 373,143 404,977 3,244,703 1,449,213 1,124,230 1,229,357 138,738 845,822 508,450 1,203,732 0.01 0.02 0.03 0.03 0.07 0.24 0.13 0.23 0.11 0.08 0.01 0.05 0.09 0.02 0.05 0.07 0.01 0.02 0.15 0.24 0.04 0.05 0.04 0.04 0.09 27,945,169 2.10 0.19 2,509,631 0.19 0.07 933,614 0.07 525,212 2,513,885 3,553,913 4,112,220 858,849 877,025 0.02 0.04 0.19 0.05 0.27 0.31 0.17 0.24 0.07 0.07 1HZ6RXWK:DOHV7UHDVXU\&RUS0D\ 7UHDVXU\&RUSRI9LFWRULD-XQ :HVWHUQ$XVWUDOLD7UHDVXU\&RUS-XO CAD Supranationals, Governments and Local Public Authorities, Debt Instruments 250,000 400,000 400,000 1,100,000 3,800,000 1,700,000 3,500,000 1,280,000 950,000 250,000 750,000 1,200,000 250,000 800,000 1,000,000 150,000 300,000 2,150,000 3,500,000 750,000 500,000 1,000,000 750,000 880,000 500,000 500,000 1,500,000 %ULWLVK&ROXPELD3URYRI1RY %ULWLVK&ROXPELD3URYLQFHRI'HF %ULWLVK&ROXPELD3URYLQFHRI-XQ %ULWLVK&ROXPELD3URYLQFHRI-XQ &DQDGD*RYWRI-XQ &DQDGD*RYWRI-XQ &DQDGD*RYWRI-XQ &DQDGD*RYWRI-XQ &DQDGD*RYWRI-XQ &DQDGD*RYWRI-XQ )LQDQFHPHQW4XHEHF-XQ )LQDQFHPHQW4XHEHF'HF +\GUR4XHEHF$XJ 0DQLWRED3URYLQFHRI0DU 1HZ%UXQVZLFN3URYLQFHRI-XQ 1HZ%UXQVZLFN3URYLQFHRI-XQ 1HZ%UXQVZLFN3URYLQFHRI6HS 1RYD6FRWLD3URYLQFHRI-XQ 2QWDULR3URYLQFHRI-XQ 2QWDULR3URYLQFHRI-XQ 2QWDULR3URYLQFHRI-XQ 2QWDULR(OHFWULFLW\)LQDQFLDO&RUS)HE 4XHEHF3URYLQFHRI'HF 4XHEHF3URYLQFHRI'HF 4XHEHF3URYLQFHRI'HF 4XHEHF3URYLQFHRI2FW 4XHEHF3URYLQFHRI-XQ 4XHEHF&DQDGD3URYLQFHRI'HF MYR Supranationals, Governments and Local Public Authorities, Debt Instruments 10,000,000 0DOD\VLD*RYWRI6HS SGD Supranationals, Governments and Local Public Authorities, Debt Instruments 1,300,000 6LQJDSRUH*RYWRI6HS USD Supranationals, Governments and Local Public Authorities, Debt Instruments 300,000 500,000 3,300,000 750,000 3,900,000 5,000,000 3,000,000 1,100,000 4,000,000 1,000,000 1,200,000 $PHULFDQ0XQLFLSDO3RZHU2KLR,QF)HE %D\$UHD7ROO$XWKRULW\$SU )DQQLH0DH$XJ )HGHUDO)DUP&UHGLW%DQN-DQ )HGHUDO+RPH/RDQ%DQN6\VWHP1RY )HGHUDO+RPH/RDQ%DQN6\VWHP$XJ )HGHUDO+RPH/RDQ%DQNV-DQ )UHGGLH0DF$SU )UHGGLH0DF)HE )UHGGLH0DF0DU )UHGGLH0DF1RY 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 2,250,000 400,000 35,000,000 30,000,000 8,000,000 1,800,000 17,000,000 20,000,000 42,700,000 2,300,000 27,500,000 1,000,000 3,500,000 35,000,000 3,400,000 13,300,000 700,000 42,200,000 Description % NAV 23,048,178 1,415,743 13,322,553 34,438,544 24,209,031 854,729 29,253,912 3,345,094 13,093,102 38,000,084 0.13 0.03 2.01 1.73 0.35 0.47 0.11 1.00 1.17 2.59 0.13 1.82 0.23 2.20 0.25 0.99 0.05 261,612,755 19.67 297,153,583 22.33 422,181 435,385 0.02 0.05 0.02 0.02 0.03 0.03 2,374,070 0.17 ,OOLQRLV*RYWRI-XQ 0XQLFLSDO(OHFWULF$XWKRULW\RI*HRUJLD$SU 8QLWHG6WDWHV7UHDVXU\1%-XQ 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%-XQ 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%0D\ 8QLWHG6WDWHV7UHDVXU\1%0DU 8QLWHG6WDWHV7UHDVXU\1%$XJ 8QLWHG6WDWHV7UHDVXU\1%0D\ 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%$XJ 8QLWHG6WDWHV7UHDVXU\1%$XJ 8QLWHG6WDWHV7UHDVXU\1%1RY 8QLWHG6WDWHV7UHDVXU\1%0D\ 8QLWHG6WDWHV7UHDVXU\1%)HE 8QLWHG6WDWHV7UHDVXU\1%$XJ Total Supranationals, Governments and Local Public Authorities, Debt Instruments CAD Bonds 400,000 800,000 250,000 400,000 500,000 500,000 Market value %DQNRI1RYD6FRWLD)51$SU *(&DSLWDO&DQDGD)XQGLQJ&RPSDQ\-XQ +\GUR2QH,QF0D\ 5R\DO%DQNRI&DQDGD-XQ 6KDZ&RPPXQLFDWLRQV,QF1RY 7HOXV&RUS-XO EUR Bonds 100,000 6HFXULWDV$%)HE 0.01 103,684 0.01 GBP Bonds 100,000 9LUJLQ0HGLD6HFXUHG)LQDQFHSOF-DQ 138,599 0.01 138,599 0.01 411,840 195,141 938,432 472,243 318,271 0.04 0.01 0.03 0.03 0.04 0.01 0.08 0.02 0.02 0.02 0.04 0.04 0.07 0.05 0.02 USD Bonds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¿QDQFLDOVWDWHPHQWV FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 750,000 200,000 800,000 250,000 300,000 900,000 750,000 200,000 500,000 500,000 250,000 2,000,000 500,000 500,000 750,000 500,000 400,000 200,000 400,000 500,000 100,000 500,000 550,000 250,000 500,000 550,000 500,000 500,000 150,000 750,000 4,000,000 300,000 500,000 100,000 400,000 750,000 1,000,000 400,000 400,000 450,000 250,000 200,000 1,100,000 500,000 400,000 250,000 1,000,000 200,000 300,000 500,000 400,000 750,000 1,750,000 500,000 250,000 Description Market value % NAV 199,577 237,512 770,915 199,538 2,039,934 432,483 193,309 341,371 79,549 402,518 439,545 191,740 470,823 381,051 3,130,522 90,945 377,207 712,827 330,074 334,320 453,770 197,010 850,507 425,303 443,723 201,854 0.04 0.01 0.05 0.02 0.02 0.04 0.01 0.03 0.03 0.02 0.03 0.04 0.05 0.03 0.03 0.01 0.03 0.03 0.01 0.03 0.03 0.01 0.04 0.03 0.03 0.03 0.01 0.05 0.24 0.02 0.03 0.01 0.03 0.05 0.04 0.02 0.03 0.03 0.02 0.04 0.01 0.07 0.03 0.03 0.01 0.01 0.02 0.03 0.03 0.05 0.12 0.03 0.02 %DUFOD\V%DQNSOF-DQ %DUFOD\V%DQNSOF0D\ %HUNVKLUH+DWKDZD\,QF-DQ %HUNVKLUH+DWKDZD\,QF)HE %133DULEDV0DU %133DULEDV-DQ &DQDGLDQ1DWXUDO5HVRXUFHV/LPLWHG)HE &DSLWDO2QH)LQDQFH&RUS0D\ &%6&RUS$SU &HOOFR3DUWQHUVKLS,QF)HE &HQWXU\OLQN,QF0DU &LWLJURXS,QF0D\ &RPFDVW&RUS0D\ &RPFDVW&RUS$XJ &RPPRQZHDOWK(GLVRQ&RPSDQ\$XJ &UHGLW6XLVVH$XJ &UHGLW6XLVVH$XJ &96&DUHPDUN&RUS6HS 'DQDKHU&RUS-XQ 'HOO,QF6HS 'LUHF79+ROGLQJV//&)HE 'LUHF79+ROGLQJV//&0DU 'LUHF79+ROGLQJV//&0DU 'LUHF79+ROGLQJV//&0DU 'LVFRYHU\&RPPXQLFDWLRQV,QF-XQ (%D\,QF-XO (QWHUSULVH3URGXFWV2SHUDWLQJ//&-XQ (QWHUSULVH3URGXFWV2SHUDWLQJ//&)HE (QWHUSULVH3URGXFWV2SHUDWLQJ//&6HS ([SUHVV6FULSWV+ROGLQJ&R1RY )HGHUDO)DUP&UHGLW%DQN1RY )LUVW(QHUJ\6ROXWLRQV&RUS)HE )RUG0RWRU&UHGLW&RPSDQ\//&-XQ *HRUJLD3RZHU&RPSDQ\-XQ *LOHDG6FLHQFHV,QF'HF *7(&RUS$SU +HZOHWW3DFNDUG&RPSDQ\6HS +\XQGDL&DSLWDO$PHULFD33$-XQ ,OOLQRLV7RRO:RUNV,QF6HS ,QWHO&RUS2FW ,QWHUQDWLRQDO%XVLQHVV0DFKLQHV&RUS6HS ,QWHUQDWLRQDO3DSHU&RPSDQ\$XJ ,WDX8QLEDQFR+ROGLQJ6$0D\ -RKQVRQ&RQWUROV,QF0DU -30RUJDQ&KDVH&RPSDQ\-XO /LQFROQ1DWLRQDO&RUS)HE /RZH¶V&RPSDQLHV,QF$SU /RZH¶V&RV,QF$SU 0HUFN&RPSDQ\,QF-DQ 0HUULOO/\QFK&RPSDQ\,QF0D\ 0HW/LIH,QF)HE 0LFURVRIW&RUS2FW 0LGDPHULFDQ(QHUJ\+ROGLQJV&RPSDQ\6HS 0RUJDQ6WDQOH\-XO 0RUJDQ6WDQOH\$SU 1DWLRQDO5XUDO8WLOLWLHV&RRSHUDWLYH)LQDQFH&RUS$SU 1%&8QLYHUVDO0HGLD//&$SU 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 170 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 1,000,000 500,000 500,000 200,000 200,000 1,000,000 150,000 500,000 500,000 500,000 100,000 250,000 500,000 700,000 500,000 1,100,000 700,000 200,000 500,000 200,000 250,000 250,000 750,000 200,000 1,000,000 500,000 1,000,000 1,000,000 250,000 750,000 850,000 500,000 1,000,000 1,000,000 300,000 250,000 500,000 900,000 1,000,000 Description Market value % NAV 474,310 831,394 150,952 384,720 82,973 212,083 719,488 448,083 905,535 529,913 228,703 254,710 445,733 820,252 277,123 720,082 842,802 0.04 0.04 0.01 0.01 0.01 0.03 0.04 0.03 0.01 0.02 0.03 0.05 0.03 0.07 0.04 0.04 0.01 0.04 0.01 0.02 0.01 0.05 0.01 0.03 0.02 0.05 0.05 0.04 0.02 0.02 0.03 0.05 0.05 1%&8QLYHUVDO0HGLD//&$SU 1HZV$PHULFD,QF'HF 1RUWKHUQ6WDWHV3RZHU&RPSDQ\1RY 2JOHWKRUSH3RZHU&RUS6HS 2QFRU(OHFWULF'HOLYHU\&RPSDQ\//&6HS 3DFL¿F*DV(OHFWULF&RPSDQ\2FW 3DFL¿FRUS-DQ 3HWUROHRV0H[LFDQRV-DQ 3¿]HU,QF0DU 3ULQFLSDO)LQDQFLDO*URXS,QF6HS 3UR/RJLV,QF$XJ 3UXGHQWLDO)LQDQFLDO,QF1RY 36(*3RZHU//&6HS 5DEREDQN1933$)51'HF 5HSXEOLF6HUYLFHV,QF1RY 5R\DO%DQNRI6FRWODQGSOF0DU 6DQWDQGHU+ROGLQJV,QF$SU 6KHOO,QWHUQDWLRQDO)LQDQFH%90DU 6RXWKHUQ&RPSDQ\6HS 6RXWKHUQ(OHFWULF0DU 6WDWRLO$6$1RY 6WDWRLO$6$$XJ 6WU\NHU&RUS6HS 7HFN5HVRXUFHV/LPLWHG-DQ 7HOHFRP,WDOLD&DSLWDO6$-XQ 7KHUPR)LVKHU6FLHQWL¿F,QF0DU 7LPH:DUQHU,QF6HS 7LPH:DUQHU,QF-DQ 7RWDO&DSLWDO6$0DU 7UDYHOHUV&RPSDQLHV,QF-XQ 8%6$*2FW 8QLOHYHU&DSLWDO&RUS)HE 8QLWHG7HFKQRORJLHV&RUS$SU 9LDFRP,QF6HS 9LUJLQLD(OHFWULF3RZHU&RPSDQ\6HS 9RGDIRQH*URXSSOF-XQ :DFKRYLD%DQN-DQ :HOO3RLQW,QF-DQ :HOOV)DUJR&RPSDQ\2FW ;VWUDWD&DQDGD&RUS2FW 54,645,745 4.10 57,262,098 4.29 354,415,681 26.62 412,355 0.04 0.03 1,006,992 0.07 821,243 Total Bonds Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities Other transferable securities and money market instruments AUD Bonds 750,000 500,000 1DWLRQDO$XVWUDOLD%DQN/LPLWHG$SU 5DEREDQN19-XO CAD Bonds 1,000,000 1,000,000 %DQNRI0RQWUHDO$XJ %DQNRI1RYD6FRWLD-XQ 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 171 FDC SICAV Obligations Monde - Indexé Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 750,000 800,000 407,438 250,000 500,000 1,500,000 400,000 Description Market value % NAV 589,391 217,159 424,044 305,903 0.04 0.05 0.03 0.02 0.03 0.09 0.02 5,350,255 0.40 474,559 382,733 442,493 119,794 802,291 400,857 391,255 303,538 400,032 154,201 588,517 227,800 270,897 575,192 423,343 283,250 80,887 857,942 879,240 198,745 259,138 0.03 0.04 0.03 0.03 0.02 0.01 0.03 0.03 0.03 0.01 0.05 0.03 0.01 0.02 0.03 0.01 0.04 0.03 0.05 0.02 0.02 0.04 0.03 0.02 0.04 0.05 0.01 0.01 0.02 0.05 0.01 %HOO&DQDGD-XQ &DQDGLDQ,PSHULDO%DQNRI&RPPHUFH-XO *UHDWHU7RURQWR$LUSRUWV$XWKRULW\-XO +\GUR2QH,QF2FW 5RJHUV&RPPXQLFDWLRQV,QF0D\ 5R\DO%DQNRI&DQDGD-XO 7RURQWR'RPLQLRQ%DQN)HE USD Bonds 500,000 500,000 500,000 300,000 150,000 1,000,000 350,000 500,000 500,000 200,000 750,000 400,000 200,000 400,000 450,000 200,000 700,000 500,000 850,000 300,000 250,000 750,000 500,000 300,000 500,000 750,000 100,000 1,000,000 1,000,000 250,000 250,000 750,000 100,000 $EEH\1DWLRQDO7UHDVXU\6HUYLFHVSOF-XQ %DQNRI7RN\R0LWVXELVKL8)-/LPLWHG)HE %3&(6$2FW &RPPRQZHDOWK%DQNRI$XVWUDOLD2FW &2;&RPPXQLFDWLRQV,QF33$'HF 'DLPOHU)LQDQFH33$0DU 'HXWVFKH7HOHNRP,QWHUQDWLRQDO)LQDQFH%9$SU (21,QWHUQDWLRQDO)LQDQFH%9$SU (QHO)LQDQFH,QWHUQDWLRQDO6$2FW (UDF)LQDQFH//&33$2FW +ROFLP86)LQDQFH6DUO&RPSDJQLH6&6'HF +XWFKLVRQ:KDPSRD,QWHUQDWLRQDO/LPLWHG)51'HF +XWFKLVRQ:KDPSRD,QWHUQDWLRQDO/LPLWHG$SU ,EHUGUROD)LQDQ]DV6$86HS ,1*%DQN19-DQ /OR\GV76%%DQNSOF-DQ /90+0RHW+HQQHVV\/RXLV9XLWWRQ6$-XQ 0DFTXDULH*URXS/LPLWHG-DQ 0HWURSROLWDQ/LIH*OREDO)XQGLQJ,-XQ 0HWURSROLWDQ/LIH*OREDO)XQGLQJ,33$-XQ 1DWLRQDO&DS7UXVW)51'HF 1DWLRQZLGH0XWXDO,QVXUDQFH&RPSDQ\$XJ 1HZ<RUN/LIH*OREDO)XQGLQJ33$'HF 3DFL¿F/LIHFRUS)HE 5RFKH+ROGLQJV,QF0DU 5RFKH+ROGLQJV,QF33$0DU 6DEPLOOHU+ROGLQJV,QF33$-DQ 6FKOXPEHUJHU,QYHVWPHQW6$6HS 6FKOXPEHUJHU1RUJH$6-DQ 6LHPHQV)LQDQFLHULQJVPDDWVFKDSSLM192FW 6ZLVV5H&DSLWDO,/3)510D\ 7HDFKHUV,QVXUDQFH$QQXLW\$VVRFLDWLRQRI$PHULFD33$ 'HF :&,)LQDQFH//&33$2FW :RRGVLGH)LQDQFH/LPLWHG0D\ Total Bonds Total Other transferable securities and money market instruments Total Investment in securities 20,311,991 1.50 98.73 16,936,373 1.27 1,328,764,363 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 172 1.03 1.50 1,311,827,990 Other Net Assets Total Net Assets 13,954,744 20,311,991 FDC SICAV Obligations Monde - Indexé ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Governments Government guaranteed bonds %DQNV 6XSUDQDWLRQDOEDQNV Electrical utilities Financial services Telecommunication services Insurance Oil and gas producers Broadcasting, radio and television 3KDUPDFHXWLFDOV Oil and gas services Transportation 0LQLQJQRQSUHFLRXV Food services Beverages Municipal 'LYHUVL¿HGFRPSDQLHV Water utilities Retail Engineering and construction Tobacco Chemicals Auto manufacturers Healthcare services Real estate Software Environment control and services Computers and peripherals Media Building materials Commercial services Aerospace and defence Agriculture %LRWHFKQRORJ\ Electrical equipment %XVLQHVVDQGRI¿FHHTXLSPHQW Cosmetics and personal care Electronic equipment IT Consulting and services 0DFKLQHU\ Telecommunication equipment 0LVFHOODQHRXVPDFKLQHU\ (PSOR\PHQWVHUYLFHV Household products Iron and steel Medical 3LSHOLQHV 3UHFLRXVPHWDOV 2.03 1.47 1.43 0.98 0.97 0.71 0.53 0.44 0.42 0.39 0.32 0.31 0.30 0.23 0.19 0.19 0.18 0.17 0.14 0.11 0.10 0.09 0.09 0.08 0.08 0.07 0.07 0.07 0.07 0.05 0.05 0.05 0.04 0.04 0.04 0.04 0.04 0.04 173 FDC SICAV Obligations Monde - Indexé ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHUFRQWLQXHG % NAV Sector 3XEOLVKLQJDQGSULQWLQJ Internet software and services Semiconductors Automobile parts and equipment Distribution and wholesale Forest products and paper Investment companies Real estate investment trust (QHUJ\DOWHUQDWHVRXUFHV Healthcare supplies and equipment Metal fabrication 0.04 0.03 0.03 0.02 0.02 0.02 0.02 0.02 0.01 0.01 0.01 Total Investment in Securities 98.73 Other Net Assets 1.27 Total Net Assets 100.00 174 FDC SICAV Monétaire EUR - Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 15,000,000 6%$%%DQN$%)51)HE Total Supranationals, Governments and Local Public Authorities, Debt Instruments EUR Bonds 5,588,000 10,000,000 9,000,000 15,000,000 1,300,000 15,000,000 10,000,000 4,000,000 25,000,000 5,000,000 8,000,000 2,500,000 15,000,000 20,400,000 9,900,000 4,500,000 7,000,000 8,000,000 5,000,000 9,000,000 10,000,000 10,175,000 20,000,000 5,000,000 15,000,000 20,000,000 9,000,000 1,000,000 5,000,000 10,000,000 15,000,000 3,297,000 9,000,000 10,000,000 %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO)51-XO %DUFOD\V%DQNSOF)51$XJ %DUFOD\V%DQNSOF)51)HE %DUFOD\V%DQNSOF)51-DQ %HDU6WHDUQV&RPSDQLHV,QF)516HS %0:)LQDQFH19$SU %133DULEDV)51'HF %133DULEDV)516HS %3&(6$)51'HF &RRSHUDWLHYH&HQWUDOH5DLIIHLVHQ%RHUHQOHHQEDQN%$)512FW &UHGLW$JULFROH)510DU &UHGLW$JULFROH/RQGRQ)51-DQ &UHGLW0XWXHO$UNHD)51'HF &UHGLW6XLVVH)51-DQ &UHGLW6XLVVH)51-XQ 'HXWVFKH%DQN$*)51)HE )UDQFH7HOHFRP6$-DQ *(&DSLWDO(XURSHDQ)XQGLQJ)51$SU *(&DSLWDO(XURSHDQ)XQGLQJ)51-XO +6%&)51'HF +6%&%DQNSOF)51$SU ,1*%DQN19)510DU ,1*%DQN19)51)HE 1DWLRQDO$XVWUDOLD%DQN/LPLWHG)512FW 1RUGHD%DQN$%)51)HE 1RUGHD%DQN$%)51-DQ 3RKMROD%DQNSOF)51)HE 5DEREDQN19)51-DQ 6%$%%DQN$%)51-DQ 6NDQGLQDYLVND(QVNLOGD%DQNHQ$%)512FW 6RFLHWH*HQHUDOH6$)516HS 6YHQVND+DQGHOVEDQNHQ$%)51-DQ 8%6$*)51-XQ 8%6$*)510D\ 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH19)51)HE :DFKRYLD&RUS)51)HE :HVWSDF%DQNLQJ&RUS)512FW 1.28 15,007,650 1.28 15,007,650 1.28 5,590,235 10,007,300 9,133,335 15,012,750 1,309,555 15,003,150 10,017,000 4,002,300 25,010,500 5,003,400 2,503,138 15,000,975 9,197,327 20,410,710 4,497,525 5,007,025 9,008,253 10,009,300 20,011,100 5,048,375 20,002,500 5,024,200 10,001,550 15,027,450 3,312,578 9,007,335 10,001,450 0.48 0.51 0.78 1.28 0.11 1.29 0.34 2.14 0.43 0.21 1.28 0.79 1.75 0.85 0.38 0.43 0.77 0.87 1.71 0.43 1.28 1.71 0.78 0.09 0.43 1.29 0.28 0.77 0.48 353,071,238 30.21 Total Bonds 353,071,238 30.21 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 368,078,888 31.49 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 175 FDC SICAV Monétaire EUR - Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities EUR Commercial Papers and Other Short-term Instruments 40,000,000 10,000,000 12,000,000 15,000,000 10,000,000 5,000,000 15,000,000 27,000,000 15,000,000 15,000,000 25,000,000 10,000,000 14,000,000 25,000,000 25,000,000 15,000,000 17,200,000 12,000,000 20,000,000 10,000,000 9,000,000 14,000,000 8,000,000 15,000,000 20,000,000 10,000,000 20,000,000 5,000,000 5,000,000 20,000,000 12,000,000 22,000,000 10,000,000 10,000,000 10,000,000 10,000,000 25,000,000 20,000,000 12,000,000 18,000,000 17,000,000 10,000,000 40,000,000 $EEH\1DWLRQDO7UHDVXU\6HUYLFHVSOF0DU $OOLDQ]6(-DQ %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO$SU %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO6HS %DUFOD\V%DQNSOF$SU %0:)LQDQFH19-DQ %0:)LQDQFH19)HE %133DULEDV0DU %3&(6$$SU %3&(6$$XJ &UHGLW$JULFROH&RUSRUDWH,QYHVWPHQW%DQN6$-DQ &UHGLW6XLVVH$*'HF 'DQRQH)HE 'DQRQH)LQDQFH6$-DQ 'HXWVFKH%DQN$*$XJ 'Q%1RU%DQN$6$-DQ '=%DQN$*-DQ '=%DQN$*0DU (OHFWULFLWHGH)UDQFH6$-DQ )06:HUWPDQDJHPHQW-DQ *')6XH]0DU *')6XH])51-DQ *URXSH$XFKDQ6$)51-DQ +6%&)UDQFH6$)HE ,1*%DQN19-XQ .%&,QWHUQDWLRQDOH)LQDQFLHULQJVPDDWVFKDSSLM190DU .RQLQNOLMNH'60190DU /D%DQTXH3RVWDOH6$)HE /%3)HE /LQGH)LQDQFH%9-DQ /90+)LQDQFH%HOJLTXH6$-DQ /90+)LQDQFH%HOJLTXH6$-DQ /90+)LQDQFH%HOJLTXH6$0DU 2VHR)LQDQFHPHQW)51-DQ 2VHR)LQDQFHPHQW)51-DQ 6NDQGLQDYLVND(QVNLOGD%DQNHQ$%$XJ 6RFLHWH*HQHUDOH6$-DQ 6RFLHWH*HQHUDOH6$2FW 6RFLHWH*HQHUDOH6$'HF 6WDQGDUG&KDUWHUHG%DQNSOF0DU 6WDQGDUG&KDUWHUHG%DQNSOF6HS 6YHQVND+DQGHOVEDQNHQ$%0DU 6ZHGEDQN$%)HE 7HQQHW+ROGLQJ%9-DQ 8%6$*)HE 8QHGLF-DQ 8QHGLF)HE 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 39,993,778 14,947,784 4,999,533 14,998,275 14,951,594 14,928,752 24,999,028 5,999,720 24,995,233 24,995,199 17,199,389 11,999,837 20,000,000 10,000,000 8,999,115 14,997,113 19,997,084 9,998,700 19,998,959 5,999,837 4,999,835 4,999,458 20,000,000 12,000,000 21,924,302 9,995,072 19,994,479 11,997,553 17,999,440 39,993,159 3.43 1.03 1.28 0.85 0.43 1.28 2.30 1.28 1.28 2.14 0.85 0.51 0.52 1.19 2.14 2.14 1.28 1.47 1.03 1.44 1.71 0.77 1.19 1.28 1.71 1.71 0.51 0.43 0.43 1.71 1.03 1.88 0.85 0.85 2.13 1.71 1.03 1.54 1.45 3.41 FDC SICAV Monétaire EUR - Actif 1 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value 20,000,000 10,000,000 10,000,000 8,000,000 Description Market value % NAV 19,999,200 10,000,000 9,985,023 7,993,887 1.71 0.85 8QLEDLO5RGDPFR6(-DQ 8QLEDLO5RGDPFR6(-DQ 9RGDIRQH*URXSSOF$SU 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH19$SU 761,248,243 65.14 Total Commercial Papers and Other Short-term Instruments 761,248,243 65.14 Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities 761,248,243 65.14 1,129,327,131 96.63 39,340,053 3.37 1,168,667,184 100.00 Total Investment in securities Other Net Assets Total Net Assets 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 177 FDC SICAV Monétaire EUR - Actif 1 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV Commercial papers and other short term instruments %DQNV Financial services Distribution and wholesale Governments Auto manufacturers Telecommunication services 4.01 1.71 1.28 0.88 0.85 Total Investment in Securities 96.63 Other Net Assets 3.37 Total Net Assets 100.00 178 FDC SICAV Monétaire EUR – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012 H[SUHVVHGLQ(85 Quantity/ Nominal Value Description Market value % NAV 7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDOH[FKDQJHOLVWLQJ EUR Supranationals, Governments and Local Public Authorities, Debt Instruments 4,000,000 )UDQFH*RYWRI6HS Total Supranationals, Governments and Local Public Authorities, Debt Instruments 1.31 4,056,600 1.31 4,056,600 1.31 2,001,010 4,002,340 7,103,705 5,004,550 2,003,400 4,002,300 7,038,220 5,029,750 3,002,040 5,995,770 5,010,800 5,008,025 5,003,900 5,007,025 3,798,402 10,015,800 3,003,030 2,033,400 5,004,225 3,011,430 4,127,200 1,000,155 3,013,380 2,015,280 1.29 1.30 2.30 1.30 2.28 0.97 0.97 1.94 0.71 0.97 2.22 1.30 1.94 0.97 2.58 1.23 3.25 0.97 1.94 1.30 0.35 1.30 0.97 1.34 0.32 1.95 0.98 1.82 EUR Bonds 1,907,000 4,000,000 2,000,000 4,000,000 7,000,000 5,000,000 2,000,000 5,000,000 4,000,000 7,000,000 3,000,000 5,000,000 3,000,000 2,200,000 5,000,000 5,000,000 5,000,000 2,000,000 3,000,000 4,000,000 3,000,000 8,000,000 5,000,000 7,000,000 3,700,000 10,000,000 3,000,000 2,000,000 4,000,000 1,050,000 4,000,000 5,000,000 3,000,000 4,000,000 1,000,000 3,000,000 5,000,000 2,000,000 $QKHXVHU%XVFK,Q%HY19-DQ %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO)51)HE %DQTXH)HGHUDWLYHGX&UHGLW0XWXHO)51-DQ %DUFOD\V%DQNSOF)51-DQ %DUFOD\V%DQNSOF)51-DQ %133DULEDV)51'HF %133DULEDV)516HS %133DULEDV)510DU %3&(6$)51'HF %3&(6$)512FW &RRSHUDWLHYH&HQWUDOH5DLIIHLVHQ%RHUHQOHHQEDQN%$)51$XJ &RRSHUDWLHYH&HQWUDOH5DLIIHLVHQ%RHUHQOHHQEDQN%$)51-DQ &UHGLW$JULFROH)510DU &UHGLW$JULFROH/RQGRQ)51-DQ &UHGLW0XWXHO$UNHD)51'HF 'DLPOHU,QWHUQDWLRQDO)LQDQFH%9)51$SU 'HXWVFKH%DQN$*)51-DQ 'HXWVFKH%DQN$*)510DU 'HXWVFKH%DQN$*)512FW 'Q%1RU%DQN$6$)51-DQ (21,QWHUQDWLRQDO)LQDQFH%90D\ *D]GH)UDQFH6$)HE *(&DSLWDO(XURSHDQ)XQGLQJ)51$SU *(&DSLWDO(XURSHDQ)XQGLQJ)51-XO *ROGPDQ6DFKV*URXS,QF)51)HE +6%&%DQNSOF)51$SU +6%&)UDQFH6$)51'HF +XWFKLVRQ:KDPSRD)LQDQFH-XO ,1*%DQN19)511RY ,1*%DQN19)510DU -30RUJDQ&KDVH&RPSDQ\)51-DQ -30RUJDQ&KDVH&RPSDQ\0D\ /OR\GV76%%DQNSOF)51-DQ 1DWLRQDO*ULG*DVSOF0D\ 1RUGHD%DQN$%)51-XQ 5DEREDQN1HGHUODQG)51$SU 5R\DO%DQNRI6FRWODQGSOF)510D\ 6FRWWLVK6RXWKHUQ(QHUJ\-XO 6RFLHWH*HQHUDOH6$)51-DQ 6RFLHWH*HQHUDOH6$)516HS 6RFLHWH*HQHUDOH6$)51-XO 8%6$*)51-XQ 8%6$*)510D\ 9DWWHQIDOO$%0DU 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 179 FDC SICAV Monétaire EUR – Actif 2 Schedule of Investments and Other Net Assets as of 31 December 2012FRQWLQXHG H[SUHVVHGLQ(85 Quantity/ Nominal Value Market value % NAV 4,004,320 2,002,300 10,001,449 1.95 1.94 1.30 3.23 218,036,638 70.58 Total Bonds 218,036,638 70.58 7RWDO7UDQVIHUDEOHVHFXULWLHVDQGPRQH\PDUNHWLQVWUXPHQWVDGPLWWHGWRDQRI¿FLDO exchange listing 222,093,238 71.89 4,000,000 2,000,000 10,000,000 Description 9RGDIRQH*URXSSOF)51-XQ 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH19)51)HE 9RONVZDJHQ,QWHUQDWLRQDO)LQDQFH19)516HS 9RONVZDJHQ/HDVLQJ)51-XQ :DFKRYLD&RUS)51)HE Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities EUR Commercial Papers and Other Short-term Instruments 5,000,000 3,000,000 3,000,000 5,000,000 3,000,000 2,000,000 4,000,000 4,000,000 4,000,000 2,000,000 3,000,000 3,000,000 5,000,000 5,000,000 4,000,000 5,000,000 2,000,000 5,000,000 3,000,000 3,000,000 4,000,000 1,500,000 7,000,000 $HJRQ19)HE $HJRQ19)HE $HJRQ19)HE $;$6$)510DU %DQTXH3DODWLQH6$$SU &UHGLW$JULFROH&RQVXPHU)LQDQFH6$0DU &UHGLW$JULFROH6$)510DU *')6XH]$SU /HJDO*HQHUDO)LQDQFHSOF)HE /HJDO*HQHUDO)LQDQFHSOF)HE /HJDODQG*HQHUDO)HE /90+)LQDQFH%HOJLTXH6$)HE 1RUG(XURSH&G(RQLD)51)HE 6FDQLD&9$%)HE 6NDQGLQDYLVND(QVNLOGD%DQNHQ$%$SU 6RFLHWH*HQHUDOH6$)516HS 6YHQVND+DQGHOVEDQNHQ$%)HE 6YHQVND+DQGHOVEDQNHQ$%0D\ 7HOHQRU$6$-DQ 7HQQHW+ROGLQJ%9-DQ 7HQQHW+ROGLQJ%90DU 8QLEDLO5RGDPFR6(-DQ 8QLEDLO5RGDPFR6()HE 2,999,387 5,000,000 2,998,531 1,998,989 4,000,000 3,999,533 2,999,499 2,999,715 5,000,000 3,997,981 4,997,291 2,999,891 2,999,802 3,998,029 1,499,992 0.97 0.97 0.97 1.29 1.30 1.29 0.97 0.97 1.29 0.97 0.97 1.29 0.49 85,496,047 27.68 Total Commercial Papers and Other Short-term Instruments 85,496,047 27.68 Total Transferable securities and money market instruments dealt in on another regulated market and recently issued transferable securities 85,496,047 27.68 307,589,285 99.57 Total Investment in securities Other Net Assets Total Net Assets 1,335,308 0.43 308,924,593 100.00 7KHDFFRPSDQ\LQJQRWHVIRUPDQLQWHJUDOSDUWRIWKHVH¿QDQFLDOVWDWHPHQWV 180 FDC SICAV Monétaire EUR – Actif 2 ,QGXVWULDO&ODVVL¿FDWLRQRIWKH,QYHVWPHQW3RUWIROLRDVRI'HFHPEHU Sector % NAV %DQNV Commercial papers and other short term instruments Auto manufacturers Electrical utilities Financial services Telecommunication services Governments 'LYHUVL¿HGFRPSDQLHV Beverages Oil and gas services 52.17 28.01 5.51 5.51 2.91 1.95 1.31 1.23 0.35 Total Investment in Securities 99.57 Other Net Assets 0.43 Total Net Assets 100.00 181
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